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ANNUAL REPORT OF THE COMPTROLLER OF THE CURRENCY TO THE FIRST SESSION OF THE FIFTY-FOURTH CONGRESS OF THE UNITED STATES. DECEMBER 2 , 1895. TWO VOLUMES. VOLUME II. WASHINGTON: 0-OVERNMENT PRINTING OFFICE, 1895. LIST OF STATES, TERRITORIES, AND RESERVE CITIES. STATES AND TERRITORIES. States and Territories. Reports. States and Territories. Reports. Page. Alabama Arizona ^Arkansas California Colorado Connecticut Delaware District of Columbia Florida Georgia Idaho Illinois Indiana Indian Territory Iowa Kansas Kentucky Louisiana Maine Maryland Massachusetts Michigan Minnesota Mississippi 102 176 214 217 273 314 340 347 375 520 547 551 Missouri Montana Nebraska Nevada New Hampshire New Jersey New Mexico New York North Carolina . North Dakota . . Ohio Oklahoma Oregon Pennsylvania Rhode I s l a n d . . . South Carolina . South Dakota . . Tennessee: Texas Utah Vermont Virginia "Washington West Virginia.. "Wisconsin "Wyoming 574 583 622 623 640 674 677 789 798 809 892 894 906 1043 1063 1069 1080 1096 1168 1172 1189 1202 1218 1229 1256 CENTRAL RESERVE CITIES. Cities. New York Reports. Page. 115 733 RESERVE Albany Baltimore Brooklyn Boston Cincinnati... Cleveland Des Moines.. Detroit Kansas City . Lincoln Louisville . . . 677 375 687 403 823 828 232 494 558 600 328 Cities. Reports. Page. 567 Saint Louis. CITIES. Milwaukee Minneapolis . . . New Orleans... Omaha Philadelphia... Pittsburg St. Joseph . St. Paul San Francisco . Savannah Washington . . . 1243 532 342 606 984 998 566 540 24 96 77 NOTE.—For index of towns, see page 1261. Ill REPORTS OF THE CONDITION OF THE NATIONAL BANKS AT THE CLOSE OF BUSINESS ON SATURDAY, SEPTEMBER 28,1895. (States, Territories, and towns arranged alphabetically.) CUR, PT. 2 1 REPOETS OF THE CONDITION OF THE NATIONAL BANKS AT THE CLOSE OF BUSINESS ON SATUEDAY, SEPTEMBEE 28, 1895. ALABAMA. First National Bank, Anniston. W. W. STRINGFELLOW, President. No. 3041. H. A. YOUNG, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . IT. S. bonds to secure deposits TJ. S. bonds on band Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otber real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $322,922. 81 1, 676. 79 50, 000. 00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 3, 000. 00 National-bank notes outstanding. 93, 282.17 State-bank notes outstanding 16,910.83 21,894.58 Due to other national banks 6, 947. 90 Due to State banks and bankers.. 1, 248. 72 2,761.49 Dividends unpaid 298. 53 Individual deposits 5, 710. 00 United States deposits 119. 72 Deposits of U.S.disbursing officers. 23, 660. 70 10, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 380. 00 Liabilities other than those above stated 563, 064.24 Total. $200, 000.00 100,000.00 30. 722. 33 45, 000.00 11,499.48 8,911.54 88.00 171, 842. 94 563,064.24 Anniston National Bank, Anniston. J . S. M O O E I N G , President. . Loans and discounts . :Overdrafts TJ. S. bonds to secure circulation . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. N o . 4250. $126,987.25 1, 282. 93 25, 000. 00 2, 750. 00 23, 305. 61 1. 854.45 1,182.58 7,476. 08 5,518.29 6,961.21 1, 080. 00 620. 00 43.87 12, 666. 60 4, 500. 00 1,125. 00 "W. H . M C K L E R O Y , Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 7, 500. 00 12, 703. 46 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 2, 335. 36 692.85 Individual deposits United States deposits Deposits of U.S. disbursing officers. 70,754. 93 Notes and bills rediscounted Bills payable 5,867.27 Liabilities other than those above stated 222,358.87 Total. 222,353.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABA1A. First National Bank, Birmingham. N o . 3185. . E. BARKER, President. W. J . CAMERON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse,furniture,and natures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $531, 463.82 285. 75 50, 000. 00 50, 000. 00 5,000.00 62,915.03 5, 273. 95 28, 618. 00 31, 550. 25 25, 428.51 34, 001. 35 1,464. 91 4,482.53 4,855.00 52.42 70, 927. 25 21,260. 00 2, 250. 00 390. 00 Capital stock paid in. $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 8, 879. 34 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 22, 466. 68 10, 625. 95 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 513, 840.56 29, 863. 67 6, 548. 57 Notes and bills rediscounted Bills payable Liabilities other than those above stated , Total . 930, 224. 77 40, 000. 00 930, 224. 77 Alabama National Bank, Birmingham. R. M. NELSON, President. No. 3587. Loans and discounts Overdrafts U. S. bonds to secure circulation j TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $579,117. 58 5.219.32 50, 000. 00 W. A. PORTER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 38, 997. 03 84, 800. 00 40, 955. 00 Due to other national banks 31,388.35 Due to State banks and bankers.. 28, 207. 86 14, 260.19 Dividends unpaid 2, 500. 00 8,151.21 Individual deposits 5,135. 00 United States deposits 26.95 Deposits of U.S.disbursingoificers. 4, 983. 00 15, 000. 00 Notes and bills rediscounted . Bills payable 2, 250. 00 Liabilities other than those above stated Total. 910, 991. 49 $500, 000. 00 14, 326. 59 45, 000. 00 28, 840. 81 4, 295.19 318,528. 90 910,991.49 Berney National Bank, Birmingham. J . B . COBBS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circula tion TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. N o . 3442. $542, 690. 94 1,101.69 50, 000. 00 6,000. 00 660.00 25, 000. 00 8, 500. 00 20, 487. 67 2, 905. 28 44,817.11 675. 29 9, 383. 89 1, 000. 00 821. 74 30, 582. 50 10, 845. 00 1,809.40 757, 280. 51 W. P. G. HARDING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding $200,000.00 12,500.00 16, 345. 28 45, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7,468. 98 12, 096. 82 Individual deposits | United States deposits j Deposits of U.S.disbursingofficers. 419, 710.45 | Notes and bills rediscounted | Bills payable Liabilities other than those above stated 43,073.47 Total . 1, 086.01 757,280.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. First National Bank, Bridgeport. No. 4591. E. L. LEE, President. T. R. PATTERSON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank'ghouse,fnrniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $35, 006. 05 319. 54 12, 500. 00 1,385.50 4. 0-IG. 39 18. 257. 75 1, 933. 59 21.78 "l "525.'66 87.12 5, 307. 00 1,500.00 Capital stock paid in . $50,000.00 Surnlus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 900.00 408. 42 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 318.35 Individual deposits United States deposits Deposits of U. S.disbursing officers - 14, 505.45 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 82,472.22 Total. 82, 472. 22 First National Bank, Decatur. No. 3699. C. C. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Sti'Cks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S . . Total. $71,466.08 254.63 25, 000. 00 12, 992. 38 1,186.30 9, 490. 36 719. 25 2, 718. 72 9, 586. 31 791. 87 "6," 488." 66 24. 27 8, 452. 75 4, 000. 00 1,125.00 TV. W. LITTLEJOHN, Cashier. Capital stock paid in . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 168.00 2,161.43 2-2, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 48C. 55 1, Il'4<f34 Individual deposits United States deposits Deposits of U.S.disbursingofficors- 76, 349.10 112. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 153, 885.92 Total. 153, 885. 92 First National Bank, Demopolis. S. S. KANLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4394. $69, 060. 71 11, 266. 87 12, 500. 00 5, 000. 00 1,876.78 1, 252. 80 1, 276. 65 4,907. 56 147. 50 500. 00 17.20 1,707.55 1,600. 00 562. 50 111, 576.12 J. B. MERIWEIFHBR, Cashier. i50, 000.00 Capital stock paid in . 5,168. 66 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 143. 54 11, 250. 00 Due to other national banks Due to State banks and bankers.. 1, 556.15 924. 80 Dividends unpaid Individual deposits | ! United States deposits Depositsof U.S.disbursingom'cers. [ Notes and bills rediscounted Bills payable I 34,939.13 7, 593.84 ! Liabilities other than those above j stated Total. 111,576.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. A L, A B A M A. East Alabama National Bank, Eufaula. No. 3628. A. H. MERRILL, President. J . L. PITTS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S 115. 54 | Capital stock paid in. 355. 56 000.00 ; Surplus fund I Undivided profits, less current I expenses and taxes paid 000. 00 i National-bank notes outstanding. 200. 00 j State-bank notes outstanding 394.43 500. 00 457. 15 045.90 290.11 3(59.26 Due to other national banks Due to State banks and bankers.. jj Dividends unpaid ' Individual deposits ITnited States deposits | Deposits of U.S. disbursing officers, j 613.00 4.65 044. 60 000. 00 j Notes and bills rediscounted I ! Bills payable j ], 125. 00 Liabilities other than tliose above stated 340, 515. 20 Total. Total . $100, 000.00 6, 356. 62 22, 500. 00 2, 068.61 3, 585.23 110. 00 140, 492. 53 65, 402. 21 340, 515. 20 Eufaula National Bank, Eufaula. S. H. DENT, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. B. YOUNG, Cashier. No. 2309. $245,109. 05 Capital stock paid in . $100,000. 00 36. 609.17 25,000. 00 Surplus fund 25, 000. 00 Undivided profits, less current expenses and taxes paid 7, 390. 72 National-bank notes outstanding . 22, 500. 00 12,985. 21 State-bank notes outstanding 15, 000. 00 5, 622. 94 Due to other national banks 4, 042. 26 6, 230.94 Due to State banks and bankers. 5,480. 84 2, 381. 39 20,195. 65 Dividends unpaid 4, 744. 32 Individual deposits 138, 730.25 1,515.00 United States deposits 26. 00 Deposits of U.S. disbursing officers. 8,434. 65 17,000. 00 Notes and bills rediscounted 53, 835. 25 45, 000. 00 Bills payable 1,125.00 Liabilities other than those above stated Total. 401, 979.32 401, 979. 32 First National Bank, Eutaw. G. BRAUNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ; ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Diae from Treasurer U. S Total. No. 3931. $114, 520. 93 16, 468. 99 12, 500. 00 16, 000. 00 4, 825. 00 2,650. 00 8, 453. 88 1, 684. 54 474. 65 345. 00 75.44 2,986.50 5, 448. 00 B. B. BARNES, Cashier. Capital stock paid in. 11, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 8, 748. 86 Individual deposits ITnited States deposits Deposits of U.S. disbursing officers. 92, 403. 96 Notes and bills rediscounted | Bills payable " "56*2." 50' 400.00 Liabilities other than those above stated 187,395.43 $30,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 9,752.61 11, 250. 00 240. 00 4, COO. 00 187,395.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. A L. A B A WL A . First National Bank, Florence. R. L. BLISS, No. 3981. President N . C. ELTING, Cashier Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $163, 635. 25 3, 354. 37 25, 000. 00 Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 10,466. 85 Due to other national banks Due to State banks and bankers .. I Dividends unpaid 302. 51 111. 85 ! Individual deposits | United States deposits 223.86 DepositsofU.S.disbursingofncers.' 124, 532. 05 2, 800. 00 420. 00 3, 000. 00 24, 511.19 6,831.99 696. 83 22, 724. 09 179. 90 8, 653. 00 4, 680. 00 447.50 ! Notes and bills rediscounted Bills payable 2,444. 6i 22, 500. 0C 6, 800. 00 Liabilities other than those above stated , Total . Total . 267,157. 98 267,157. £ First National Bank, Gadsden. No. 3663. W. H. SIMMONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks securities e t c . . Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $97, 837. 42 2, 868. 64 12, 500. 00 1, 518. 75 1,218.74 8, 883. 79 758. 85 973. 22 7, 467. 08 47O.'6o' 1.08 2, 605. 25 700. 00 562. 50 e Total 138, 365.32 W. G. BROCKWAY, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,460. 00 2, 850. 31 11, 250. 00 Due to other national banks Due to State banks and bankers .. 1, 310. 87 173.97 Individual deposits United States deposits Deposits of U.S.disbursing officers. 56, 308. 22 Notes and bills rediscounted Bills payable 14, 011.95 Liabilities other than those above stated Total 138, 365. 32 First National Bank, Huntsville. J . R. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fuw2iture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4067. $175,901.13 f 1,514.98 32,000.00 I 3,615.00 1, 839.91 22,098. 50 151.50 14, 467.17 1, 243. 03 1,599. 55 101.09 " *3," 270.' 00' 248. 56 20, 913. 25 8, 415.00 JOSEPH MARTIN, Cashier. Capital stock paid in $125, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 5, 340.00 121.10 28, 800. 00 Due to other national banks Due to State banks and bankers .. 1,285. 71 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 128, 271. 8 Notes and bills rediscounted. Bills payable 1, 440. 00 Liabilities other than those above stated 288,818.67 Total . 288, 818. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. A L A B A M A. . Farmers and Merchants' National Bank, Huntsville. . I . WELLMAN, President. N o . 4689. E. H. ANDREWS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts « U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer LJ. S Total . $179,198. 85 3, 735. 63 25, 000. 00 Capital stock paid in . . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 000. 00 279. 65 22, 500. 00 Due to other national banks Due to State banks aud bankers.. Dividends unpaid 293.85 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 16, 737.47 Notes and bill s rediscounted Bills payable Liabilities other than those above stated 35, 252.28 5, 000. 00 Total . 254, 063.25 254,063.25 Tredegar National Bank, Jacksonville. PEYTON ROWAN, President, No. 4319. Loans and discounts Overdrafts TJ. 8. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate and mortg's owued Due from other national banks Due from State banks aud bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 8. certificates of deposit Redemption fund with Tieas. U. S. Due from Treasurer TJ. S Total. 401.44 782. 95 12, 500. 00 500. 00 672. 57 000. 00 89J.37 068.16 i, 505.02 7.48 GEORGE P . I D E , Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses anil tax<\s p a d National-bank notes outstanding. State-bank notes outstanding Duo to other national banks Due to State banks aud bankers. Dividends unpaid I Individual deposits ., 090. 00 J United states doposits 44.19 j Deposits ol U.S.disbursingofficers. ,823.80 Not es and Mils rediscounted j .bills payable 562. 50 I Liabilities other than those above stated Total. 91, 849. 48 $50, 000.00 3, 000. 00 237. 04 11, 250. 00 18.00 22, 344.44 5, 000. 00 91,849. 48 First National Bank, Mobile. J A S . H . MASSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,anrl fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer U. S Total. No. 1595. $735. 928. 44 2, 454. 08 50, 000. 00 45. 000. 00 6, 975. 00 739,124.06 20. 378. 00 136,910.72 44.162.10 181,410.30 15, 867. 70 17, 200. 00 233.31 227, 435. 00 22, 000. 00 2, 250. 00 2,247,328. 71 CHAS. D. WILLOUGHBY, Cashier. Capital stock paid in . $300, 000.00 Surplus fund Undivided profit*, less current expenses and taxes paid , National-bank notes outstanding State-bank notes outstanding 100, 000. 00 Due to oth er national b nks Due to State banks and bankers.. 13, 958. 05 13, 388. 36 260,627.44 40, 000.00 Dividends unpaid Individual deposits United States deposits. DepositsofU.S.disbursingofficers. 1, 519, 354. 86 Notes and bills rediscounted . Bills payable Liabilities other than those above s t ated Total . 2, 247, 328.71 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. First National Bank, Montgomery. H . C. TOMFKINS, No. 1814. President Resources. Loans and discounts Overdrafts IT. S. borjds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furnitiiro,aii(l fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from apx>roved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ.S.I Due from Treasurer U. S | $511,450.08 || Capital stock paid in. 15,850.43 50,000.00 |! Surplus fund $225,000.00 |! Undivided profits, less current ! expenses and taxes paid I 6, 500. 00 i| National-bank notes outstanding. 40, 627. 99 40, 783. 23 21, 335. 74 17, 372. 65 20, 572.42 19,559. 37 715.20 "19," 924 "65" 959. 63 24, 617. 50 40, 000. 00 2, 250. 00 645. 60 833,163. 84 Total. A. M. BALDWIN, Cashier. Liabilities. State-bank notes outstanding 50s 000. 00 1, 805. 52 45,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 653.42 12, 972.43 Individual deposits , United States deposits Deposits of U.S.disbursing officers. 319, 585. 81 Notes and bills rediscounted Bills payable 170, 918. 66 Liabilities other than those above stated Total. 228.00 883,1G3. 84 Farley National Bank, Montgomery. J. L. HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secme deposits U. S. bonds on band Premiums on U. S. bonds Stocks securities etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4180. $176, 439. 22 20, 633. 59 25, 000.00 3, 500. 00 1,177. 25 6, 329.19 46,180. 63 6, 355. 76 33, 20;>. 44 454. 60 5.34 5, 550. 00 26, 475. 00 1,125. 00 352,432. 02 Louis B. FARLEY, Cashier. Capital stock paid in , Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 Due to other national banks , Due to State banks and bankers. Di vidends unpaid Individual deposits Units d States deposits Deposits of U.S.disbursingofneers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 3, 413. 37 2, 250.00 3, 787. 52 22, 500.00 4, 287.16 540.00 194, 003. 97 21, 650. 00 352,432. 02 Merchants and Planters' National Bank, Montgomery. EOB'T GOLDTHWAITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures! Other real estate and mortg's ownedl Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2039. $310, 525. 90 5, 647.26 25, 000. 00 1, 943. 54 5, 895. 37 2, 500. 00 1, 000. 00 2, 383. 00 2, 280. 35 28, 875. 36 265. <*5 S. B. MARKS, J R . , Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid Indiv idual deposits 500." 66" United States deposits 8.20 Deposits of U. S.disbursing officers. 22, 768. 00 10, 000. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 420, 717. 63 Total. $100,000.00 37, 000. 00 11,036. 55 22, 500.00 23, 367.65 8, 348.14 649.40 178,417.32 39, 398.57 420, 717.63 10 REPORT OF THE COMPTROLLER OF THE CURRENCY. A L, A B A M A . First National Bank, Opelika. No. 3452. FRANK M. EENFRO, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and (i xtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $139,417.12 13, 726. 44 20, 000. 00 Capital stock paid in . $75, 000. 00 Surplus fund Undivided profits, loss current expenses and taxes paid 2, 000. 00 National-bank notes outstanding. State-bank notes outstanding 12,000. 00 6, 815. 83 18, 000. 00 2*832.00 782. 32 67.24 28,139.11 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 2, 000.00 United States deposits 64.52 Depositsof U.S.disbursingotficers. 14, 500. 00 10, 000. 00 Notes and bills rediscounted 900. 00 255. 59 101, 797. 39 20, 559. 94 Bills payable Liabilities other than those above stated 234,428. 75 Total. ORRIN BROWN, Cashier, Liabilities. Total . 234, 428. 75 City National Bank, Selma. No. 1736. W M . P. ARMSTRONG, President. Loans and discounts j Overdrafts TJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghonse furniture,andfixtures Other real estate andmortg's owned Due from other national banks 1 Due from State banks and bankers. J Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $554,811.69 7,817.40 400, 000. 00 50, 000. 00 4, 000. 00 48,775.00 192,356.17 10, 000. 00 Cashier. $400, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks * 58 "563." 78* Due to State banks and bankers .. 66, 096. 59 101, 512. 60 Dividends unpaid 3,681.06 Individual deposits 22,346. 00 1 United States deposits 1 516.38 I Depositsof U.S. disbursingotlieers. 69,298.10 10, 960. 00 Notes and bills rediscounted. 100, 000. 00 100, 934. 52 347, 850. 00 5, 748. 78 4, 398.14 590, 978. 23 45, 000. (.0 Bills payable 5, 850. 00 1, 606, 584. 77 Total. A . G-. P A R R I S H , Capital stock paid in . Liabilities other than those above stated Total 1,606,584.77 First National Bank, Talladega. T. S. PLOWMAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds ' Stocks, securities, etc \ Bank'ghou8e,furniture>andfixturesj .Other real estate and mortg\s owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S Total. No. 3899. $68,107. 85 171.44 12, 500. 00 5,000.00 10, 316. 8-3 3, 770. 05 1, 673.73 1,231.75 597.99 238. 50 ""125." 66' 54. 96 6,125. 00 4, 000. 00 562. 50 114,375.60 J". C. BOWIE, Cashier. Capital stock paid in Surplus fund Undivided proiits, less current expenses and taxo* paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits | United States deposits j Depositsof U.S.disbursingofticers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $50, 000. 00 5,450.00 1,524.08 11, 250. 00 746. 92 39, 404. 60 6, 000. 00 114, 375. 60 EEPOET OP THE COMPTROLLER OF THE CURRENCY. 11 A L A B AM A . Isbell National Bank, Talladega. No. 4838. WM. P. ARMSTRONG, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total R. L.IVEY, Cashier. Liabilities. $124, 534.31 1,185.79 50, 000.00 6, 030. 00 4, 000. 00 15,003.79 19,273.86 6, 780.17 480.68 71. 90 9, 747. 00 5, 250. 00 2,250.00 $50, 000. 00 Surplus fund * Undivided profits, less current expenses and taxes paid National-bank notes outstanding. Due to other national banks Due to State banks and bankers.. Dividends unpaid 50,000.00 3, 776.55 45, 000.00 2, 279.88 88.22 281. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 94,131.85 K otes and bills rediscounted Liabilities other than those above 245, 557.50 Total 245, 557. 50 First National Bank, Tuscaloosa. FRANK S. MOODY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits.. U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1853. $93,140.02 282. 73 40, 000. 00 2, 500. 00 3, 830. 50 29, 331. 28 20, 286.16 2, 079. 70 1, 575.91 8, 539. 06 100. 87 JOHN LITTLE, JR., Cashier. Capital stock paid in. $60, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 3,244.00 United States deposits 41.48 Deposits of U.S.disbursing officers. 22, 860. 30 Notes and bills rediscounted . Bills payable 20, 000.00 16, 220. 06 34, 360.00 2,147.90 740. 26 96,143. 79 1, 800.00 Liabilities other than those above stated 229, 612. 01 Total. 229, 612. 01 Merchants' National Bank, Tuscaloosa. Or. A. SEARCY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3678. $120,195.89 12, 518. 30 25,000.00 3, 15, 7, 3, 500.00 500. 00 688. 50 689. 08 153.47 3, 768. 79 43.76 170. 00 13, 828.10 2, 500.00 1,125.00 209,680.89 G-LENN FOSTER, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 10,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 80.44 2,037. 64 Individual deposits United States deposits Deposits of U.S. disbursing officers. 86, 032.19 Notes and bills rediscounted Bills payable 36,051. 50 Liabilities other than those above stated Total 2, 795.12 22, 500. 00 184. 00 209, 680. 89 12 REPORT OF THE COMPTROLLER OF THE CURRENCY. ARIZONA. National Bank of Arizona, Phoenix. M. W . KALES, President. No. 3728. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jaanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $192,744. 63 12, 031. 41 25, 000. 00 81,702.19 3, 500. 00 1, 8(32. 00 1,241.15 17, 097. 20 457.48 222. 33 697.66" 38, C80.15 1,125. 00 377, 260.54 Total. GEORGE W . HOADLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $100,000. 00 30, 000. 00 53, 904.11 21, 850. 00 ,11, 573. 83 159, 932. 60 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 377,260. 54 Phoenix National Bank, Phoenix. F . S. BELCHER, President. Loans and discounts I Overdrafts 17. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. J. HALL, Cashier, No. 4729. $100, 000. 00 Capital stock paid in . Surplus fund . 1, 000. 00 Undivi(l( profits, less current tied 17, 596. 05 expenses and taxes paid National-bank notes outstanding. 22, 200. 00 29,479.47 State-bank notes outstanding. $191,121.51 1, 336. 26 25, 000. 00 50, 000. 00 6, 000. 00 Due to other national banks Due to State banks and bankers.. 47, 509. 48 Dividends unpaid 8.51 Individual deposits * 706.00 United States deposits 1.80 Deposits of U.S.disbursing officers. 34, 608.75 2, 000. 00 Notes and bills rediscounted . Billspayable 1,125. 00 254, 278. 45 21, 992. 83 1,424. 57 Liabilities other than those above stated 412,305. 62 Total. 16, 022. 61 412,305. 62 Prescott National Bank, Prescott. FRANK M. MUEPHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand •. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes IF. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. R. C. WOODRUFF, Cashier. No. 4851. $100,000.00 Capital stock paid in. Surplus fund * 4,000. 00 Undivided profits, less current expenses and taxes paid 11, 982. 35 2, 500.00 National-bank notes outstanding. 22,500. 00 20, 857. 84 State-bank notes outstanding. $172,101. 70 11, 996. 41 25, 000. 00 2, 550. 00 15, 959. 60 2,199.78 44, 890. 51 208. 73 760. 59 1,120.00 37. 30 24, 280. 50 1,000. 00 1,125. 00 326,587.96 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 448.84 187, 656. 77 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. . 326,587.96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 13 ARIZONA. Arizona National Bank, Tucson. No. 4440. B. M. JACOBS, President. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for olearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer XJ. S $50, 000.00 5, 200.00 4, 490. 27 3, 650.00 820.00 14,235.33 21, 581. 62 25, 643.42 350. 76 437.00 23.20 18,802. ?0 2,000. 00 585. 00 193,058.82 Total. M. P . FREEMAN, Cashier. Liabilities. $47,140. 27 Capital stock paid in. 5, 529. 04 13, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 43, 510.48 State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individnal deposits United States deposits Deposits ofU.S. disbursingofficers. Note* and bills rediscounted. Bills payable Liabilities other than those above stated Total. 787.38 129,531.17 193, 658. 82 Consolidated National Bank, Tucson. H. E. LACY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. B. TENNEY, Cashier. No. 4287. $50, 000. 00 Capital stock paid in. 3,oan.oi 12, 500.00 Surplus fund 1,150.00 Undivided profits, less current expenses and taxes paid 11,8#2.57 1, 500. 00 National-bank notes outstanding. 11, 250. 00 29. 277.75 State-bank notes outstanding $03,989.20 8, 000. 00 Due to other national banks 8, 240. 02 1,7:.6.16 Due to State banks and bankers.. 18, 081. 28 Dividends unpaid 767.82 Individual deposits 1,800. 00 United States deposits 32. 65 Deposits of U. S.disbursing officers. 17, 734. 00 7, 412. 00 Notes and bills rediscounted Bills payable 562.50 20.00 Liabilities other than those above 1,267. 30 5,118.88 94, 025. 64 stated 174, 694.39 Total. 174, 694.39 14 REPORT OF THE COMPTROLLER OF THE CURRENCY. ARKANSAS. Camden National Bank, Camden. No. 4066. W. E . M C R A E , President. A. A. TUFTS, Cashier. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse;furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,125.00 I National-bank notes outstanding. 590.59 I State-bank notes outstanding 1,709.14 7,161.39 I Due to other national banks 5,731.30 i Due to State banks and bankers.. 6,537.78 i 25,079.89 | Dividends unpaid 162. 38 ; Individual deposits United States deposits 173.60 Deposits of U.S. disbursing officers 2,163. 90 8,000. 00 Notes and bills rediscounted. Bills payable 502. 50 Liabilities other than those above stated 11, 000. 00 $83,938. 71 22,491.16 12, 500. 00 Total. 177, 927. 34 1, 058. 43 11, 250. 00 24.01 112. 80 60.00 104, 422.10 177,927.34 First National Bank, Fort Smith. GEORGE T. SPARKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1950. $375, 679.01 8,578. '>5 50, 000. 00 21, 364.47 21,338. 20 7,357.89 5,118.17 142,474. 28 2, 266. 99 JOHN VAILE, Cashier. t Capital stock paid in. $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 70, 000. 00 19, 333. 34 45,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid . 891. 93 1, 278. 62 Individual deposits 10, 850.00 United States deposits 157. 65 Deposits of U.S. disbursing officers. 31,819.00 7, 925. 00 Notes and bills rediscounted .. Bills payable 2, 250. 00 Liabilities other than those above stated 350, 674.82 Total. 687,178.71 687,178.71 American National Bank, Fort Smith. B. I \ ATKINSON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, secuyities, etc Bank' ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3634. $253,152.93 2,254.79 25, 000.00 1, 657. 55 3, 000. 00 5, 675.00 1, 899. 64 3,174.17 55,720.19 4, 027.45 965.00 1.55 3,027. 60 14, 000. 00 1,125. 00 374,680. 87 FRED. TITGEN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $100,000.00 57,000.00 9, 562.78 22, 500. 00 1, 669.36 183, 948. 73 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 374, 680. 87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 15 ARKANSAS. Fort Smith National Bank, Fort Smith. VM. J. JOHNSTON, President No. 4995. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits... U. S. bonds on band Premiums on U. S. bonds Shocks, securities, etc Bank'ghouse,furinture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other casb items Exchanges for clearing bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ.ft.certificates of deposit Redemption fund •with Treas. TJ. S. Due from Treasurer TJ. S $78, 274. 32 1,311.61 25, 000. 00 2, 906. 25 291. 87 2,468. 27 7,104.11 12, 539.18 62,799.55 84.35 2, 000. 00 348.90 4, 688. 00 1,125. 00 200, 941.41 Total. F. E. CARE, Cashier. Liabilities. Capital stook paid in . $100, 000.00 Surpln s fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 603. 52 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 702. 27 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 7G, 135. G2 Notes and bills rediscounted . Bills payable , Liabilities other than those above stated Total. 200, 941.41 First National Bank, Helena. JACOB TRIEBER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bil 1 s of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3662. $189, 701. 88 254.17 38, 500. 00 32, 841. 93 9, 316. 00 4,659.75 2, 382. 75 142. 76 10,046. 66 8.41 1, 000. 00 8.40 5, 675. 45 2, 757. 00 1, 709. 50 299,004. 66 S. S. EAULKNER, Cashier. Capital stock paid in. $120,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 23, 000.00 1,828. 05 34,190. 00 667.12 50.00 94,419 49 24, 850. 00 299,004. 66 Arkansas National Bank, Hot Springs. E D . HOGABOOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,aiid fix tures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickela, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S , Total. No. 2832. $190, 067. 99 976. 63 25, 000. 00 2, 000. 00 3, 219. 06 7, 437.10 10, 976. 60 14, 643. 72 1, 398.14 1, 052. 05 3, 320. 00 438.95 19, 523. 75 15, 000.00 1,125.00 296,178. 99 CHAS. N. E I X , Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. btate-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $ioo7oooToo 8, 500. 00 3. 38G. 35 22| 500. 00 300.00 155, 729. 64 5, 763. 00 296,178. 99 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. ARKANSAS. Exchange National Bank, Little Hock. C. F. PENZEL, President. No. 3300. J. S. POLLOCK, Oashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $394, 847.15 8,111.88 50,500. 00 500. 00 448. 34 10, 094. 55 68, 044.11 3,384.04 4, 721. 73 21, 932. 47 913. 09 9, 040.49 3, 000.00 151. 72 35, 902. 20 12, 000. 00 1,290.00 Capital stock paid in . $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6, 000. 00 5, 849. 88 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 18, 707. 23 35,753.38 Individual deposits United States deposits Deposits of U.S.disbursing officers. 313, 55G. 28 15.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 624, 881.77 Total . 624, 881. 77 German National Bank, Little Rock. JOHN G-. FLETCHER, President. Loans and discounts .Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securi ties, etc Bank' g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for elearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. OSCAE DAVIS, Cashier. No. 3318. $677, 571. 99 3, 494. 89 50, 000. 00 3, 493. 00 34, 500. 00 3, 680. 00 23, 394. 24 19, 354. 31 7,741.14 26, 444. 53 6, 624.11 8, 793. 36 4, 705. 00 150. 05 39, 473. 90 18, 510.00 1, 749. 00 Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7,190.17 25,361. 98 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 435, 693. 68 16, 433. 69 45, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 929, 679. 52 Total . 929,679. 52 First National Bank, Russellville. THOS. J. RUSSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Speci e Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. • No. 4582. $66, 432. 74 1. 442. 39 12, 500. 00 13,581.91 2, 780.14 JAS. E. BATTENFIELD, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 6, 424. 55 323. 65 H, 250. 00 Due to other national banks Due to State banks and bankers.. 293.27 I 979.34 | Dividends unpaid 31.30 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 27, 805. 29 200. 00 52.50 4, 800. 00 300. 00 562. 50 103, 924.79 Notes and bills rediscounted. Bills payable 8,090. 00 Liabilities other than those above stated Total . 103, 924. 79 REPORT OF THE COMPTROLLER OP THE CURRENCY. 17 CALIFORNIA. First National Bank, Colton. No. 3573. J. W. ROBERTS, President. HOWARD B. SMITH, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on II. S. bonds Stocks, securities, etc Ban k'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due* from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $80,889. 84 Capital stock paid in. 128.49 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 8, 795. 95 State-bank notes outstanding. 12,000.00 3, 520. 00 Due to other national banks 14, 310. 24 Due to State banks and bankers.. 1, 652.17 12,188. 98 Dividends unpaid $50, 000.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 82, 637. 47 725. 00 24.05 9, 051). 00 2, 439. 00 11, 000.00 2,131. 73 11, 250. 00 3, 276. 02 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 160,295.22 160, 295. 22 Total. First National Bank, Fresno. No. 3321. O. J . WOODWARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $497, 577.12 340. 36 25, 000. 00 40,131.21 44, 085.16 28, 957. 72 22, 014.14 34,421.42 51, 553. 0G 1, 240.48 E. A. WALROND, Cashier. Capital stock paid in . Surplus fund Undivided j)roflt8, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1,125. 00 135, 000. 00 25, 909. 80 19*550. C O 12, 002.10 Dividends unpaid I n d i v i d u a l deposits U n i t e d States deposits 43. 20 33, 408. 00 909. 00 $100, 000. 00 488, 344. 00 Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 780, 805*. 90 780, 805.90 Fresno National Bank, Fresno. JOHN MCMULLIN, President. Loans and discounts No. 3870. .7... Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds ! Stocks, securities, etc | Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and b a n k e r s . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legatender .... Legal-tender notes X S certificates of deposit T tifit XT. S. Redemption fund with Treas. XT. S. Due from Treasurer U. S Total. CUR, http://fraser.stlouisfed.org/ PT 2Federal Reserve Bank of St. Louis $319, 059. 92 2, 258.04 50, 000. 00 1,337.90 35, 000. 00 54, 809. 51 32, 859. 64 6, 290. 66 6 331. 36 > 112.12 36, 757. 65 1, 910. 00 2, 250. 00 548,976.80 C. ALLISON TELFER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,oooToo 8, 500.00 8, 359. 22 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 287,117.58 Notes and bills rediscounted. Bills payable Liabilities other than those above stated : Total. 548,076. 80 18 REPORT OF THE COMPTROLLER OF THE CURRENCY. CALIFORNIA. First National Bank, Los Angeles. J . M. ELLIOTT, President. No. 2491. FRANK A. GIBSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. TJ. S. bonds to secure deposits TJ. S. bonds on band Premiums on U. S bonds Stocks, securities, etc Bank'g houso,furniture,and fi xtures Other real esta:e and mortg's owned Due from other national banks Due from State bauks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fnnd with Treas. U. S. Due from Treasurer U. S Total $1, 366, G29.02 35,193.29 50, 000. 00 190, 90J.90 55, 001). 00 30, 328. 30 54, 736. 99 117, 510. 51 195, 454.06 7, 325 25 12, 510. 70 13, 945. 00 381.25 246,120. 65 02, 525. 00 2, 250. 00 Capital stock paid in . $400,00Q. 00 Surplus fund Undivided profits, less current expenses and taxes paid Nationai-bank notes outstanding. State-bank notes outstanding ! Due to other national banks Due to State banks aud bankers.. Dividends unpaid Individ al deposits United States deposits DepositsofU.S.disbursingofficers. 80,000. 00 177, 468. 34 30,530.00 " 24, 233. 28 46, 333. 96 57.50 1, 668,188.84 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2,420,811.92 Total. 2,426,811.92 Los Angeles National Bank, Los Angeles. GEORGE H. BONEBRAKE, President. Loans and discounts Overd raft s U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. tymds on hand .'... Premiums on TJ. S. bonds Stocks, securities, etc Bank'gh use,furniture,snd fixtures Other real estate and mortg's owned Due from other national b <nks Due from State banks and bankers. Due from approved reserve agents. Checks and othpr cash items Exchanges for clearing house Bills of ot her national banks Fractional currency, nickels, cents. Specie Legal-tendor notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total F. C. HOWES, Cashier. No. 2938. $693,402.10 i 9,439. 90 500, 000. 00 150,000. 00 500. 00 78, 055.00 201,976.41 174, 538. 99 8, 845.30 21, 471. 54 25,951.85 100, 706. 95 9, 228. 63 7,766.46 14,010.00 36. 34 161,394.50 Capital stock paid in . $500,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding State-bank notes outst anding 40, 000. 00 13, 266.54 433, 800. 00 Due to other national banks , Due to State banks and bankers. Dividends unpaid. 64, 875. 34 63,999.34 Individual deposits United States deposits Deposits of U.S.disbursing officers 940,137. 94 53, 814. 83 69, 930. 04 Notes and bills rediscounted. Bills payable 22, 500. 00 Liabilities other than those above stated 2,179,824.03 Total I 2,179,824.C Merchants' National Bank, Los Angeles. W. L. GRAVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture8i Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ,,... Legal-tender notes U. S. certificates of deposit Redemption fund witb Treas. U. S. Due from Treasurer U. S Total. N o . 3538. C. N. FLINT, Cashier. $541,817.56 j Capital stock paid in. 3,177.83 50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 000. 00 National bank notes outstanding . 8, 528. 55 State-bank notes outstanding 3, 500. 00 7, 780. 00 Due to other national banks 19,183. 27 Due to State banks and bankers.. 18,852.15 63, 479 33 Dividends unpaid 1, 466. 69 5, 978. 58 Individual deposits 640. 00 United States deposits 51.37 DepositsofU.S.disbursingomcers. 66, 606. 90 7, 000. 00 Notes and bills rediscounted. Bills payable $200, 000.00 18, 000. 00 10, 880. 24 43,400. 00 21,155. 95 511, 876. 04 2, 250. 00 Liabilities other than those above stated 805,312.23 Total. 805,312.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 19 CALIFORNIA. National Bank of California, Los Angeles. JOHN M. C. MARBLE, President. No. 4096. A. HADLET, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'g bouse,furniture and fixtures Other real estate and mortg's owned Due from other national b a n k s . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. B. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $390, 203. 88 Capital stock paid in. 7, 325. 21 150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid , 7, 500. 00 National-bank notes outstanding. 30, 720. 80 State-bank notes outstanding 6, 036. 55 35,834.92 Due to other national banks 3, 651.43 Due to State banks and bankers. 51, 321.40 28,301. 45 Dividends unpaid 324.19 10,165. 38 Individual deposits 215. 00 United States deposits 97.20 Deposits of U.S.disbursing ollicers. 67, 633.03 3,625.00 Notes and bills rediscounted , Bills payable 6,750.00 2,402.50 Liabilities other than those above stated 800,107.94 Total. $250, 000. 00 11,000. 00 7, 932.00 135, 000. 00 18,795.71 10, 038. G7 152,50 367.189. 06 800,107. 94 Total . First National Bank, Modesto. O. MCHENBY, President. No. 3136. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other natio»al banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $198,122.94 9,876.87 25, 000. 00 J . E . WARD, Cashier. Capital stock paid in . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 102. 50 800.00 6, 275. 00 Due to other national banks 5, 651. 69 Due to State banks and bankers. 2, 985.06 11, 006. 53 Dividends unpaid 1,145. 63 Individual deposits 860. 00 United States deposits 28.88 Deposits of LT.S.disbursingo(B.cers 15, 400. 00 648. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 279,028.10 20, 000. 00 6, 872. 68 22, 500. 00 129, 655.42 279, 028.10 Total . First National Bank, Monrovia. J N O . H . BAETLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3743. $82,277.79 453.59 12, 500. 00 1. 395. 00 10, 200. 00 24, 633. 53 W. A. CHESS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks [. Due to State banks and. bankers..'. 8,931.01 8, 865. 03 Dividends unpaid 6.65 Individual deposits United States deposits 59.98 Deposits of U.S.disbursingofficers. 2, 611. 80 1, 200.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 154,036.88 Total . $50,000.00 10, 000. 00 2,618.78 11, 250. 00 80,168.10 154, 036. 88 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. C A JLIFO K \ I A. First National Bank, Oakland. No. 2248. G. W. MCNEAR, President. L. G. BURPEE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S. $520, 506. 40 9, 203. 97 50, 000. 00 Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 800. 00 National-bank notes outstanding. 4ti, 003. 35 State-bank notes outstanding 7, 000. 00 29, 717. 05 Due to other national banks 936. 56 Due to State banks and bankers .. 10,749.02 13, 999. 04 Dividends unpaid .. 2,171. 37 Individual deposits 755. 00 United States deposits 97.50 Deposits of U.S.disbursing officers. 55, 987. 50 1, 680. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 22, 000.00 21, 339. 62 41, 850. 00 10, 511. 00 8, 932. 72 4, 790. 50 306, 671. 86 30, 000. 00 1,761.00 " 756, 856. 76 Total . Union National Bank, Oakland. C. E. PALMER, Cashier. _______ No. 2266. THOMAS PRATHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Cecs f l i h Exchanges for clearing house Bills o other nationalbanks Bils of l ikl Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $707, 453. 58 127, 641. 90 50, 000. 00 3,161. 75 59,161. 48 7, (>47. 90 12, 627.18 770. 98 1, 995. 82 14, 087. 43 2,411.51 2, 208. 90 325. 00 62. 30 89, 693. 50 330.00 2, 250.00 1, 081, 829.23 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 630. 24 Individual deposits United States deposits Deposits of U.S.disbursing officers 694,726. 36 39, 418. 63 45, 000. 00 54.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 081, 829. 23 First National Bank, Pasadena. PERRY M. GREEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. A. H. CONGER, Cashier. No. 3499. $409, 820. 69 Capital stock paid in [ $100,000.00 1. 693. 53 25, 000. 00 Surplus fund 50,000. 00 Undivided profits, less current 15, 238. 90 expenses and taxes paid 300.00 18, 900. 00 National-bank notes outstanding. 103, 825. 57 State-bank notes outstanding 48, 000. 00 40,165. 77 Due to other national banks 2, 566. 32 14, 822. 31 Due to State banks and bankers.. 30, 491. 90 12, 646. 53 79,161. 99 Dividends unpaid 1, 099. 97 Individual deposits. 580, 422. 98 1, 095. 00 United States deposits 22. 39 Deposits of U. S. disbursing officers. 55, 508. 35 3, 335. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 797, 620.10 Total . 797, 620.10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 21 CALIFORNIA. Pasadena National Bank, Pasadena. T. P. LUKENS, President. E. E. JONES, Cashier. N o . 3568. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $119, 656.80 1,428. 57 25, 000. 00 $100, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 70,024.60 7, 500. 00 14, 021. 79 Due to other national banks 545. 23 24,250. 74 Due to State banks and bankers. 2,762.73 Dividends unpaid 1,635.41 770.00 80.87 21, 615. 25 1,147. 50 Individual deposits United States deposits DepositsofU-Silisbursing officers. 5, 600.00 4,682. 95 22, 450.00 2,021.98 652.50 155, 032. 06 Notes and bills rediscounted . Bills payable , Liabilities other than those above stated Total. 290,439.49 290,439.49 First National Bank, Pomona. No. 3518. C. SEAVER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total - $259,026. 56 7, 828. 87 25, 000.00 2, 500. 00 9, 962.50 29, 000. 00 6, 089.67 12,107. 68 3,794. 31 39, 820.44 I, 344. 78 255.00 89.97 37, 757.15 4, 760.00 1,125. 00 STODDARD JESS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers $100,000.00 38,000.00 8, 892.58 21,640.00 489.90 120. 00 291,379.45 Notes and bills rediscounted . Bills payable Liabilities other than those above stated 440, 521.93 Total. 440, 521.93 National Bank, Pomona. J. T. BRADY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4663. 109, 713. 41 2,146. 62 12, 500. 00 500. 00 3, 2 5 0 . U 666. 52 10. 098. 20 3, 818. 90 247. 75 640.00 43.90 14, 345.00 600. 00 562.50 159,132.94 G. A. LATHROP, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 2,500. 00 2, 030. 29 10, 750.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 93, 852.65 159,132.94 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. CALIFORNIA. First National Bank, Redlands. No. 3892. P. P. MORRISON, President JOHN W. WILSON, Cashier. Resources. Liabilities. $211,414.45 Loans and discounts 13 157.80 Overdrafts . . .-• 25,000. 00 TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 2, 000. 00 Premiums on U. S. bonds 19, 308. 07 Stocks, securities, etc 40, 000. 00 Bank'ghouse,furniture,and fixtures 2, 607. 50 Other real estate and mortg's owned 8,149.47 Due from other national banks 16,348.26 Due from State banks and bankers. 23, 703.19 Due from approved reserve agents. 1,604.92 Checks and other cash items ...„., Exchanges for clearing house 2 420.00 Bills of other national banks 113.60 Fractional currency, nickels, cents. 16 339 50 Specie 5, 424. 00 Legal-tender notes "U. o. certificates of deposit.. 1,125. 00 Redemption fund with Treas. U. S. Total Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits . * United States deposits Deposits of U.S.diebursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above Total 388,715.82 „ 420,000.00 25,003.45 22, 500. 00 3.31 41, 757.20 50.00 179,401.86 388,715.82 First National Bank, Riverside. JOHN J. HEWITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3348. STANLEY J. CASTLEMAN, Cashier. $100, 000.00 Capital stock paid in. Surplus fund 19,000. 00 Undivided profits, less current p , 2. 543. 39 dt id expenses and taxes paid 3, 000. 00 National-bank notes outstanding. 22, 500. 00 6, 450. 00 State-bank notes outstanding 152,635.76 737. 94 25, 000. 00 3, 637.75 1, 500.00 18, 454. 87 1, 004. 01 170,495.42 1, 093.19 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits G, 930. 66 United States deposits 46.30 Deposits of U. S.disbursing officers. 29,165.50 3, 000. 00 1,125.00 963.43 3,473. 01 275, 795. 91 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 424,275.74 424, 275. 74 Total. National Bank of D. O. Mills & Co., Sacramento. FRANK MILLER, President. No. 2014. $1,175,159.96 Loans and discounts 2.66 1(53, 472. Overdrafts 50, 000.00 U. S. bonds to secure circulation. U. S. bonds to secure deposits 1, 000. 00 U. S. bonds on hand 4, 620. 00 Premiums on TJ. S. bonds 27, 688.08 Stocks, securities, etc 40,000. 00 Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks 7,234. 20 Due from State banks and bankers. 126, 580. 86 Due from approved reserve agents. 229,494. 75 Checks and other cash items 6, 627. 90 Exchanges for clearing house 8, 805. 00 Bills of other national banks 131.15 Fractional currency, nickels, cents. 327,242. 00 Specie 7,100. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 2, 600. 00 Due from Treasurer U. S Total 2,119,006.56 CHARLES F . DILLMAN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500, 000. 00 100, 000.00 73, 616. 07 24, 900. 00 14,116.02 Due to other national banks 184,139.93 Due to State banks and bankers.. Dividends unpaid 1,222,234.54 Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 2,119,006. 5G Total. REPORT OF THE COMPTROLLER OF THE CURRENCY. 23 CALIFORNIA. Carver National Bank, Saint Helena. M. G-. RICHIE, President. No. 3757. A.L.WILLIAMS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from oilier national banks . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $96, 538. 27 578.11 40, 000. 00 4, 000. 00 6, 339. 76 1, 500. 00 9, 302.00 1,722.39 24,991.38 281. 05 185. 00 34.46 13,106.15 112.00 1, 800. 00 Capital stock paid in. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.ilisbursi 10, 000. 00 24, 030. 0Q 253. 82 116, 326. 75 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 200, 610. 57 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid . National-bank notes outstanding . State-bank notes outstanding Total . 200, 610. 57 San Bernardino National Bank, San Bernardino. J. W. ROBEETS, President. No. 3818. Loans and discounts Overdrafts U. S. bonds to secure c;rculation. . . U. S. bonds to secure deposits U. S. bonds on hand Premium on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $254, 690. 96 3, 506. 84 25, 000. 00 3, 000. 00 4, 843. 91 5, 000. 00 14, 666. 67 30, 304. 62 6,351.16 34, 987.40 4,130.74 400. 00 9.35 27, 730. 00 1,162. 00 1,125.C 416, 908. 65 W. S. HOOPER, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid . National-bank notes outstanding State-bank notes outstanding $100, 000. 00 20, 000. 00 16, 006. 78 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,970.15 4, 091. 96 Individual deposits United States deposits Deposits of U.S.disbursing officers. 251,339.76 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 416, 908. 65 First National Bank, San Diego. J. GRUENDIKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . 5". E. FISHBURN, Cashier. No. 3050. $276,451. 85 Capital stock paid in. $150, 000. 00 415. 31 50, 000. 00 Surplus fund 3, 200. 00 Undivided profits, less current 100.00 expenses and taxes paid 22, 692. 55 6,012.00 National-bank notes outstanding. 45, 000. 00 46, 544.18 State-bank notes outstanding..... 66,500. 00 14, 431. 65 Due to other national banks 11,761.08 22, 348. 05 18,618.10 Due to State banks and bankers.. 82, 722. 01 1,452. 00 1, 285. 39 Dividends unpaid 429, 253.90 12,778.00 Individual deposits 228.23 United States deposits 73, 848. 70 10, 000. 00 Deposits of bills rediscounted. Notes and U.S.disbursingofticers. Bills payable 2, 250. 00 Liabilities other than those above stated 673, 946.50 Total . 673, 946.50 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. CALIFORNIA, Merchants' National Bank, San Diego. EDWARD IVINSON, President. No. 4886. G. B. GROW, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund witii Treas. U. 8. Due from Treasurer TJ. S Liabilities. $266, 271. 34 1,761.79 25, 000. 00 47, 350. 00 10, 230. 09 472. 85 893. 50 12,391.48 14,294.99 112,165.88 5,942.75 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 046. 79 22,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unxj 3,457.14 16, 000. 00 Individual deposits 20,100. 00 United States deposits 10.12 Deposits of U.S.disbursing officers. | 89, 928. 60 2, 877. 00 | Notes and bills rediscounted... Bills payable 1,125.00 610,815.39 Total. Capital stock paid in . 465.811.46 Liabilities other than tho»e above stated Total. 610, 815. 39 First National Bank, San Francisco. S. G. MURPHY, President. No. 1741. $3,911,146.39 Loans and discounts 57, 026.15 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... 100, 000. 00 U. S. bonds to secure deposits 100, 000. 00 U. S. bonds on hand 33, 312. 50 Premiums on TJ. S. bonds 10, 000. 00 Stocks, securities, etc | 340, 067. 61 Bank'g house,furniture,andfixtures| Other real estate and mortg's ownedj 9, 254. 27 Due from other national banks 66, 638. 72 Due from State banks and bankers. 238, 544. 20 Due from approved reserve agents. 386, 515. 74 Checks and other cash items 76, 508. 93 Exchanges for clearing house Bills of other national banks 4, 000. 00 98.21 Fractional currency, nickels, cents. 1, 329, 225. 00 Specie 82, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S $1, 500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 800,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 332,198. 35 969, 806. 62 1, 075. 00 2, 896, 743. 74 33, 749. 60 100, 729.75 162, 284. 66 Liabilities other than those above stated 6, 796, 587. 72 Total. JAMES K. LYNCH, Cashier. Capital stock paid in Total 6,796,587.72 Crocker-Wool worth National Bank, San Francisco. W M . H. CROCKER, President. No. 3555. $3,245,438.31 Loans and discounts 48, 893. 50 Overdrafts. 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i. Premi urns on TJ. S. bonds L Stocks, securities, etc j 21. 825. 00 5, 088. 00 Bank'g house,furuiture,andfixtures' Other real estate and mortg's owned . 21,472.01 Due from other national banks ! 69, 329.40 Due from State banks and bankers.' 190, 674. 21 Due from approved reserve agents.! Checks and other cash items \. "44,'428^56' Exchanges for clearing house 11,500.00 Bills of other national oanks 37.27 Fractional currency, nickels, cents. 425,970.00 Specie 40,190.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S Total • 4,177,096.26 G. W. KLINE, Cashier. Capital stock paid in I $1, Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 000, 000. 00 500, 000.00 Due to other national banks Due to State banks and bankers.. 230, 451. 63 274,471. 47 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 45, 052. 36 22, 500. 00 I 2,089, 533.23 15, 087. 57 Liabilities other than those above stated Total 4,177, 096. 26 BEPORT OF THE COMPTROLLER OF THE CURRENCY. 25 CALIFORNIA. First National Bank, San Jose. N o . 2158. J. A. CLAYTON, President. L. G-. NESMITH, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 8. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $737, 683.11 28. 047. 21 50, 000. 00 85, 000. 00 100, 944. 66 609.10 40,847. 26 124.08 1,436.27 30.00 191.20 64,082. 70 70.00 2,250. 00 Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoiueers. 100, 000.00 96, 064. 48 45, 000. 00 14, 077. 67 1, 740.00 3G0, 433.44 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,117,315. 59 Total. 1,117, 315.59 First National Bank, Santa Ana. N o . 3520. "W. B. HERVEY, President. Loans and discounts Overdraf t s TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds . * Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $209, "54. C O 2, 494. 29 37, 500. 00 1, 650. 00 9,384. 78 64,981.21 20,009. 68 13, 909. 86 807.66 8,408.99 306. 25 650.'00 40.87 20, 000. 80 2, 654. 00 " l , 087. 50 $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . 9, 600. 00 1, 410.02 33, 750. 00 426. 92 Dividends unpaid Individual deposits ITn ited States deposits Deposits of U.S. disbursing officers. 201, 659. 85 Notes and bills rediscounted Bills payable Liabilities other than those above stated 399, 846. 79 Total. J. A. TURNER, Cashier. Capital stock paid in. Total. 399,846.79 First National Bank, Santa Barbara. R. B. CANFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2104. 5246, 437. 64 2, 837. 64 25, 000. 00 6,578. 91 26, S83. 09 50, 778. 84 4, 036. 68 2,402.12 22, 247. 27 484.. 34 10.00 70.89 48, 857. 95 820. 00 A. L. LINCOLN, Cashier. Capital stock paid in $L00,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 3, 389. 52 4, 479. 68 Individual deposits United States deposi ts Deposits of U.S.disbursing officers. 32,157.35 22, 500. 00 232,143.82 Notes and bills rediscounted . Bills payable 1,125. 00 Liabilities other than those above stated 444, 670. 37 Total. 444,670. 37 26 EEPOET OP THE COMPTROLLER OF THE CURRENCY. CALIFORNIA, Santa Barbara County National Bank, Santa Barbara. W. M. EDDY, President. No. 2456. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. S. SHEFFIELD, Cashier. Liabilities. $262,214.96 5,179.11 24, 500. 00 6, 094. 58 48, 000. 00 4,150.00 20, 692.18 40, 824. 73 1, 50G. 92 280.00 63.16 76, 988. 00 2, 000. 00 1,102. 50 493, 596.14 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding Due to other national b a n k s Due to State b a n k s and b a n k e r s . 50,000. 00 47, 052. 28 8,490.00 2, 485. 46 Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursingoflicers. 285, 568.40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 493, 596.14 First National Bank, Santa Paula. C. H. MCKEVETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g liouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4120. $149, 627. 88 83. 63 18, 750. 00 1, 800. 00 $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000. 00 6,543.14 16, 870. 00 5, 700. 00 5,977.17 355. 78 6, 610. 54 1, 862.19 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ""435." 66" United States deposits 82.72 Deposits of U.S.disbursingofficers. 9, 989. 20 240. 00 Notes and bills rediscounted. Bills payable 843. 50 Liabilities other than those above 202,357. 61 Total. J o s . R. HAUGH, Cashier. Capital stock paid in . stated Total. 8, 944.47 202, 357.61 Santa Rosa National Bank, Santa Rosa. J. H. BRUSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. s. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 3558. $211, 808. 99 1, 260. 70 37,500. 00 13,172. 74 5, 000. 00 56,281.31 346. 54 7,512.09 1,887.72 24.15 23, 075. 00 255.00 F . A. BRUSH, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 775. 72 33,750. 00 Due to other national banks Due to State banks and bankers.. 834. 26 16, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers 156,451. 76 Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated 359, 811. 74 Total. 359, 811.74 REPORT OF TI1B COMPTROLLER OF THE CURRENCY. 27 CALIFORNIA. First National Bank, Stockton. H. H. HEWLETT, President. No. 2412. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, turn iture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JAS. H. HOUGH, Cashier. Liabilities. $679,026.25 ** 70, 000." 00 49,183.11 3,157.15 27,597. 39 1,822. 04 1, 712. 55 7,751.61 18, 522. 22 26.70 36, 221. 25 2, 779. 00 3,150. 00 900,949. 27 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoincers. $200, 000.00 60, 000. 00 175, 453.16 63, 000. 00 4, 8G5. 25 27,173. 42 40.00 370, 417. 84 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 900, 949. 27 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. CO L O R A D O . First National Bank, Alamosa. H. I. Ross, President No. 3114. W M . F . BOYD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S.'bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $79, 028. 65 470.79 12, 500. 00 1, 19, 6, 20, 16, 500. 00 295. 68 000.00 879. 65 552. 51 385. 60 2,192. 65 65.00 30.00 54.90 21,602. 10 4, 292. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 1,833.48 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 112, 328. 55 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 185,412.03 Total. 185,412. 03 First National Bank, Aspen. "WALTER S. CHEESMAN, President.' Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currencj*, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. G. LYSTER, Cashier. No. 3485. $261, 820. 30 51, 341. 54 25, 000. 00 25, 623. 52 6, 628. 82 10, 000. 00 148, 949.18 4. 753. 07 128, 242. 70 332.71 5,735.00 50. 05 85, 335. 20 7, 350.00 1,125.00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 7, 500.30 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 9, 367. 37 2,181. 50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 600, 746. 92 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 702, 296. 09 Total. 762, 296. 09 First National Bank, Boulder. A. J . MACKY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2352. $199,563.14 1, o07. 35 25, 000. 00 17,218.81 13, 250. 00 10, 079.10 71, 594. 24 172.42 20, 358. 87 2, 535. 04 2, 550. 00 12.14 17, 825. 25 7, 500. 00 "W. H. THOMPSON, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 20, 000.00 7. 825. 38 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits. Deposits of U.S.disbursing officers. 239, 765. 98 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 390, 091. 36 Total. 390,091.36 REPORT OF THE COMPTROLLER OF THE CURRENCY. 29 € OLOHADO. Boulder National Bank, Boulder. GEORGE R. WILLIAMSON, President. No. 3246. CHARLES 0. BROMLEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer XJ. S $105, 714.11 1, 713. 87 12, 500. 00 5, 624. 99 1, 000.00 12, 400.00 40. 563. 55 10, 560. 35 1, 267.03 180.00 51.15 13, 258. 90 2, 500. 00 Capital stock paid in. Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 10, 000. 00 3, 732. 27 11,250.00 845.00 132,075.18 Notes and bills rediscounted. Bills payable 502.50 Liabilities other than those above stated Total. 207,902.45 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 207, 902.45 National State Bank, Boulder. CHAS. G-. BUCKINGHAM, President Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,f urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2355. $190,136.92 1, 396. 85 20, 000. 00 20,250. 31 8, 000.00 28,168. 73 36, 011. 53 47.60 $55, 000. 00 S u r p l u s fund U n d i v i d e d profits, less c u r r e n t expenses and t a x e s paid N a t i o n a l - b a n k notes o u t s t a n d i n g . State-bank notes outstanding 20, 000. 00 D u e t o other national b a n k s D u e to S t a t e b a n k s a n d b a n k e r s . . 575.84 5,056.05 25,173.42 18, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 2, 665.00 57.90 24, 500. 00 5,581.00 Notes and bills rediscounted Bills payable 900.00 500.00 Liabilities other than those above stated Total . 338, 215.84 Total. J. H . NICHOLSON, Cashier. Capital stock paid in. 214,410. 53 338, 215.84 First National Bank, Canon City. J . H. PEABODY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3879. $73, 984.56 3,200. 65 12, 500. 00 1, 500.00 4,425.10 2, 000. 00 25, 775. 22 8,873. 86 3, 686. 27 159. 70 100. 00 31.77 7, 412.65 G, 125. 00 A. M. HAWLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers.. $50, 000. 0< 10,000.0' 259.7 11, 250. C 3, 326. • Dividends unpaid Individual deposits „ United States deposits Deposits of U. S. disbursing officers. 75, 50} Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 150, 337. 28 Total. 150,337.28 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. First National Bank, Central City. No. 2129. OTTO SAUER, President. F. H. MESSINGEB, Cashier, Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Banli'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $163, 878.40 5, 356. 55 12, 500. 00 1, 000.00 119,197. 02 10, 000. 00 2,16:5. 05 66, 290.18 2, 010.22 7, 568. 72 1,170. 87 1, 270. 00 220. 70 39, 417. 00 15, 260.00 562. 50 653. 50 Capital stock paid in . 40,000. 00 2, 829. 67 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits "United States deposits , Deposits of U.S. disbursing officers 344, 439. 04 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 448, 518.71 Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bauk notes outstanding. State-bank notes outstanding Total . 448, 518. 71 Rocky Mountain National Bank, Central City; T. H. POTTER, President. No. 1652. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ., Bank'ghouse,furniture,andfixtures f)ther real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit....' Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $224,137. 24 10,468. 56 15, 000. 00 24, 920. 63 5,400. 00 21, 224. 29 5, 492. 38 1, 695. 22 2, 515.73 3,134.00 203. 95 46,121. 85 3,130.00 675. 00 H. G. SHUCK, Cashier. Capital stock paid in . $60,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 2, 347.89 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofh'cers. 2G8, 270.! Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 364,118.85 Total. 364,118. 85 First National Bank, Colorado Springs. J. J. HAGERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc < KBank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2179. $778, 874.14 37, 729. 98 25, 000.00 128, 412. 29 13, 000. 00 211, 562. 73 28, 004.13 212, 014. 62 9, 611. 49 20, 283. 00 10,160. 00 265. 25 122, 940.00 15, 000.00 1,125. 00 5, 000. 00 1,618,982. 63 J. A. HAYES, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstauding 100,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 17, 234.58 49,166. 09 Individual deposits United States deposits DepositsofU.S.disbursingoflficers- 68,190. 69 21, 960. 00 1,262,431.27 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 018, 982.63 BEPOKT OF THE COMPTROLLER OF THE CURRENCY. 31 COLORADO. Exchange National Bank, Colorado Springs. D. M. HOLDEN, President. No. 8913. D. HERON, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band \ Premiums on U. S. bonds ! Stocks, securities, etc Bank'ghous6.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer XL S Total. $205,475.01 6, 473. 69 25,0U0.00 26, 204. 71 3, 000. 00 1, 7G2. 58 41, 893.12 96.80 39, 243. 73 8,450.46 3, 400.00 1.80 22, 620.15 8, 000. 00 1,125.00 1, 000. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers.. 20, 000.00 8,014.61 22, 500.00 338. 36 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiieersJ 212, 894. 08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 393, 747.05 Total. 393, 747. 05 First National Bank, Creede. J O H N MCDONOUGH, President. No. 4716. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits $32,101. 80 308. 88 12, 500. 00 Premiums on U. S. bonds Stocks, securities, etc Bank'ghousejfurniture^nduxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional cnrrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S 1,375.00 7, 042.42 6, 093. 99 1, 200.11 7,160.33 366. 60 1,044.13 Total 297.01 1,750.00 25.06 4,609.10 6, 750. 00 562. 50 83,186. 93 J. EDGAR BLACK, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 658. 75 542. 01 11, 290.00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 4.00 20,732.17 Notes and bills rediscounted Bills payable . . . . . . . . Liabilities other than those above stated Total 83,186.93 First National Bank, Cripple Creek. J. M. PARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures! Other real estate and mori g's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J.L.LINDSAY, Cashier. No. 4845. $93,478.00 Capital stock paid in . $50, 000.00 13, 209.99 12, 500.00 Surplus fund Undivided profits, less current 5,791. 49 expenses and taxes paid National-bank notes outstanding 11,250. 00 821.89 State-bank notes outstanding 1,142.40 Due to other national banks 623.72 92, 256.57 Due to State banks and bankers.. 21, 742.42 11,416. 56 Dividends unpaid 8, 643.04 Individual deposits 231,908.41 8,500. 00 United States deposits 40.25 Deposits of U. S.disbursing officers 30,172. 00 5,088. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 299, 573.62 Total. 299, 573. 62 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. First National Bank, Denver. DAVID H . MOFFAT, President. N o . 101G. G. E. ROSS-LEWIN, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $3,916, 271. 23 10,045. 65 200,000. 00 150, 000. 00 Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 37,114.98 National-bank notes outstanding. 288, 358. 51 State-bank notes outstanding 100, 000. 00 19, 395.00 158, 636.41 129,373.42 2,299, 903.25 999. 35 72, 714. 21 186,136. 00 722. 31 1,100, 778. 00 300, 000. 00 437, 789. 08 180,000 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 1,194, 394. 96 795, 059. 86 Individual deposits United States deposits Deposits of U. S.disbursing officers 5, 550, 900. 09 11,499.18 109, 205.15 Notes and bills rediscounted . Bills payable 9, 000.00 Liabilities other than those above stated Total. 8,879,448.32 8, 879,448. 32 American National Bank, Denver. No. 4159. F. P. ERNEST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bon-ds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouae,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $1,374, 609. 98 9,180.64 101, 000. 00 6, 000. 00 130, 232. 57 6, 400. 33 148, 338.10 62, 936.31 43, 875. 95 353,011.76 911.55 26, 807. 60 50, 889. 00 200. 54 219,341.00 50, 000. 00 4, 500. 00 HOWARD EVANS, Cashier Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 110,122. 20 154, 556. 64 Individual deposits United States deposits Deposits of U. S.disbursing officers 1, 522, 324.91 59, 768. 58 90, 000. 00 963. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 2,587, 735.33 2,587,735. 33 Colorado National Bank, Denver. CHAS. B. KOUNTZB, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S... - Total. No. 1651. !, 566,527. 03 29,771. 02 100, 000. 00 150, 000. 00 30, 000. 00 228, 069. 99 49, 000. 00 67, 400. 00 74, 924.39 51, 768. 55 746, 770. 34 12, 392. 86 80, 482.14 55, 317. 00 2, 935. 06 704, 893. 00 300, 000. 00 4, 500.00 550.00 5, 255, 301.38 G. B. BERGER, Cashier. Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 464, 652.38 270, 868. 88 Individual deposits United States deposits Deposits of U.S. disbursing officers 3,599, 713. 79 82,115.82 38, 000. 88 9, 949. 63 90,000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 5,255,301.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 33 COLORADO. Denver National Bank, Denver. JOSEPH A. THATCHER, President. No. 3269. J. C. MITCHELL, Cashier. Resources. Loans and discounts Overdrafts 17. S. bond* to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treas. U. S Total. Liabilities. $1,956,033.40 8,323. 80 50,000. 00 150, 000.00 Capital stock paid in . $500,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 23, 500.00 National-bank notes outstanding. 137, 461. 07 State-bank notes outstanding 19,660. 00 58, 069.12 Due to other national banks 15,425.15 Due to State banks and bankers . 44,150.12 717,491.26 Dividends unpaid 8, 622. 97 61, 707.46 Individual deposits 24,082.00 United States deposits 350. 00 Deposits of U.S. disbursing officers. 620,002.95 125, 000. 00 Notes and bills rediscounted Bills payable 2,250.00 1,150.00 Liabilities other than those above stated 150, 000. 00 Total. 4,023, 279,30 21,133.08 45,000. 00 454,712. 82 459, 276.30 2,274,745.90 28,848.18 89, 563.02 4,023,279.30 National Bank of Commerce, Denver. J. A. COOPEB, President. No. 4358. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand * Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. , 140,935. 03 12, 827.04 50, 000. 00 C. L . MCINTOSH, Cashier. Capital stock paid in . $500, 000. 00 Surplus fund 100,000. 00 Undivided profits, less current 32, 815. 35 expenses and taxes paid 45, 000. 00 6,000. 00 National-bank notes outstanding. 90, 928.68 State-bank notes outstanding 14, 000. 00 74,615.06 Due to other national banks 83, 340. 96 45, 821. 81 Due to State banks and bankers.. 8, 843. 30 228, 916.08 Dividends unpaid 4,467. 91 22,199. 32 Individual deposits 1,057,105. 87 13, 900. 00 United States deposits 518.07 Deposits of U. S .disbursing officers-! 201, 270. 00 50,000.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 1,892, 877.24 stated Total. 1, 892,877. 24 People's National Bank, Denver. M. J. LAWRENCE, President. Total. CUE, PT 2 F. C. SCHRADER, Cashier. No. 4084. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures >Otlier real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S - $541, 368. 25 7.C6 50, 000. 00 5, 000.00 3io, 666.66 1,484.42 386. 08 132.39 2, 341.49 21.50 1, 500. 00 480. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $600, 000. 00 60,000. 00 30,148. 42 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable , 200. 00 25,007.61 152,765.16 Liabilities other than those above stated 912,921.19 3 Capital stock paid in . Total. 912,921.19 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. First National Bank, Durango. No. 2637. A. P. CAMP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfisJtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $212,784.94 929.27 22, 000.00 2,400. 00 7,126.71 32,000.00 6, 250. 00 38, 763. 73 414.20 17,280. 69 192. 60 640. 45 2, 640. 00 8.15 28, 028.30 2, 000.00 990.00 374,456.04 Total. Cashier. Liabilities. Resources. $87,000.00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 17,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers 2,103.32 11, 593.79 204.71 19,800. 00 236,253. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 374,455.04 Smelter National Bank, Durango. C. E. MCCONNELL, President. No. 4776. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S.,bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Tianks cents. Fractional currency, nickels, Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $80, 594.19 5, 517.82 12, 500. 00 1,374. 24 5, 835. 60 10,420.71 3, 547.74 5,373.09 1,965. 91 53.91 287. 50 W. A. NICODEMUS, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits 12.95 Deposits of U.S.disbursingoflicers5,646.75 1,584.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 135, 285.91 Total. $50,000.00 11,250.00 70,936.09 2, 500.00 135,285.91 First National Bank, Fort Collins. FRANKLIN C. AVERY, President. Loans and discounts Overdrafts TT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghoase,furniture,andflxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 2622. $120, 804. 61 1,215.64 12, 500. 00 23,251.84 10, 000.00 800. 00 14, 464. 33 1, 680.18 8, 372.64 572.10 2, 680. 00 2o9. 00 14, 663.09 1, 500. 00 562. 50 213,335.93 G.A.WEBB, Cashier. Capital stock paid in Surplus fund Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.' State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. $50,000.00 35,000.00 3,156.90 11,250.00 45.34 113, 883. 69 213,335.9 REPORT OF THE COMPTROLLER OF THE CURRENCY. 35 COLORADO. First National Bank, Glenwood Springs. WALTER B. DEVEREUX, President. No. 3661. J. H. FESLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item~ Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $158,529. 53 4,'254. 09 25, 000.00 7, 072.36 43, 000. 00 1, 289.30 41, 818.50 6,325.10 243.17 775.00 22, 345.60 1,125. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 20, 000.00 17,732.63 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10,138.11 Individual deposits United States deposits Deposits of U.S.disbursing officers. 141, 406.91 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 311,777.05 311, 777.65 First National Bank, Grand Junction. GEORGE ARTHUR RICE, President. Loans and discounts Overdrafts.. U. S. bonds to secure circulation-.. U. S. bonds to secure deposits... U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouso,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 3860. 26, 500. 00 4,164. 56 22, 821. 24 3, 515. 46 413.19 """566.60 119.45 7, 449.10 2, 700. 00 $50,000.00 10,000.00 118. 68 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers - 80, 515. 53 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 1,500.00 Total. 153, 384.21 Total - J. F. MCFARLAND, Cashier. $52,927.97 Capital stock paid in. 1, 865. 64 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 600. 00 National-bank notes outstanding. 15, 745.10 State-bank notes outstanding 153, 384. 21 First National Bank, Greeley. A S A STERLING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3178. $174, 770.82 6,234.43 25, 000. 00 A. J. PARK, Cashier, Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 836. 21 State-bank notes outstanding.. 34, 500.00 10, 458. 59 Due to other national banks 34,122. 88 Due to State banks and bankers.. 14, 015. 24 Dividends unpaid 2,080.38 Individual deposits 430. 00 United States deposits 106. 09 Deposits of U. S.disbursing officers. 11, 000. 00 3, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated , 323,679. 64 Total. j $100,000.00 15,000.00 4,852. 34 22, 500.00 3, 602. 26 177, 665. 04 323,679.64 36 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO, Greeley National Bank, Greeley. J . L. BRUSH, President. No. 4437. CHARI.ES H. WHEELER, Cashier, Resources. Loans and disco lintsOverdrafts TJ. S. bonds to secure circulation... XL S. bonds to secure deposits U. S. bonds on hand v Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures1 Other real estate andniortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Liabilities. $139,1G7. 89 9, 248. 51 12, 500. 00 1, 500. 00 3, 904. 90 2, 945. 28 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks * 3,937*15"I Due to State banks and bankers.. 12.96 • 13,269.29 ! Dividends unpaid 1, 200. 45 ! Individual deposits 295.00 United States deposits 45. 01 Deposits of U.S.disbursing officers. \ 13, 975. 50 4, 500. 00 Notes and bills rediscounted ! Bills payable " 562." 50*! Liabilities other than those above stated 207,070.44 Total. $50,000. 00 Capital stock paid in. 10, 000. 00 7,124. 93 11, 250. 00 2, 497. 75 12G, 197. 76 207, 070.44 Total. First National Bank, G-unnison. SAMUEL G. GILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Preiniums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2686. $120, 200.41 1, G92. 56 12, 500. 00 $50,000.10 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,250.00 3,485. 41 13, 000. 00 2,679.91 j Due to other national banks 82,950. 76 Due to State banks and bankers.. 2,253.49 1 1 10,850. (il I Dividends unpaid 447.25 Individual deposits 231.00 United States deposits 17.00 Deposits of U.S.disbursing officers. 12, 335. 00 1, 250. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 265,705.90 Total - E. P . SHOVE, Cashier. Capital stock paid in. 10, 000. 00 20,781.06 9, 930. 00 6,275.48' 163,719.36; 265,705.90 Total. First National Bank, Idaho Springs. HENRY PLUMMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2962. $75,771.16 3, 430.28 12, 500. 00 WILLIAM L. BUSH, Cashier. Capital stock paid in. Surplus fund Undivii ivided profits, less current expenses and taxes paid National-bank notes outstanding. j State-bank notes outstanding 2, 000.00 950. 00 72, 561. 90 8, 600. 00 22, 505. 00 | Due to other national banks 24,418.87 i Duo to State banks and bankers.. 40.00 12, 524.12 Dividends unpaid. 613. 37 Individual deposits 1,090.00 United States deposits 21.25 Deposits of U.S.disbursing oilieers. 22, 735.00 20,901. 00 Notes and bills rediscounted **'*562."50 Bills payable Liabilities other than those above stated 281,230.45 Total. $50, 000. C O 50, 000. (0 2, 455. 31 11, 250.00 3, 756. 51 163,768. 63 281,230.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO, First National Bank, La Junta. ROBERT W. PATTERSON, President. R.PHILLIPS, Cashier. No. 4507. Liabilities. Resources. Loans and discounts *> Overdrafts ....... U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.! Due from approved reserve agents. I Checks and other cash items . J Exchanges for clearing house i Bills of other national banks j Fractional currency, nickels, cents.! Specie j Legal-tender notes | U. S. certificates of deposit | Redemption fund with Treas.U. S.j Due from Treasurer TJ. S $63, 879.03 1,463.66 12, 500.00 Capital stock paid in . Surplus fund »* Undivided profits, less current expenses and taxes paid 1,100. 00 National-bank notes outstanding. 5 9;S2.38 State-bank notes outstanding 2, 500. 00 974. 77 15,155.28 8,108. 79 52.79 202. 00 46.37 4, 081. 26 3, 000. 00 562.50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 6, 000. 00 1,831.85 11, 250. 00 90.00 50, 386.98 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 119, 558.83 Total. $50, 000. 00 Total. 119, 558.83 First National Bank, Lamar. B. B. BROWN, President. Loans and discounts Overdrafts , TJ. S. bonds to secure circulation... TJ, S. bonds to secure deposits U, S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ...,., Exchanges for clearing house Bills of other national banks , Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U, S. Pue from Treasurer U. S Total. No. 3749. $54, 275.59 Capital stock paid in . 218.63 12, 500. 00 Surplus fund 12, 238.10 7, 500. 00 5, 000. 00 12,186. 05 12, 883. 34 167. 32 200. 00 30.60 3,494. 00 600. 00 5i4,50 121, 888.13 W . C . G O U L D ; Cashier. $50,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid . Individual deposits United States depos-its Depositsof U.S.disbursingonicers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 4,000. 00 1,148. 89 11,250.00 55, 489.24 121,888.13 American National Bank, Leadville. ALBERT SHERWIN, President, Loans and discounts --..,. Overdrafts , TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits...... TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gfcouse, furniture,and fixtures Other real estate and mortg's owned P u e from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house . . . . . Bills of other national banks Fractional currency, nickels, cents. Specie iLegal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- No. 3949. $184, 269. 00 15.80 25, 000. 00 9, 452.85 35; 000.00 147,227.71 13, 965. 93 812.51 3,593.41 2, 520. 00 236. 55 62, 396. 80 22, 562. 00 1,125.00 2.50 F. O. STEAD, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding, State bank notes outstanding $100,000.00 50,000.00 13,486. 93 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 9,156.40 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 313,036.73 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 508,180. 06 Total. 508,180.06 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. € OLOBADO. Carbonate National Bank, Leadville. DAVID H. DOUGAN, President. No. 3746. GEO. TV. TRIMBLE, Cashier. Liabilities. Resources. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... | TJ. S. bonds to secure deposits ' U. S. bonds on hand ' Premiums on TJ. S. bonds | Stocks, securities, etc J Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $857,868.17 61.66 50, 000. 00 123,374.45 170, 578.34 17, 051. 42 338, 229. 06 9, 868. 88 1,694.18 32, 356.00 369. 00 137, 362.20 20, 000. 00 2, 250.00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid.... Individual deposits , United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 100, 000. 00 103, 683. 20 45, 000. 00 297.12 1, 312,083. 04 Liabilities other than those above stated 1, 761, 063. 36 Total. $200,000.00 1,761, 063. 36 Total. First National Bank, Longmont. THOMAS BUTLER, President. Loans and discounts ! Overdrafts | U. S. bonds to .secure circulation... I U. S. bonds to secure deposits j U. S. bonds on hand ' Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks 1 Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3354. E B E N W H I T E , Cashier. $52, 958. 37 177.47 12, 500. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 2,8i;2. 97 State-bank notes outstanding $50,000. 00 5, 000. 00 322. 68 11, 250. 00 7, 200. 00 15, 845. 41 8, 434. 28 3, 487. 51 25.00 15.28 6, 831. 05 935.00 562. 50 113, 084. 84 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingotticers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 740.00 45, 772.16 113, 084. 84 Farmers' National Bank, Longmont. F . H. STICKNEY, President. Loans and discounts Overdrafts U. S.bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total No. 4653. $137, 735. 82 35,696.57 15, 000. 00 1,500.00 733. 84 2, 800.00 "W. L. MCCASLIN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... Due to other national banks Due to State banks and bankers. 3, 430. 63 Dividends unpaid 1, 481. 92 Individual deposits 910." 66 United States deposits 116. 04 Depositsof U.S.disbursingofficers. 14, 286. 65 4, 500.00 Notes and bills rediscounted. Bills payable $60, 000.00 3, 500.00 5, 762. 08 13, 500. 00 9, 423. 22 6/5.00 125, 527. 61 Liabilities other than those above stated Total. 208, 289. 69 REPORT OP THE COMPTROLLER OF THE CURRENCY. 39 COLORADO. First National Bank, Montrose. No. 4007. T. B. TOWNSEND, President. E. L. OSBOEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghoii8e,furniture,andfixtures Other real estate and raortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total $73,083.12 1,026.18 13, 500. 00 10,161. 37 6,996.87 10, 547.09 6, 243.71 1,463.63 7,271.78 160. 80 540.00 11.95 2, 956.10 5, 800.00 595.50 2.50 Capital stock paid in $50, 000 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8, 349. 35 1,801.46 11,910.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 000.00 Individual deposits United States deposits Deposits of TJ.S.disbursmgoflicers- 66,299. 79 Notes and bills rediscounted Bills payable Liabilities other than those above stated 140, 360. 60 Total 140, 360.60 First National Bank, Pueblo. No. 1833. M. D. THATCHEE, President. $1,309,823.15 Loans and discounts 416.78 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... 50, 000.00 TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds 71, 318. 31 Stocks, securities, etc 30,000. 00 Bank'ghouse,furniture,and fixtures 39,634.22 Other real estate and mortg's owned 544,519. 70 Due from other national banks 49,465.94 Due from State banks and bankers. 316, 784.57 Due from approved reserve agents. 1, 213. 90 Checks and other cash items 13,826. 66 Exchanges for clearing house 2, 580.00 Bills of other national banks 144.41 Fractional currency, nickels, cents. 257,040.00 Specie '. 67,918.00 Legal-tender notes , TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer TJ. S Total. 2,806,935.64 R. F . LYTLE, Cashier. Capital stock paid in. $300,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 427,277.87 380, 283.04 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 51,089. 53 45,000. 00 1,458,913.08 42,770.49 1,601. 63 Notes' and bills rediscounted. Bills payable Liabilities other than those above stated Total. 2,806, 935. 64 American National Bank, Pueblo. OLIVER H. P . BAXTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due fiom other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ROBERT GIBSON, Cashier. No. 4108. $437, 435.92 5,452.14 50, 000.00 41, 590. 58 10, 000. 00 22, 932. 72 9, 804. 03 6,4C " 74, 591.04 3, 993. 55 """*356.*00* 175.07 9,379.94 14,000.00 2, 250.00 750.00 689,169. 22 Capital stock paid in. $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable 65, 000. 00 361.21 45, 000.00 23, 395. 59 15,192. 84 290, 219.58 0, , Liabilities other than those above stated Total. 689.169.22 40 REPORT OF THE COMPTROLLER OF THE CURRENCY* COLORADO. Central National Bank, Pueblo. No. 2541. D. L. HOLDEN, President. H. L. HOLDEN, Cashier, Resources. Liabilities. Loans antl discounts Overdrafts U. IS. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house .Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $76,139. 55 1! Capital stock paid in . { 3,992.57 i 12,500.00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. (5,313.46 State-banknotes outstanding 10,000.00 2, 666. 61 11, 250. 00 34,490.99 22. C 02. 82 I 14,289.73 j| Due to other national banks 192.00 I Due to State banks and bankers. 4,205.81 j Dividends unpaid 900.26 ! Individual deposits 500.00 ii United States deposits 54.15 i: Deposits oiU.S.disbursing officers. 8,300.00 : 5,608.00 ji 97, 044.23 Notes and bills rediscounted. Bills payable 5G2.50 Liabilities other than those above stated 170, 960. 84 Total. $50,000.00 Total. 170,960.84 Pueblo National Bank, Pueblo. D. R. GREENE, No. 4498. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... - U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 1 ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Duefrom State banks andbanlcers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $214,101. 62 1. 320.18 50, 000.00 5, 45, 6, 38, 1, 500.00 806. 25 000.00 653. 20 835.64 153.00 21,477.37 2,149. 26 101.11 14,142. 50 15, 338. 00 2, 250. 00 500. 00 N. D. HINSDALE, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding $250,000.00 7,000.00 45, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 377. 30 9, 086. 61 Individual deposits United States deposits Deposits of U.S.disbursing officers. 106,864. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 419, 328.13 419, 328.13 Stockgrowers' National Bank, Pueblo. GEO. H. HOBMON, President. Loan and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks [Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2310. $172, 808. 27 1, 393. 52 26,000. 00 1, 439. 44 3, 000. 00 8,563. 93 2, 055.19 380. 62 5,695.49 1,594.44 1, 855. 00 63.85 8, 638.10 3,344.00 1,147. 00 20.00 237, 998. 85 A. V. BRADFORD, Cashier. Capital stock paid in . $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 616.72 22,940. 00 Due to other national banks Due to State banks and bankers.. 126.61 15,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 96, 315.52 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 237,998.85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 41 COLORADO. Western National Bank, Pueblo. M. L. GRAHAM, S . No. 2546. Resources. Loans and discounts Overdrafts * U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bond son band Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouse,furniturP,andfixtnre-> Other real estate and niortg's owned Due from other national banks Due from State banks «nd bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S 8, 779. 63 30, 000. 00 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 397. 00 United States deposits 118.35 Deposits of U.S.disbursing officers. 7,196.10 16, 548. 00 Notes and bills rediscounted. Bills payable 6,566.54 23, 552.38 3,937. 50 34, 376.03 7, 000. 00 36, 092. 09 59, 720.19 10,100.83 22, 570. 89 3, 629,09 1,350. 00 520. 00 473, 748.18 Total. CHARLES E. SAXTON, Cashier. Liabilities. $231, 412. 48 Capital stock paid in. Liabilities other than those above stated Total. 3, 935.49 27,000.00 262, 693.77 473,748.18 First National Bank, Salida. No. 4172. E. K. NAYLOR, President Loans and discounts Ove rd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,andfixtures Otherreaiescateandmoitg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,ni- kels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $50. 370. 22 878. 88 12,500.00 1, 500. 00 29, 777. 37 8, 300. 05 1,205.15 54, 876. 85 3, 375. 56 56. 25 """ 130.66 35.90 15, 956. 25 6,234.00 562. 50 300.00 192,058.98 Total. D. H. CRAIG, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above suated Total. $50, 000.00 4,850. 00 1,041. 88 11, 250. 00 124,917.10 192, 058.98 First National Bank, Silverton. M..D. THATCHER, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2930. JOHN H. WERKHEISER, Cashier, $47,138.84 Capital stock paid in . $50, 000.00 6, 892. 90 12, 500. 00 Surplus fund 10,000.00 64,833.85 2,106.85 10,192.46 105, 378.17 7,220. 80 57.31 1, 285. 00 10.00 29, 594.70 19, 400. 00 562. 50 307.173.38 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,371.67 11,250.00 Due to other national banks Due to State banks and bankers... Dividends unpaid 38.11 240.47 | Individual deposits j Un ited States deposits t Deposits of U.S.disbursing officers. 234,273.13 Notes and bills rediscounted. Uillspayable Liabilities other than those above stated Total . 307,173.38 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. First National Bank, Telluride. WM. STORY, President. No. 4417. J. E. BKOWN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate andmortg'a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bank 3 Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $54,770.79 3, 855.18 18,750.00 4,941.46 40, 000. 00 6, 852. 27 10,453. 95 2, 421.46 949. 30 284.02 60.00 56.65 9,138.10 70.00 843. 75 Capital stock paid in . $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,000. 00 6, 227. 73 16, 575. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 52,644.20 Notes and bills rediscounted Bills payable Liabilities other than those above stated 153,446.93 153,446. 93 Total. First National Bank, Trinidad. M. D. THATCHEB, President. H. J. ALEXANDER, Cashier. No. 2300. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits... . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $357,321.85 653. 06 25,000.00 31,990.20 5, 000. 00 472. 40 204,935. 33 73. 26 67,157.59 " 6, 310.* 46* 1,190. 00 270. 00 27, 350. 00 9, 688. 00 1,125. 00 Capital stock paid in . $100, 000.00 Surplus fund Undivided profits, less current expenses aud taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid - 9, 002.47 35,160.18 Individual deposits United States deposits Deposits of U.S.disbursingoflicers - 469,871.56 77, 002. 94 22, 500.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 738, 537.15 738,537.15 Trinidad National Bank, Trinidad. E. D. WIGHT, President. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. K. HOLLO WAY, Cashier. No. 3450. $135, 777.90 1,245.29 25,000. 00 16, 482.69 10,000.00 22, 850. 00 22, 940. 97 1, 656. 08 19, 626.11 3,383.45 $100,000.00 Capital stock paid in Surplus fund - . . • . Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . . . 2,618.50 22,500.00 Dne to other national banks Due to State banks and bankers.. 2.00 Dividends unpaid . .... Individual deposits 785." 00" United States deposits 15.54 Depositsof U.S.disbursingoflicers. 13, 591.45 7, 500.00 I Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above 281,979.48 Total 136,858.98 20,000.00 281,979.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 43 CONNE CTICUT. Ansonia National Bank, Ansonia. No. L093. CHAS. fi. PINE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total $256, 669.93 4, 555.03 50, 000. 00 328, 000. 00 15, 000. 00 7, 330.13 76, 817.17 791. 83 1, 074. 00 336. 04 48, 486. 50 9, 524. 00 2, 250. 00 FRED. M. DREW, Cashier. Liabilities. Capital stock paid in Surplus fund TJndivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $200, 000. 00 100,000. 00 19, 623.44 45, 000. 00 71,125. 61 1,109.02 320.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 363,656. 56 Notes and bills rediscounted Bills payable Liabilities other than those above Total 800,834.63 800, 834. 63 First National Bank, Bridgeport. W M . E. SEELEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 335. $514, 726. 37 1,596.83 160,000.00 50, 000. 00 385, 840. 0b 3, 000. 00 133,275.48 4,561.79 45, 37G. 28 21, 306. 85 12, 838. 00 53.12 13, 941. 02 35, 000. 00 7, 200. 00 1,338,715.74 O. H. BROTHWELL, Cashier. Capital stock paid in . Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $210,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 218, 409. 39 26, 324.85 Individual deposits United States deposits Deposits of (J.S.diabursingofficers. Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 552,104.06 45, 921. 74 671.61 105,000. 00 36,284.09* 144, 000. 00 1,338, 715. 74 Bridgeport National Bank, Bridgeport. T. B. D E FOREST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 910. $607, 462. 86 268. 94 100, 000. 00 10, 000. 00 86, 350. 00 50, 000. 00 40,021. 25 63,141.15 19, 697.44 3, 000. 00 3,015.36 39, 036.00 5, 000. 00 4, 500.03 1, 031, 493.00 F. N. BENHAM, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding $215,850.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 101,926. 47 2, 909. 29 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 453, 368. 75 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 112,000. 00 56,188.49 89,000.00 250.00 1, 031, 493.00 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. City National Bank, Bridgeport. E. G. SANFORD, President. No. 921. FREDERICK J. BANKS, Cashier Resources. Loans and discounts * Overdrafts * U. S. bonds to secure circulation... XT. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'ghousc, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes., U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $752,620. 05 615.58 50,000.00 30,158.33 40, 000.00 55,443.04 25, 977. 31 135,885. 82 22, 677. 00 14, 550.00 345.57 15, 000. 00 34, 500. 00 2, 250.00 1,300.00 $250,000.0C Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150,000. 00 Due to other national banks Due to State banks and bankers.. 103, 542.13 6, 768. 39 Dividends unpaid 541.00 559, 510. 07 United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,181, 331.70 Total 65, 970.11 45, 000.00 Total 1,181,331.70 Connecticut National Bank, Bridgeport. S, W. BALDWIN, President. Loans and discounts ., Overdrafts , U, S. bonds to secure circulation.., U. S. bonds to secure deposits..,. U. S.bonds on hand ....* Premiums on U. S. bonds ,, Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ,. Total ,.,.„..,...,,,..., No. 927. $949,442.30 1,724.29 100, 000. 00 11,000.00 "8*6* 000." 00 57, 660.01 18, 921.42 25, 923.15 6, 975.00 61.37 17,000.00 15, 000.00 4,500. 00 7, 000.00 H. S. SHELTON, Cashier, Capital stock paid in.. $332,100.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 74, Oil. 97 2, 466. 06 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and billsrediscounted. Bills payable , 54, 974.52 90, 000.00 192.00 621,462.99 20, 000.00 Liabilities other than those above stated 1,295,207.54 Total. 1,295,207.54 Pequonnock National Bank, Bridgeport. DAVID TRUBEE, President. Loans and discounts Overdrafts U, S. bonds to secure circulation... TJ. S. bonds to secure deposits...... U.S. bonds on hand .r-. Premiums on U. S. bonds . . . . . . . . . . Stocks, securities, etc ...... t Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned Due from other national banks Pue from. State banks and bankers. Due from approved reserve agents. Checks and other cash items .. Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer U. S Total. No. 928. $517, 690.10 106.95 50, 000.00 I. B. PRINDLE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 6, 000.00 National-bank notes outstanding. 71,191.11 State-bank notes outstanding 25, 000.00 Due to other national banks 67, 934. 67 Due to State banks and bankers.. 10, 942.93 102, 303.51 Dividends unpaid 7,356.75 Individual deposits 3,062.00 United States deposits 246.80 Deposits of U.S.disbursingofficers 18, 485. 00 23, 000. 00 Notes and bills rediscounted. Bills pavable $200,000.00 100,000. 00 17, 782. 3.1 45,000. 00 57,587.44 1,731.39 401. 00 484,067.68 1,000.00 !! Liabilities other than those above ij stated 906,569.82 Total. 906,569.82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 45 CONNECTICUT. Bristol National Bank, Bristol. No. 2250. JOHN H. SESSIONS, President. C. S. TREADWAY, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation TJ. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bilis of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. Liabilities. $374, 880.28 1,177.38 25, 000. 00 41, 087.06 8, 500. 00 2, 397. 67 90. 578.53 2, 249. 39 3,150.00 G73. 24 14, 674. 00 20, 240. 00 1,125. 00 585, 732.55 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 30, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 37,832. 32 7, 586.40 State-bank notes outstanding Individual deposits. United States deposits.. Deposits of TJ. S. disbursing officers -'. 38, 303.43 22, 500.00 100.00 349,410.40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 585, 732.55 Clinton National Bank, Clinton. No. 1314. L. L. HULL, President. Loans and discounts I Overdrafts U. S. bonds to secure circulation... | U. S. bonds to secure deposits — . j U. S. bonds on hand : Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Dvie from other national banks j Due from State banks and bankers. Due from approAredreserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $40,711.27 15.97 75,000.00 6,262.50 70, 954. 53 9,000.00 599.48 31,485. 56 153.10 3, 820.00 46.57 9, 814. 50 1,010. 00 3,375.00 252, 248.48 E. E. POST, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75, 000.00 19,000. 00 1,284.01 67,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6,203.00 5,115.46 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 78,005.51 140. 50 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 252,248.48 Danbury National Bank, Danbury. S. H. BUNDLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 943. J . AMSBURY, Cashier. $481, 349.59 Capital stock paid in. $327,000.00 1, 064.23 50, 000. 00 Surplus fund 73,000. 00 Undivided profits, less current expenses and taxes paid 27,644. 73 2,350. 00 National-bank notes outstanding. 45, 000.00 79, 840. 07 State-bank notes outstanding 53, 671. 51 13. 000. 00 Due to other national banks 87,617. 71 17, 912. 51 8, 355.72 Due to State banks and bankers.. 146,420. 08 402. 29 4,198. 00 1, 469.14 26, 736. 52 2,000. 00 2,250. 00 882,663.94 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 121. 00 313,924.78 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 882,663.94 46 KEPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE CTICUT, National Pahquioque Bank, Danbury. A . U. TVILDMAN, President. No. 1132. M . H . GrRiFPiNG, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ... Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total . Cashier. Liabilities. Resources. $430, 523. 81 4,12+. 61 100, 000. 00 11,875. 00 104,171. 68 30,000.00 7, 500. 00 10, 922. 62 123, 553. 64 15,964. 79 405.00 310.76 4, 770.50 24, 728. 00 4, 500. 00 Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding... 50, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 123,904. 64 16, 651. 60 Individual deposits United States deposits Deposits of U.S.disbursing officers 282, 340. 75 60,815.42 88, 700. 00 938. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 873,350.41 873,350.41 First National Bank of Killingly, Danielsonville. ABNER YOUNG, President. Loans and discounts Overdrafts U. S.fcondsto secure circulation... U. S. bonds to secure deposits U. S. bonds on h*nd Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andiixturesi Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 450. $124, 524. 39 50, 000. 00 2, 500. 00 49, 000. 00 2, 000. 00 2, 543. 78 i7, 024.60 5, 094. 180. 7, 416. 14, 400. 00 04 00 GO H. N. CLEMONS, Cashier. Capital stock paid in. $110,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13, 709. 82 Individual deposits United States deposits Deposits ofU.S.disbursingotticers. 94, 843. 61 2, 379. 38 45, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total . 276, 932. 81 276, 932.81 Windham County National Bank, Danielsonville. C. S. BURLINGAME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1360. $93,415.18 15.05 30, 000.00 2, 000. 00 12, 450. 00 4,100.00 1, 700. 00 2,174.10 16, 840. 62 530.43 930. 00 93.64 5, 595.40 5, 700. 00 1,350.00 CHAS. P. BACKUS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50, 000.00 1, 931.42 27, 000. 00 4, 628. 78 300.04 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 92,944.18 Notes and bills rediscounted Bills payable Liabilities other than those above stated 176,894.42 Total 176,894.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 47 CONNECTICUT. Deep River National Bank, Deep River. JR. P. SPENCER, President. No. 1139. R. L. SELDEN, J R . , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer XT. S Total. $225, 558.47 620.43 50,000. 00 11,468. 75 8, 200. 00 3,770.71 28,148.66 1,152.84 2,000.00 56.35 13,305.00 2,250.00 Capital stock paid in . $150,000.00 Surplus fund Undivided profits, less cuurent expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000. Op 7,441. 20 45, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 10, 343. 79 4, 500. 01 Individual deposits XTnited States deposits Deposits of XT.S.disbursing officers. 97,862. 92 87.00 "Notes and bills rediscounted Bills payable Liabilities other than those above stated 346,531. 21 Total . 1, 236.29 346, 531.21 Birmingham National Bank, Derby. CHAS. H. NETTLETON, President. Loans and discounts , Overdrafts XT. S. bonds to secure circulation... XT. S.bonds to secure deposits... IT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's «wned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer X . S T Total. CHAS. E. CLARK, Cashier. No. 1098. $063, 656. 70 3, 275. 01 125,000.00 25,000. 00 96,500. 00 30, 000.00 36,437. 09 1.75 54,872.48 1, 384. 00 764.00 467. 00 18, 033. 88 16, 612.00 5,625.00 1, 077,628.91 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid . . . . National-bank notes outstanding. State-bank notes outstanding $800, 000.00 200, 000. 00 12, 066. 74 112, 370. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 81,461.82 17,14-2. 55 Individual deposits XTnited States deposits Deposits of XT. S.disbursing officers. 354,112.80 475.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 077, 628.91 National Bank of New England, East Haddam. JULIUS ATTWOOD, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... XJ. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 'Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer X . S T Total. N o . 1480. $134, 406.10 79.11 41,000.00 3,320.21 29, 361.82 9,000. 00 3,300.00 3,897.81 6,637. 99 21,051.73 772.36 1,190.00 92.53 10,618.75 4,265.00 1, 845. 00 270,838.41 JAMES H. MORTON, Cashier. Capital stock paid in . $130,000. 00 Surplus fund XTndivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 881. 71 36,400.00 Due to other national banks Due to State banks and bankers.. 15,138.63 112.47 Dividends unpaid Individual deposits XTnited States deposits Deposits of XT.S.disbursing officers. 8,000.00 411.50 74, 894.10 Notes and bills rediscomnted . Bills payable Liabilities other than those above stated . , Total. 270,838.41 48 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. National Iron Bank, Falls Village. No. 1214. ALMON C. RANDALL, President. Resources. Loans and discounts. Overdrafts TL S. bonds to secure circulation... | U. S. bonds to secure deposits U. S. bonds on hand ; Premiums on IT. S. bonds J Stocks, securities, etc I Bank'ghonse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from Slate banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. DWIGHT E. DEAN, Caihier. Liabilities. $251,073. 50 1, 668.05 50, 000. 00 Capital stock paid inSurplus fund , Undivided profits, less current expenses a#d taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 20.00 United States deposits 140. 96 Depositsof U.S.disbursingomcers 11,778. 00 1, 500. 00 Notes and bills rediscounted 2, 250.00 Bills payable Liabilities other than those above stated 382,211.80 Total. 30,432. 20 3, 000. 00 40,000.00 2,971.46 45, 000. 00 2,500. 00 4, 642.13 6, 251. 08 47,274.42 113. 66 66.00 63, 742.14 382, 211. 80 First National Bank, Hartford. C. D. RILEY, Cashier, No. 121. $1,700,096. 03 Capital stock paid in Loans and discounts $650, 000.00 558. 00 Overdrafts 50,000. 00 Surplus fund U. S. bonds to secure circulation... 130, 000. 00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 48,219.53 2,000. 00 Premiums on U. S. bonds National-bank notes outstanding. 42,800.00 46, 000. 00 Stocks, securities, etc State-bank notes outstanding 82,000. 00 Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned 242, 429.41 Due to other national banks 132,196. 23 Due from other national banks 5, 060. 31 7, 572. 06 Due to State banks and bankers.. Due from State banks and bankers. 267, 644. 02 Dividends unpaid 390. 00 Due from approved reserve agents. 7, 243. 70 Checks and other cash items 11, 014. 51 Individual deposits 1,286,779. 53 Exchanges for clearing house 3, 943. 00 United States deposits Bills of otker national banks 45.23 Depositsof U.S.disbursingomcers. Fractional currency, nickels,cents. 81, 516. 00 Specie 10,600. 00 Notes and bills rediscounted . Legal-tender notes Bills payable U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 1,000.00 Liabilities other than those above Due from Treasurer U. S stated 2,405,678.78 2,405,678.78 Total. Total. JAMES H. KNIGHT, President. JEtna. National Bank, Hartford. A. Gr. LOOMIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S .,.,» Total...,,...,,.,,..., No. 750. A. SPENCEB, JR., Cashier. ! 010,176.16 Capital stock paid in . , 1.34 50,000.00 Surplus fund 302,484.37 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits , United States deposits Depositsof U.S.disbursingomcers Notes and bills rediscounted 2, 250. 00 Bills payable Liabilities other than those above stated 46, 504. 20 7, 350.45 117, 784. 64 393. 27 13, 278. 95 1,731.00 72.83 105,951. 30 36, 706. 00 2,754,684.51 Total. $525,000.00 300,000.00 70,154.67 44,935. 00 57,699. 75 13,017.53 80.00 1, 743,797.56 2,754,684.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 49 CONNECTICUT. American National Bank, Hartford. ROWLAND SWIFT, President. J. H. KING, Cashier. No. 1165. Resources. Liabilities. Loans and discounts $1, 833,326.91 Capital stock paid in Overdrafts 1, G49. 59 U. S. bonds to secure circulation... 50,000.00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits expenses and taxes yaid U. S. bonds on hand 4, 000. 00 National-bank notes outstanding. Premiums en U S. bonds 17, 500. 00 State-bank notes outstanding Stocks, securities, etc Bank'g hou se, furniture, and fixtures Other real estate and mortg's owned Dae to other national banks 74, 017. 58 Due to State banks and bankers. Due fro.m other national banks 19.93 Due from State banks and bankers. 338,838.13 Dividends unpaid Due from approved reserve agents. 1,043.15 Checks and other c<ish items 4, 720. 55 Individual deposits Exchanges for clearing house 31, 795. 00 United States deposits Bills of other national hanks 321.49 Deposits of U.S.disbursingofficers. Fractional currency, nickels, cents. 113, 895. 00 Specie Not es and bills rediscounted Legal-tender notes Bills payable IT. S. certificates of deposit '2*250* 66" j| Redemption fund with Treas. IT. SLiabilities other than those above Due from Treasurer U. S stated Total Total. 2,472,777.33 $000, 000. 00 253, 000. 00 97, 444.79 45, 000. 00 117, 319.34 568.00 1, 359, 445. 20 2,472, 777. 33 Charter Oak National Bank, Hartford. No. 486. J. P. TAYLOE, President. M. A. ANDREWS, Cashier, $1,026, 832. 55 Loans and discounts Capital stock paid in. 7, 742. 74 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 50, 000.00 Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand National-bank notes outstanding. Premiums on U. S. be nds 57,600.00 | State-bank notes outstanding..... Stocks, securities, etc 17,000.00 I Bank'ghouse furnitiire,and fixtures D i e to other national banks Other real estate and mortg's ow.ed 7, 473. 43 Due to State banks and bankers.. Due from other national banks 439.96 Due from State banks and bankers. 78,141. 27 Dividends unpaid Due from approved reserve agents. 32.84 Checks and other cash items 8, 529.91 Individual deposits Exchanges for clearing house 7, 707. 00 United States deposits Bills of other national banks 356. 73 Deposits of U.S.disbursingofneers. Fractional currency, nickels, cents. 59, 478. 07 Specie 7, 016. 00 Notes and bills rediscounted. Legal-tender notes Eills payable U. S. certificat es of deposit Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated Total. Total 1, 380, 000. 50 $500, COO. 00 50, 000. 00 33, 664. 62 45, 000. 00 3, 240. 81 1,187.29 24.00 709, 219. 60 35, 508. 38 2, 755. 80 1, 0.50 Farmers and Mechanics' National Bank, Hartford. JOHN G-. ROOT, President. No. 1321. Loans and discounts-. Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due fr m other national banks Due from State banks and bankers. Due from approved reserve agents. i hecks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total &TIR, PT 2 $1,024, 600. 70 497. 57 50,000. 00 5, 000. 00 347,758. 05 20,000.00 243, 436.90 14, 584.47 246,116.43 3, 917.19 11,616.72 6,400. 00 204. 59 108,139. 55 12, 400.00 2,250.00 $500, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank noes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks I Due to State banks and bankers.. Dividends unpaid 221, 070. 92 190, 754.52 Individual deposits United States deposits Deposits of U. S.disbursing officers. 978,127. 87 62, 722.86 43, 820.00 426. C O Notes and bills rediscounted Bills payable | Liabilities other than those above stated 2,096,922.17 4. WM. TV. SMITH, Cashier. Capital stock paid i n . Total 2,096,922.17 50 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE C TICUT. Hartford National Bank, Hartford. JAMES BOLTER, President. No. 1338. W. S. BRIDGMAN, Cashier. Resources. Liabilities. $4,136, 664. 37 Loans and discounts Capital stock paid in. 746. 35 Overdrafts 50, 000.00 Surplus fund TJ. S. bonds to secure circulation . . . Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid TJ. S. bonds on hand National-bank notes outstanding. Premiums on U. S. bonds 85,639. 04 State-bank notes outstanding Stocks, securities, etc 40, 000. 00 Bank 'g house, furniture, andiixtures Other real estate and mortg's owned Due to other national banks 355, 888. 52 Due to State banks and bankers.. Due from other national banks 33, 252. 55 Due from State banks and bankers. 244, 591. 64 Dividends unpaid Due from approved reserve agents. 4, 086.33 Checks and other cash items 5, 487. 53 Individual deposits Exchanges for clearing house 1, 570. 00 United States deposits Bills of other national banks 192. 93 Depositsof U.S.disbursing officers Fractional currency, nickels, cents. 338,419.00 Specie 9, 602. 00 Notes and bills rediscounted. Legal-tender notes Bills payable TJ. S. certificates of deposit 2,250. 00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 1, 000.00 Liabilities other than those above stated Total. Total. 5,309,420. 26 1, 200, 000. 00 600, 000. 00 117, 8G9. 30 44,100.00 249,230. 61 101,587.67 413. 00 2,996,219.68 5, 309, 420. 26 Mercantile National Bank, Hartford. J . B . POWELL, President. No. 1300. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, t>tc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $798,338. 79 873. 39 50, 000.00 11, 900.00 5, 000. 00 158, 787. 70 33,196. 00 167, 515. 25 890.71 5, 868. 00 2,330. 00 304. 36 57,211.65 6, 000.00 2, 250. 00 1, 000. 00 EDWIN BROWER, Cashier. Capital stock paid in . $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 43,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 233, 291. 63 38, 900.11 Individual deposits United States deposits Deposits of U.S. disbursing officers 403,122. 08 37, 544. 03 45, 000. 00 108.00 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 1, 301,465.85 1, 301, 465. 85 National Exchange Bank, Hartford. J. K. REDFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items, Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 361. $1,268,764.03 1,463.46 50, 000. 00 3, 000. 00 51,250.00 30, 000. 00 55, 751. 71 661. 69 161, 798.89 1,295.93 18,455. 02 2,798. 00 116. 62 56,432. 60 4,989. 00 W. S. WOOSTER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500, 000.00 150, 000. 00 45, 827.98 44, 050. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 95, 929.11 Individual deposits United States deposits Deposits of U.S. disbursing officers. 872, 815. 61 404. 25 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 1,709, 026.95 Total. 1, 709,026.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 51 CONNECTICUT. Phoenix National Bank, Hartford. F. L. BUNCE, Cashier. No. 670. H. A. EEDFIELD, President. Liabilities. Resources. $2, 081,152. 86 Loans and discounts 2, 977. 51 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 1, 375. C O Premiums on U. S. bonds 5,100. 00 Stocks, securities, etc 183, 903.19 Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned 177, 335. 57 Due from other national banks 1, 570. 67 Due from State banks and bankers. 195, 310. 01 Due from aj>proved reserve agents. 1,223.86 Checks and other cas-h items 5, 487. 33 Exchanges for clearing house 2, 930. 00 Bills of other national banks 368. 32 Fractional currency,nickels, cents. 131, 272. 20 Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. 2, 250. 00 Due from Treasurer U. S 2, 842, 256. 52 Total. $1, 000, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 500, 000.00 Due to other national banks 107, 759. 08 76,414.78 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers. 79, 642. 84 45, 000. 00 1,985.00 1,031,454. 82 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 2, 842,256.62 First National Bank, Litchfield. GrEO. E . J O N E S , CHAS. E. WILSON, Cashier. No. 709. $200, 000. 00 Capital stock paid in. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank/ghouse/urnitur^and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $387, 564.09 "260,600.06 Surplus fund Undivided profits, less current expenses and taxes paid 11,700. 00 National-bank notes outstanding. 1, 275. 00 State-bank notes outstanding 10, 221. 80 Due to other national banks 8, 936. 72 Due to State banks and bankers.. 273. 70 57, 416.73 Dividends unpaid 803. 36 Individual deposits 500. 00 United States deposits 105. 32 DepositsofU.S.disbursingofficers 4, 087. 55 1, 900. 00 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above stated Total. '3, 784. 27 Total. 40, 000.00 36, 964. 58 172, 500. 00 16,423. 87 3, 530.97 152. 00 224,212.85 693, 781. 27 First National Bank, Meriden. No. 250. JOHN D. BILLARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $546,983.21 2, 291. 35 50, 000. 00 105, 000. 00 70, 000. 00 C. L. ROCKWELL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 20, C 29,105. 81 3, 617. 25 4, 750. 00 87. 85 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofticers. $300, 000. 00 150,000.00 7,090.54 43,450. 00 68, 049.27 781.29 112. 00 307, 417.90 14,126. 75 28, 0C0. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 876, 901. 00 stated Total. 876,901.00 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE C T I C U T . Home National Bank, Mer-den. No. 720. A . CHAMBERLAIN, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bouds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. J. S. NORTON, JR., Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 33, 000. 00 164, 200.65 $600, 000. 00 Dae to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits $648, 244.83 3, 264. 40 400, 000. 00 78, 321.10 18, 899. 61 120, 000. 00 41, 876. 24 348, 350. 00 50, OVJO. 00 17, 35, 2, 91. 2, 500. 00 079.16 920. 34 020.06 576. 08 9, 579. 00 940. 23 I i Deposits of U.S.disbursingoflicers 60, 776. 00 795. 00 I Notes and bills rediscounted 1 18, 000.00 455. 00 330, 084. 40 jj Bills payable Liabilities other than thoso above stated 1, 537, 986.35 Total 1,537, 986. 35 Meriden National Bank, Meriden. No. 1382. O. B. ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $464,040. 50 426. 08 50,000. 00 83, 052. 28 29, 882. 31 25, 562. 00 ! 32,662. 84 908. 60 5,485. 00 261. 32 21, 546.00 13, 000. 00 GEO. M. CLARK, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid SB, 468. 79 1, 359.45 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 182,891.03 Notes and bills rediscounted "27256*66' Bills payable Liabilities other than those above stated Total . 729, 076.93 85, 000. 00 20, 608. 66 44, 250. 00 4, 317.00 2,182.00 729, 076. 93 First National Bank, Middletown. SETH H. BUTL::R, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalloanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ENOS G. CAMP, Cashier. No. 397. $200, 000. 00 Capital stock paid in. 50,000. 00 Surplus fund 40, 000. 00 Undivided profits, le3S current expenses and taxes paid 40, 561. 66 National-bank notes outstanding. 45, 000. 00 122,852. 79 State-bank notes outstanding $287, 279. 42 13, 786. 88 181. 81 35, 792. 57 6, 506. 63 "4*887.66 74.08 23,193.00 4, 700. 00 2, 250. 00 500.00 552, 004.18 Due to other national banks Due to State banks and bankers.. Dividends unpaid 24, 787. 45 338. 64 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 201, 26G. 43 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 552, 004.18 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, Central National Bank, Middletown. A. C. MARKHAM, President N o . 1340. R. C. MARKHAM, Cashier. Liabilities. Resources. Loans and discounts O verdrafts TJ. S. bonds to secure circulation.-. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house,furniture,and fixtures Other real estate and mortg's owned' Due from other national banks Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash i terns Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption-fund with Treas. U.SDue from Treasurer TJ. S Total. Capital stock paid in $150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 229. 86 6, 277. 58 Individual deposits ; I United States deposits ji Deposits ofU.S.disbursing officers. 162, 366. 55 3,975.61 70, 550. 00 821.75 Notes and bills rediscounted Bills payable Liabilities other than those above stated 452, 221. 35 Total. 452, 221. 35 Middlesex County National Bank, Middletown. JAMES K. GUY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U . S . bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 845. W. B. HUBBARD, Cashier. $432, 939. 05 j Capital stock paid in . 396. 91 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 77, 621. 70 State-bank notes outstanding 13, 800. 00 2, 000. 00 Due to other national banks 28, 550. 62 Due to State banks and bankers.. 5, 898. 07 74, 783.46 Dividends unpaid . 1, 545. 70 Individual deposits. 1, 405. 00 United States deposits 816.95 Deposits of U.S. disbursing officers. 20,400. 00 3,751. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 2, 000.00 Liabilities other than those above stated Total. 718,158. 46 $350, 000.00 70, 000. 00 7, 045. 77 44,300.00 74. 624.47 4,765. 56 92. 00 167, 330.66 718,153.46 Middletown National Bank, Middletown. MELVIN B. COPELAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1216. $516,201.97 2, 019. 69 365, 000. 00 249,183.48 38, 500. 00 35, 670.71 514. 70 43,186.34 3, 844. 61 6, 719. 00 . 271.83 20, 825. 50 5,400. 00 10, 425. 00 1, 000. 00 1, 304, 702. 83 WM. H. BURROWS, Cashier. Capital stock paid in Su rplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $369, 300. 00 150, 000. 00 69, 815. 00 317, 650. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 23, 906. 02 3, 234. 35 Individual deposits , United States deposits Deposits of U.S. dibursing officers. 370, 800.46 57.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 304, 762.83 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Mystic River National Bank, Mystic. IP. M. MANNING, President. No. 645. H. B. NOTES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand. Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bnnkers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Total. $145,474. 20 5,126.71 100, 000. 00 44, 000.00 Capital stock paid in. $100,000.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 20, 000.00 48,564. 20 88, 730. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8,818. 20 29, 463. 52 Individual deposits 2,000.00 | United States deposits 34.82 ! Depositsof U.S.disbursing officers. 17,353.05 1 1 2,560.00 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 90, 294.05 8, 322.99 55, 475. 50 1,057.70 385, 904.97 Total. 35.00 385, 904. 97 Naugatuck National Bank, Naugatuck. GEO. A. LEWIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3020. $344, 718. 49 930. 35 100, 000. 00 15, 000. 00 9,198. 45 16, 001. 68 219, 364. 99 1, 474. 55 6, 709. 00 121. 71 24, 348. 65 4, 500.00 A. H. DAYTON, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstauding 40, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 76, 572. 05 Individual deposits United States deposits Depositsof U. S.disbursing officers 425,101.48 10, 334. 34 90, 000. 00 360. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 742,367.87 742,367. 87 Mechanics' National Bank, N e w Britain. J . B. TALCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks aod other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3668. $526, 349.15 918.90 WM. E. ATTWOOD, Cashier. Capital stock paid in Surplus fund **i66,'666."66' Undivided profits, less current expenses and taxes paid 12, 200. 00 National-bank notes outstanding. 45, 956. 25 State-bank notes outstanding 2, 000. 00 Due to other national banks 4, 435.19 Due to State banks and bankers.. 5, 512. 75 73,157.46 Dividends unpaid 2, 300. 33 Individual deposits 1, 210. 00 United States deposits 212.07 Depositsof U. S.di sbursing officers. 25, 417. 70 8, 500.00 Notes and bills rediscounted Bills payable 4,500.00 Liabilities other than those above stated 812, 669.80 Total. $100,000. 00 25, 000.00 16,239.79 89, 200.00 62,801.62 1,561.84 517, 866.55 812, 669.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 55 C ONNE C TICII T. New Britain National Bank, New Britain. A. J . SLOPER, President. No. 1184. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. 8. Due from Treasurer U. S Total $706, 917.58 5,168.15 100,000.00 1, 000. 00 102,830.04 20, 000.00 2, 644. 28 36, 111. 08 2, 292. 53 49, 999. 26 3, 383. 28 11,297.66 68. 52 63,087. 25 9,193. 00 4, 500.00 1,208, 431. 97 E. N. STANLEY, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $310, 000. 00 155, 000. 00 78, 798. 82 88,200. 00 56, 862.41 6, 970. 25 22.50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 512, 577.99 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1,208, 431.97 First National Bank, New Canaan. RUSSELL L. HALL, No. 1249. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $128,459.42 1,875.00 92, 000.00 12, 000. 00 5, 17, 5, 2, 500. 00 000. 00 680. 93 825. 94 854. 35 3,273. 89 1.95 915. 00 4,911.21 3,505.00 4,140. 00 280, 942.69 Total. S. T. ST. JOHN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank motes outstanding. State-bank notes outstanding $100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 13, 374. 37 14, 600. 00 3,301.43 81, 595. 00 620.50 55,501. 39 11, 950.00 280,942. 69 First National Bank, New Haven. PIERCE N. WELCH, President. Loans and discounts Overdrafts No. 2682. r . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $887, 001. 57 4, 662. 59 50, 000. 00 113,815.89 266,422.43 30, 825.95 147.48 139,115.90 6. 580. 23 8,445. 98 9,874.00 75.96 60,220. 00 5,000. 00 2, 250. 00 1,000. 00 1,585,437. F R E D . B. BUNNELL, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 29,146.06 4, 934. 64 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 200,000.00 61. 695.87 45, 000. 00 744, 661.41 1,585,437.98 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Second National Bank, New Haven. A. D. OSBORNE, President. No. 227. CHAS. A. SHELDON, Cashier. Resources. Loan s and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned] Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasury U. S Total. Liabilities. $881, 399. 24 11.11 300, 000. 00 50, 000. 00 340, 044. 58 CO, 000. 00 156, 097. 38 9,813. 43 156, 297.49 3, 589. 24 7,167.10 17, 279.00 260. 29 85,895. 00 15, 000. 00 13, 500. 00 4, 500. 00 Capital stock paid in. $500, 000.00 Surplus fund Undivided profits, less current | expenses and taxes paid Rational-bank notes outstanding. State-bank notes outstanding 370, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 103,131.91 35, 724.19 Individual deposits United States deposits . DepositsofU.S.disbursingofficers. 705, 030. 78 33,975. 04 3, 450. 22 79, 300. 72 270, 000. 00 235.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 2,100, 853.86 2,100, 853. 86 Merchants' National Bank, New Haven. CHARLES S. MEESICK, President. Loans and discounts | Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned I Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. D. A. ALDEN, Cashier. No. 1128. $872, 084. 04 13. 285. 09 150,000.00 8, 500. 00 53, 6U5.00 25, 000. 00 10,082.13 120, 557. 97 9, 009. 71 178, 034. 32 2, 821. 47 12, 249.17 6. 584. 00 175.70 42, H85. 00 23, 300. 00 Capital stock paid in . $500,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 72,500. 00 17, 022.18 134,100. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 174, 647.03 36, 295. 27 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 614, 552.49 336. 63 Notes and bills rediscounted. Bills payable 6, 750. 00 Liabilities other than those above stated Total. 1, 549, 453. 60 1, 549, 453. 60 National New Haven Bank, New Haven. WILBUR F. DAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Kedemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1243. $718,756.14 98.00 300,000. 00 33,755.20 309, 227. 08 32, 000. 00 14, 002.18 8,969.15 208, 481. 07 10, 619. 55 20, 521. 78 6, 000.00 ' 200.00 47. 521. 76 5,' 000. 00 EOBERT I. COUCH, Cashier. Capital stock paid in . $464,800.00 S u r p l u s fund 203, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30,146.46 265, 560. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 59, 725. 78 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 704,168. 67 1, 251. 00 Notes and bills rediscounted. Bills payable 13,500. 00 Liabilities other than those above stated , 1,728,651.91 Total. 1,728, 651. 91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 57 CONNECTICUT. National Tradesmen's Bank, New Haven. GEO. A. BUTLER, President. No. 1202. W. T. FIELDS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g ho use, furniture, and fixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks .and other cash items Exchanges for clearing house Bills of other national banks -Fractional currency, nickels, cents. Specie . Legal-tender notes Redemption fund with Treas. U. S. Due from Treasurer U . S Total $908, 464. 82 2, 470.74 50, 000. 00 Capital stock paid in $300, 000. 00 Surplus fund j Undivided profits, less current expenses and taxes paid 4, 000. 00 National-bank notes outstanding. 177,260. 00 50, 000. 00 206, 647.17 579, 596. 64 13. 907. 26 7,058.41 6, 500. 00 323.89 46, 779. 60 11,440.00 2. 250. 66 2, 066, 698.53 120, 000.00 43, 024. 30 45,000. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 605,721. 71 23, 242.76 224.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 8G9,485. 76 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 2, 066,698. 53 New Haven County National Bank, N e w Haven. E. G-. STODDARD, President. No. 1245. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $745, 670. 24 8, 289. 69 200, 000. 00 50,000. 00 82, 700. 00 6, 000. 00 ' $350, 000. 00 Surplus fund | Undivided profits, less current j expenses and taxes paid | National-banknotes outstanding.I State-bank notes outstanding ! 200, 000. 00 Due to other national banks 41, 598. 84 2,138. 75 Due to State banks and bankers.. 151, 841. 93 1, 088.41 Dividends unpaid 23. 928.16 11. 276.00 Individual deposits 355.00 United States deposits 31, 671.74 Deposits of U.S.disbursingofiicers. 8,344.00 Notes and bills rediscounted 9, 000. 00 Bills payable Liabilities other than those above 1, 374, 502. 76 Total. H. Gr. REDFIELD, Cashier. Capital stock paid in stated Total. 32,576.19 179,000.00 17, 680. 95 509.17 353.95 594, 382.50 1, 374, 502.76 Yale National Bank, N e w Haven. S. E. MERWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . XT. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks [Fractional currency, nickels, cents. Specie .' Legal-tender notes U. S-. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 796. $883,421.11 200. 37 100, 000. 00 J . A. RICHARDSON, Cashier. Capital stock paid in . $500, 000.00 Surplus fund Undivided profits, less current I expenses and taxes paid 13, 625. 00 I National-banknotes outstanding. 310, 985. 78 State-bank notes outstanding 150, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 241, 607. 27 11,687. 38 Individual deposi ts United States deposits Deposits of U.S.disbursing officers. 853, 072. 29 65, 463. 39 90, 000. 00 89, 000. 00 138, 913. 02 16, 710. 35 255, 786.15 14, 731. 07 14,064.61. 3,100. 00 29.87 48, 943.50 17, 000. 00 4, 500.00 950. 00 1, 911,960. 83 130. 50 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total 1,911, 960.83 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. National Bank of Commerce, New London. CHAELES BARNS, President. No. 666. G E O . B. P E E S T , Cashier, Resources. Liabilities. $508, 005.64 1, 074.23 50,000.00 50, 000.00 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S 8, 000. 00 264, 553.76 12, 556. 00 15, 465. 35 5, 000.00 170, 717.59 14,136.82 10, 586. 00 254. 73 62, 000. 70 8, 203.00 2, 250.00 Total. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 831.19 44, 020. 00 Due to other national banks Due to State banks and bankers.. 12, 099. 56 1, 924. 68 60,000. 00 7.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 647, 556.12 34, 994.83 6,370.44 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 1,182,803.82 Total . 1,182,803. 82 National Whaling Bank, New London. S. D. LAWEENCE, President. No. 978. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $19,107.50 B. A. COPP, Cashier. Capital stock paid in. $150,000.00 "37," 500." 66' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 230,951. 65 State-bank notes outstanding 4, 000.00 Due to other national banks 14, 568. 03 Due to State banks and bankers.. 62, 827. 07 Dividends unpaid 4,110. 86 Individual deposits 2, 570. 00 United States deposits 75.13 Deposits of U.S.disbursing officers. 12,921.00 3, 800. 00 Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated Total. 394,118.74 Total . 40,000.00 94, 898. 05 28, 950.00 14,027. 70 340.00 65, 902.99 394,118.74 New London City National Bank, N e w London. J". N. HAEEIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. i No. 1037. $219,379.54 744. 93 50, 000. 00 5, 000.00 83, 741. 25 8, 000. 00 3, 730. 25 1,812.39 77, 292. 84 9,407. 04 1, 915. 00 225. 00 18,317.62 6, 000.00 2,250.00 487,815.86 W. H. ROWE, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 22, 826.15 45,000.00 Due to other national banks Due to State banks and bankers . 11, 067.99 707.94 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 30,000.00 03.00 278,150.78 Notes and bills rediscounted Bills payable , Liabilities other than those above stated Total. 487, 815. 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 59 CONNECTICUT. First National Bank, New Milford. No. 1193. A. B. MYGATT, President. H . S. MYGATT, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $290, 550. 93 303. 38 50,000. 00 2, 500.00 2, 000. 00 7,000.00 4,481. 27 4, 747. 25 1,317.43 83,969. 09 4,862. 38 2, 020. 275. 11, 529. 5, 000. 00 70 00 00 2, 250. 00 1, 000. 00 Capital stock paid in. 25, 000. 00 Due to other national banks. Due to State banks and bankers.. Dividends unpaid 50, 801.91 Individual deposits United States deposits Depositsof U.S.disbursingomcers. 197, 040. 45 30, 953. 75 45, 000.00 4.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 473, 806.43 Total. $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 6.32 473, 806. 43 Central National Bank, Norwalk. GEO. M. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2342. $275,266. 56 996. 58 50, 000. 00 2, 875.00 500. 00 2,000. 00 12, 800.00 34, 543.17 26,147. 26 2, 034. 72 315. 00 232.98 17, 921. 75 7, 813. 00 2, 250. 00 "WM. A. CURTIS, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 9, 539. 58 43, 920. 00 Due to other national banks Due to State banks and bankers.. 55,278.04 Dividends unpaid 72.00 Individual deposits United States deposits Depositsof U.S.disbursingoflicers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 435, 696. 02 18,500. 00 188, 386.40 20,000.00 435, 696.02 Fairfield County National Bank, Norwalk. E. O. KEELER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure depositsU. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 754. $254, 079. 60 111.36 200. 00 19, 000.00 13, 000. 00 19,000.00 8,955.12 29, 394.38 511.17 ""hlY. 66' 40.76 8, 205. 00 3, 240. 00 4, 590. 00 560, 074. 39 L. C. GREEN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 7, 600. 00 8, 214. 44 175, 590. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 221. 85 4, 947. 76 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 161,839.79 260.55 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 560, 674. 39 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE C T I C U T . National Bank, Nor walk. No. 942. E. HILL, President. H. P. PRICE. Cashier. Resources. Liabilities. Loans and discounts 0 verd rafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits $337,609. 66 3, 043, 41 240, 000. 00 Premiums onU. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S 32,250. 00 81.996.95 33, 000. 00 17, 275.11 3 112.62 13J 405. 45 2, 596. 04 65.00 50.67 16, 859.10 8, 966. 00 10, 800. 00 Capital stock paid in Due to other national banks Due to State banks and bankers.. Dividends unpaid 43, 048. 65 14, 297.58 209, 000. 00 44, 655. 86 102. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 249, 925. 92 Notes and bills rediscounted Bills payable . . - . Liabilities other than those above stated . . 801, 030. 01 Total $240,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 801, 030. 01 First National Bank, Norwich. No. 458. CHAS. BARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other realestate andmortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $789, 237.18 2, 238. 51 250,000.00 27, 500. 00 45, 447.50 30, 000. 00 10,000.00 13, 845. 58 1,412.00 59, 015. 92 23,197. 22 3,715. 00 59. 76 17, 700. 00 7, 000. 00 11,250.00 j $400, 000. 00 Surplus fund : Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 58, 000. 00 18, 860. 46 225, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 60,163. 27 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 429,265. 94 Notes and bills rediscounted. I Bills payable 329.00 100, 000. 00 Liabilities other than those above stated 1, 29L 618. 67 Total. L E W I S A. HYDE, Cashier. Capital stock paid in 1, 291, 618. 67 Total. Second National Bank, Norwich. C. P. COGSWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds | Stocks, securities, etc ! Bank'g house.furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 224. ;472,065.95 4,190. 34 50,000.00 5, 000. 00 5, 206. 36 15,000.00 2, 717. 52 8, 869 42 90. 00 11,185.64 3,195.11 5, 970. 00 417.15 45,102. 00 7, 000. 00 2, 250. 00 6:J8, 379. 49 I . L. PECK, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000.00 32,400.00 17, 686. 28 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19,021. 39 5, 811. 33 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 218, 320.49 140. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 638,379. 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 61 COIVNEC T I C U T , Merchants' National Bank, Norwich. J . HUNT SMITH, President. No. 1481. CHAELES H. PHELPS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gho use, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $236, 058.04 727. 01 100,000. 00 Capital stock paid in . 407, 354.03 Total. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding10, 850. 00 State-bank notes outstanding 5, 000. 00 Due to other national banks 3, 244. 69 204. 35 Due to State banks and bankers.. 20, 718. 28 Dividends unpaid 7, 762.85 Individual deposits 5,071.00 United States deposits 29.56 Deposits of U.S.disbursing officers. 10, 088. 25 3,100. 00 Notes and bills rediscounted . Bills payable 4, 500. 00 Liabilities other than those above stated 20, 000.00 24,128. 45 88, 357.50 10,459.52 183. 00 164, 225.56 407,354.03 Total. Thames National Bank, Norwich. No. 657. E. N. GIBBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S t, 186,306.25 2, 954. 39 50,000. 00 50,000. 00 9, 288. 00 93, 350. 00 33,400. 00 27, 198, 65, 22, 588.14 322. 05 641.40 908. 72 45,129. 00 733.17 229, 456. 75 10, 000. 00 2, 250. 00 500.00 $1,000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 600, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 56, 388.07 9,655.46 Individual deposits United States deposits Deposits of U. S.disbursing officers. 114, 951.78 45, 000. 00 3,160.35 1,151, 701. 37 46, 970. 84 Notes and bills rediscounted . Bills payable Liabilities other than those above stated 3, 027, 827.87 Total. CHAS. W. GALE, Cashier. Capital stock paid in . 3, 027,827.87 Total. Uncas National Bank, Norwich. D. B. SPALDING, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g ho use,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1187. $177,198.05 221.10 50,000.00 2, 000.00 25, 949.92 5,000. 00 10,485.33 3, 784. 78 169.02 890.76 825. 00 35.08 5,312.76 2,500.00 2, 250. 00 286, 621. 80 WALTER FULLER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 20,000.00 4,234. 70 44, 320.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11, 853. 57 Individual deposits United States deposits Deposit s of U. S. dis bur sin g officers. 81,179. 53 34.00 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 25, 000. 00 286,621.80 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE C T I C U T. Pawcatuck National Bank, Pawcatuck. J. A. BROWN, Cashier. No. 919. PELEG CLARKE, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks .*. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $113, 317. 25 25,000.00 5, 000. 00 1, 600. 00 16, 111. 22 6, 000. 00 1, 285. 21 307. 92 15,215.17 1,343. 65 95.00 30.04 3, 065. 50 1, 560. 00 1,125. 00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 10,700.00 3, 479.14 22, 050. 00 4, 079. 67 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 50, 747.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 191, 055.96 Total. $100, 000.00 Total. 191,055. 96 First National Bank, Portland. F . GILDERSLEEVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JNO. H. SAGE, Cashier. No. 1013. $177, 344. 66 Capital stock paid in . $150,000.00 78.70 100, 000. 00 Surplus fund 30, 000. 00 Undivided profits, less current expenses and taxes paid 12, 445. 08 6, 000. 00 National-bank notes outstanding . 86, 070. 00 52, 032. 00 State-bank notes outstanding 9, 200. 00 Due to other national banks 11, 333. 53 534.73 9, 723. 92 Due to State banks and bankers.. 49, 672. 69 Dividends unpaid 45.00 3, 405.12 Individual deposits 127, 712. 74 780. 00 United States deposits 1,108.64 Deposits of U.S.disbursing officers. 2, 975. 35 1, 320. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 418,141. 08 Total. 418,141. 08 First National Bank, Putnam. J. W. MANNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 448. $173,531.69 12.66 50, 000. 00 151,340. 00 10, 000.00 JOHN A. CARPENTER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000. 00 60, 000. 00 12, 996. 22 43, 520. 00 50, 748.14 508. 96 Due to other national banks Due to State banks and bankers.. Dividends unpaid 38,115.39 489.34 Individual deposits United States deposits Deposits of U.S. disbursing officers. 5,162. 32 160,188.53 1,511.00 584.71 7,700.00 | 12,000.00 ! Notes and bills rediscounted. Bills payable 2,250.00 1 1 Liabilities other than those above stated , 465,349. 48 Total. 40.00 465,349.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 63 CONNECTICUT. Thompson National Bank, Putnam. JAS. N. KINGSBURY, President. No. 1477. CHABLES ARNOLD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums onTJ. S. bonds Stocks, securities, etc I Bauk'ghouse,furniture,andfixtnres Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks [Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $61,151. 57 " 25,666. bo" 1,432. 50 30, 589. 61 7, 260. 00 1,061.00 654. 26 ;0,355.92 656. 72 1, 045.00 341.53 7, 6G5. 80 6. 935. 00 Due t o other national b a n k s 6, 200. 00 8,990. 60 22,100. 00 629.94 Due to State banks and bankers.. Dividends unpaid 216.50 Individual deposits United States deposits Deposits of U.S.disbursing officers. 62,136. 87 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated Total . 175, 273. 91 Total. $75,000.00 Capital stock paid in Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 175,273.91 First National Bank, Rockville. N o . 186. GEO. TALCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure^circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $296, 261. 69 687. 33 80,000. 00 JOHN H. KITE, Cashier. Capital stock paid in., $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 35, 440. 79 State-bank notes outstanding 5, 500.00 Due to other national banks 2,137.21 Due to State banks and bankers.. 10, 026. 80 35, 076. 30 Dividends unpaid 237. 99 Individual deposits 560. 00 United States deposits 82.88 Deposits of U.S.disbursing officers. 8. 73C 25 7; 155. 00 Notes and bills rediscounted Bills payable 3, 600. 00 Liabilities other than those above stated 485, 502.24 Total . 40,000.00 12,340.53 72, 000.00 5, 919. 58 110. 00 155,132.13 485, 502.24 Rockville National Bank, Rockville. A. P. HAMMOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks , Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 509. $369, 660. 87 1,831.22 150, 000. 00 7, 500. 00 150, 541. 29 64,900.00 6, 775. 00 C. E. HARWOOD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000.00 34, 500.00 7, 032.09 132. 630. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 24,837.78 21,141.77 Individual deposits "*2," 249." 66' United States deposits 89.43 Deposits of U.S.disbursingofficers. 318, 377.70 342.86 43,146.92 467. 35 28, 587.40 15, 915. 00 Notes and bills rediscounted. Bills payable 237.00 10,000.00 6,750. 00 Liabilities other than those above stated 848, 756. 34 Total. 848,756.34 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, Southington National Bank, Southington. C. D. BARNES, President. No. 2814. L. K. CURTIS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aiul fixtures Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $191, 459. 77 *"'25,'6o6."o6" 2,000. 00 17,606. OO" 29, 052.54 623.41 1, 527.00 61.04 12, 075. 00 850.00 605.00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19, 331.72 147.74 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 112, 111. 10 7,621. 20 22, 500.00 42.00 Notes and bills rediscounted... Bills payable Liabilities other than those above stated 280,253.76 Total. 280,253.76 First National Bank, South Norwalk. DUDLEY P . ELY, President. No. 502. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers.' Due from approved reserve agents. j Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U. S Total. $167,004.62 25, 000.00 1,500.00 3,277. 26 20, 000. 00 12,403. 96 22,495. 03 294.40 500. 00 196. 72 5,463. 00 1,000. 00 1,125. 00 CHARLES E. FERRIS, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid Natioual-bank notes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 29, 805. 77 Individual deposits United States deposits Deposits of U.S. disbursing officers 73, 756. 24 14, 603. 98 22, 000. 00 94.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 260,259.99 Total. 260. 259.99 City National Bank, South Norwalk. R. H. ROWAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2643. $242, 255. 54 2, 000. 54 75, 000. 00 4,845. 00 96,484. 09 1,265.49 5,934.04 45, 399. 29 6, 921. 62 3,030.00 32.73 9,991.00 9, 060. 00 3, 375. 00 505, 594.34 JACOB M. LAYTON, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 60,000. 00 18, 836. 72 66,400.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 12,697.92 1,005.52 Individual deposits United States deposits Deposits of U.S.disbursing officers. 243, 654.18 3, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 505,594.34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 65 CONNE C T I C U T , Southport National Bank, Southport. E. C. SHERWOOD, President. No. 660. OLIVER T. SBERWOOD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.TT. S. Due from Treasurer U. S Total. Liabilities. $57,698. 99 Capital stock paid in. 9. 82G. 68 100, U00. 00 Surplus fond 180, 540. 00 7, (500.00 2, 972.80 10,137.00 9, 940.73 1,221. 00 112. 97 1, 831. 75 5, 020. 00 4,500. 00 $100,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 40,000. 00 24,407. 20 88, 600. 00 14,021.99 22, 632.03 42.00 101, 748.70 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 391,451.92 Total . 391,45]. 92 First National Bank, Stafford Springs. C. L. DEAN, No. 3914. President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures1 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. Surplus fund Undivided profits, less current 4,250.00 expenses and taxes paid 15,083.43 National-bank notes outstanding. 15, 000. 00 State-bank notes outstanding $50,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 31,076.22 4, 079.37 Individual deposits United States deposits Deposits of U.S.disbursing officers. 104,195. 54 28, 772. 63 518. 77 6,565. 00 171.61 7, 007. 50 3, 000. 00 1,687. 50 8,300. 00 2,155. 98 32, 570. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 232, 377. 06 Total . E. Gr. SANFORD, Cashier. $112, 668.03 152. 59 37, 500. 00 232,377.06 First National Bank, Stamford. No. 4. A. R. TURKENTGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, PT 2 $423, 758.74 484. 75 200, 000.00 248, 071. 25 39, 000. 00 14, 756. 79 4,404. 08 73, 217. 95 17,294. 60 1,000. 317. 31, 364. 29, 813. 00 70 00 00 9,000.00 1, 092, 482.86 H. BELL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000.00 100, 000. 00 86,537.10 175,700. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 50, 254.19 1,309.24 Individual deposits .United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 478, 370.33 312. 00 1,092,482.86 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Stamford National Bank, Stamford. CHARLES A. HAWLEY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house...... Bills of other national banks.. A.. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S No. 1038. $522,498.13 250.36 200,000. 00 9, 000. 00 115, 734.17 3, 000. 00 3, 778. 91 19, 024.10 50,314.17 6,314.92 1,220.00 371.36 17, 538. 90 20,353.00 9,000.00 5, 000. 00 983,398.02 Total. JOHN B. EEED, JR., Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding $202, 020. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 68, 828.47 181. 86 100, 000.00 27,001. 66 176,490. 00 1, 056. 06 407, 819. 97 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 983, 398. 02 First National Bank, Stonington. No. 735. W. J. H. POLLARD, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nick els, cents. Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $88, 966. 82 1, 007. 26 100, 000. 00 6, 000.00 215,681.08 2, 000.00 891. 64 61,403.37 1,125. 64 410.00 134. 47 13, 866.14 1, 935.00 4,500.00 497,921.42 N. A. PENDLETON, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other thanthose above stated Total. 18, 357.10 691. 97 67,000. 00 8, 503. 35 87, 282. 00 188. 00 115, 899. 00 497,921.42 First National Bank, Suffield. I. L. SPENCER, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. S. FULLER, Cashier. No. 497. $100,000.00 Capital stock paid in. Surplus fund 50, 000.00 Undivided profits, less current expenses and taxes paid 3,195. 56 National-bank notes outstanding. 88, 790.00 138, 800.00 State-bank notes outstanding $39, 569. 99 513.95 100, 000. 00 5,000. 00 13, 081.24 17, 907.24 1, 560.98 32.88 12, 000. 00 5, 441. 00 4, 500. 00 338,407.28 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 815. 02 3, 788. 33 Individual deposits United States deposits Deposits of U.S.disbursingofiicers 87,818.37 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 338,407. 29 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, Thomaston National Bank, Thomaston. A. J. HINE, President. No. 3964. F. I . ROBEKTS, Cashier. Resources. Liabilities. Loans and discounts $79,460.13 1,177. 30 12,500.00 Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificate^ of deposit Redemption fund with Treas. U. S. 1,250. 00 34, 350. 00 1, 000. 00 415. 73 249.70 18, 89G. 30 44.47 1, 840. 00 129.45 6, 775. 00 3, 000. 00 $50,000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 505.83 11,050. 00 Due to other national banks Due to State banks and bankers.. 9, 320.21 205. 32 Individual deposits United States deposits Deposits of U.S.disbursing officers. 72,413. 88 6,155.34 Notes and bills rediscounted Bills payable 10,000.00 562. 50 Liabilities other than those above stated Total Total 161, 650.58 161,650. 58 First National Bank, "Wallingford. W. J . LBAVBNWOBTH, President. No. 2599. $239,479.70 10,343. 68 100, 000.00 Loans and discounts Overdrafts U. S. bonds t© secure circulation.. U . S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture,andfi xtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witk Treas. U. S. Due from Treasurer U. S 15,000.00 1,000.00 20, 000. 00 1, 804. 97 2.27 53, 590. 77 5, 552.14 *"i.*4i8.*66' 191.32 7, 440. 00 2, 000. 00 4, 500. 00 W I L L I A M H. NEWTON, Cashier. Capital stock paid in \ $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22,500.00 Due to other national banks Due to State banks and bankers.. 36, 963. 91 3,963. 00 6,019. 38 90, 000. 00 Dividends unpaid 75.00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 152, 801. 46 Notes and bills rediscounted Bills payable Liabilities other than these above Total. 462, 322.75 stated Total. 4G2, 322. 75 Fourth National Bank, Waterbury. D . S. P L U M E , No. 3768. President. $£11,481.52 80.82 25, 000. 00 Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc J Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractionaleurrency. nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B . Gr. B R Y A N , Capital stock paid in . Surplus fund Undivided profits, less current Cashier. $100, 000. 00 20, 000. 00 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding j 37, 027.14 5, 939. 73 21,008.60 625. 52 7, 380. 00 221.48 20, 403. 25 1,987.00 1,125.00 432, 280. 06 23, 212. 37 21, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofU. S.disbursing officers. 19,169.95 66.00 248,331.74 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 432, 280. 06 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, Citizens' National Bank, Waterbury. F . J . KINGSBURY, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc J Bank'g house, furn iture, andfixtur esj Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centa. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S No. 791. $754, 014.21 15, 000. 82 80, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid . > Individual deposits 11, 556. 00 United States deposits 114.85 Deposits of U.S.disbursing officers. 28, 897.15 10, 000. 00 Notes and bills rediscounted . Bills payable 112,531.34 12, 649. 24 8, 656. 25 *9,'5O6."66 36, 902. 24 9,107. 24 52,158. 38 3, 090. 91 100,000.00 20, 239. 36 72, 000. 00 604.30 407,703.81 3, 600. 00 2, 230. 00 Liabilities other than those above 1, 025, 728.05 Total. F. L. CUBTISS, Cashier. Liabilities. stated.. Total . 1,025,728.05 Manufacturers' National Bank, Waterbury. DAVID B. HAMILTON, President. Loans and discounts I Overdrafts | U. S. bonds to secure circulation...I U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds \ Stocks, securities, etc | Bank'g house.furniture,and fixtures Other real estate and mortg's owned. Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2494. $377,348.05 1,912.59 25,000.00 CHAS. F . MITCHELL, Cashier. Capital stock paid i n . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20f 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 25, 981. 54 4, 075. 29 7, 638.72 22, 500. 00 1, 500. 00 52* 041.'88 76, 883. 96 1, 742.11 2, 565. 00 250.31 46,163. 65 2, 000.00 Individual deposits United States deposits Depositsof U.S disbursing officers Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 588, 532. 55 Total . 20.00 408, 317.00 588,532.55 Waterbury National Bank, Waterbury. AUGUSTUS S. CHASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 780. A. M. BL4 KESLEY, Cashier. $500, 000.00 Capital stock paid in. Surplus fund 250,000.00 Undivided profits, less current expenses and taxes paid 27,324. 26 National-bank notes outstanding. 90,000.00 29, 700.00 State-bank notes outstanding. ,247,936.90 i 4,867.68 j i 100,000.00 25, 000. 00 Due to other national banks 66, 561. 09 13,005.12 Due to State banks and bankers. 164,502. 62 Dividends unpaid 6,489.66 Individual deposits 5,128. 00 United States deposits 3,436. 62 Deposits of LT.S.disbursing officers 188, 773.36 46,078.24 780.00 702,061.83 87, 000. 00 30, 550. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 16,340. 00 Liabilities other than those above stated 1,805,017.69 Total . 1, 805, 017. 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 69 COWNEC T I C U T . First National Bank, Westport. HOBACI STAPLES, President. No. 394. B. L. WOODWORTH, Cashier. Resources. Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Total Liabilities. $130,878.49 24.65 65,000.00 Capital stock paid in $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 580. 00 National-bank notes outstanding. 162, 814.49 State-bank notes outstanding 15, 000.00 Due to other national banks 2,152. 76 Due to State banks and bankers.. 28, 832.09 518.55 Dividends unpaid 60,000.00 10, 866.43 53,100. 0C 17,920.37 157. 0' Individual deposits United States deposits Deposits of U.S.disbursing officers. 772.00 24. 28 13, 726. 50 2, 000. 00 Notes and bills rediscounted Bills payable 2,925.00 Liabilities other than those above stated 430,248.81 Total 83,205.0 430, 248. 81 Hurlbut National Bank of Winsted, West Winsted. H E N R Y G A Y , President. « Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Ba nk 'g ho use, furniture, an dfixtu res Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. N o . 1494. $499, 662.08 2, 777. 09 100, 000. 00 904. 44 15,152. 90 4, 870.58 124, 652.75 2,526.43 438.00 349.71 1,155.00 39,090.00 4,500.00 C. B . HOLMES, Cashier Capital stock paid in . $205, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 102,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 47, 803.60 20,068. 26 Individual deposits United States deposits Deposits of U.S.disbursing officers 32,975.64 90,000.00 297,731.48 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 796,078.98 796,078. 98 Windam National Bank, Williinantic. G-TJILFOBD SMITH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits... U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furn i ture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S <Total. No. 1614. $238, 262. 32 2,166. 52 50, 000.00 4, 000.00 94, 281. 25 7,000.00 2,534.81 8,125.97 75,250.00 5,403.44 10, 000.00 212.94 25, 665. 04 H . C. LATHROP, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 23, 071. 45 39, 368.49 Individual deposits United States deposits Deposits of U.S.disbursingofficers 269,023.77 7,344.58 45, 000. 00 744. 00 Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above stated 525,152.29 Total. 525,152. 29 70 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. First National Bank, Winsted. D. STRONG, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,ami fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks - -. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.' Due from Treasurer TJ. S Total. No. 2414. FRANK D. HALLETT, Cashier. Liabilities. $92, 737.72 "25," 666." 6b' 410. 00 19, 9G5. 45 1,449.79 1,042. 97 5,738.11 96.75 54,301. 89 324. 89 747.00 44.34 2,258.95 5, 525. 00 1,125.00 210,767.86 Capital stock paid in . $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11,500.00 Due to other national banks , Due to State banks and bankers. 16, 847.04 1, 502.95 4,446.94 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 78, 970.93 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 210, 767.86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 71 DELAWARE . Delaware City National Bank; Delaware City. HENRY CLEAVER, President. No. 1332. Resources. F . MCINTIRE, Cashier. Liabilities Loans and discounts Overdrafts XJ. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Dae from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $93,741.24 115.89 52, 000. 00 $60, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2, 500.00 National-bank notes outstanding. 2U0. 00 State-bank notes outstanding 8, 500. 00 4, 300. 00 Due to other national banks 327.33 26.00 Due to State banks and bankers.. 17,965.15 Dividends unpaid 964. 66 370.00 95.40 7, 181. 00 1, 030.00 2, 340. 00 191,716.67 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 20, 000.00 6, 588. 35 45, 450. 00 4,775.57 1, 821. 88 53, 080.87 191, 716. 67 First National Bank, Dover. N. B. SMITHERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g ho use, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1567. J. H. BATBMAN, Cashier. $100, 000. 00 Capital stock paid in. 35,000. 00 Surplus fund Undivided profits, less current 23, 680. 80 expenses and taxes paid 5, 000. 00 National-bank notes outstanding. 44, 390.00 79, 000. 00 State-bank notes outstanding $161,639.28 306.03 50, 000. 00 12, 000.00 16, 616.17 947.12 82, 027.59 3, 850.31 597.00 363. 24 14, 468. 60 15, 600.00 2,250.00 444,665.34 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.iS.disbursingofficeis Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 22,479.06 3, 879.57 215,235.91 444, 665. 34 First National Bank, Harrington. EDWARD SAPP, President. No. 3883. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. $94, 637.77 627. 67 12, 500. 00 Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 1, 500. 00 311.84 5, 274.47 Total 371.15 1,494.03 27, 746.15 97.24 643. 00 25.80 1,024. 00 4,132.00 502. 50 150,947. 62 W. T. SHARP, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and tnxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoiiieei s. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total $50, 000.00 4, 750.00 2,138.12 10, 950. 00 6,115.90 1, 337. 81 144.00 75, 511. 79 .... 150, 947. 62 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. DELAWARE. Citizens'National Bank, Middletown. No. 1181. HENRY CLAYTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otber real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer U. S $106, 996.57 235. 64 80,000.00 Capital stock paid in $30,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 11,000.00 Due to other national banks .Due to State banks and bankers.. Dividends unpaid Individual deposits 1, 425. 00 United States deposits 254. 20 Deposits of U.S.disbursingofficers. 14, 680.12 8, 612. 81 9,000.00 5, 660. 00 13, 000. 00 4,100. 00 11,594. 94 2,748. 85 30,840.99 5,230. 00 5, 000.00 3,550.00 279, 636.19 Total. JNO. S. CROUCH, Cashier. Liabilities. State-bank notes outstanding 1,812.70 72, 000.00 91,530.56 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 279, 636.19 People's National Bank, Middletown. G. "W. W. NAUDAIN, President. No. 3019. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S $107, 722. 22 241.27 51, 000.00 3,800.00 7,910.00 11,540. 96 2,366.12 8.40 14,736.54 885.41 *" 4,'879." 66 143.11 4, 620.50 6, 650.00 2,295.00 $80,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8, 250. 00 2,074. 67 45, 900. 00 8,845. 00 Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 73, 728. 86 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 218,798.53 Total. G.D.KELLEY, Cashier. Capital stock paid in . Total . 218, 798. 53 First National Bank, Milford. JAMES M. HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption tund with Treag. U. S. Due from Treasurer U. S Total. No. 2340. $243, 668. 90 112. 26 50, 000.00 36, 000.00 7, 027. 00 114, 655.25 1, 000.00 500.00 5,355.62 1, 705. 85 60,817. 80 190.88 940. 00 63.48 15,413.00 11, 300.00 2, 250.00 551,000.04 J. B. SMITH, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. - -. Due to other national banks Due to State banks and bankers.. $60, 800.00 60, 800. 00 24, 028. 36 43, 680.00 29, 884.78 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 331, 806. 90 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 551,000.04 EEPOET OP THE COMPTROLLER OF THE CURRENCY. DELAWARE. National Bank, Newark. No. 1536. JOHN PILLING, President. GEORGE W. LINDSAY, Cashier. Resources. Liabilities. $122,194. 99 Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from oilier national bauks Due from State banks and bankers Due from approved reserve agents. Checks and otheT cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Total 32, 500.00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 810.19 National-bank notes outstanding. 52, 816. 85 State-bank notes outs tan dmg 16, 400.00 11, 500.00 Due to other national banks 1, 550. 80 Due to State banks and bankers.. 100. 85 42. 469. 23 Dividends unpaid 1,719.21 Individual deposits 1, 711. 00 United States deposits 122. 98 Deposits of U.S.disbursing officers. 12, 850. 00 5, 200.00 Notes and bills rediscounted 1,462.50 304,404.60 30,000.00 2, 040.26 29,250. 00 16,022.93 3,020.37 95.00 173,976.04 Bills payable Liabilities other than those above stated Total 304,404. 60 Newport National Bank, Newport. DAVID EASTBURN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalloanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 997. $128,548.08 108.4.5 75,000.00 4,000.00 5, 382.57 6,000.00 10,471.12 1,101.16 3,180. 61 195. 00 124.41 6, 694. 75 4,141. 00 705.00 J. W. H. WATSON, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding $75, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 217. 65 Individual deposits United States deposits 35, 000. 00 2, 554.81 65, 610.00 778.50 58,441.19 Depositsof U.S.disbursing officer: Notes and bills rediscounted. Bills payable Liabilities other than those above Btated Total. 240, 602.15 240, 602.15 Newcastle County National Bank, Odessa. JOHN C. CORBIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtnres Other real estate and mortg's owned Due from other national banks Due from Slate banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1281. $106,990.85 100.32 75,000.00 5,000.00 4, 369. 82 9,500.00 18, 568.83 969. 73 228. 29 5,501.05 2, 645.00 226. 53 3, 891. 30 4, 594.00 3,375.00 210,960.72 JOSEPH L. GIBSON, Cashier. Capital stock paid in. $75,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding- 32,600.00 Due to other national banks Due to State banks and bankers.. 4,125.89 4,828.10 1, 694.17 67,500.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disburaingoflicers. Notes and bills rediscounted...... Bills payable Liabilities other than those above stated Total. 55,212.56 240,960.72 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. I> E L A W A B E . First National Bank, Seaford. PHILIP L. CANNON, President. No. 795. HENRY W. BAKER, Cashier. Resources. Loans and discoucits Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mong's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of othsr nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $302, 788. 92 45. 82 23, 000. 00 Capital stock paid in . $50,000.00 Surplus fnnd Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks 1,715.04 Due to State banks and bankers. 10, W0. 00 127,508.63 Dividends unpaid 17.00 Individual deposits 5,912.00 United States deposits 150.69 Deposits of U.S.disbursing officers. 22, 753.50 2, 030.00 Notes and bills rediscounted Bills payable 1,035.00 Liabilities other than those above stated 15,155. 89 3, 719.92 14,700.00 6, 000. 00 517,654.60 Total. 10, 427.12 18, 250.00 370,101. 67 517, 654. 60 Sussex National Bank, Seaford. J . J . Ross, President. Loans and discounts O ver draft s U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CLARENCE DONOHO, Cashier. No. 3693. $76, 229.24 Capital stock paid in $50,000.00 195. 72 12,500. 00 Surplus fund Undivided profits, less current 3,923. 70 expenses and taxes paid 10, 750. 00 National-bank notes outstanding. State-bank notes outstanding 5, 637. 00 6, 449. 13 Due to other national banks 4, 007.03 51. 91 Due to State banks and bankers.. 1, 323. 68 25,193.20 Dividends unpaid 46.83 Individual deposits 67,284.42 United States deposits 95.26 Deposits of U.S.disbursing officers. 8,3%. 10 1, 962. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 137,288.89 Total. 137,288. 89 Fruit Growers' National Bank, Smyrna. JOHN H. HOFFECKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, niGkels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fond with Treaa. U. S. Due from Treasurer U. S Total. N. F. WILDS, Cashier. No. 2336. $169,731.86 26,666.66 56, 800.00 10, 000.00 12,773. 31 3,291.00 261.09 1,350. 00 9, 215. 00 900.00 284,322.26 Capital stock paid in. $80, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8,721. 57 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 135, 809.19 1,791. 50 18, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 284, 322.26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 75 I>E L A W A R E , National Bank, Smyrna. B. J. CUMMINS, President. No. 2381. "W. H. JANNEY, Cashier Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's o wned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national T)anks Fractional currency, nickels,cents. Specie Legal-tender notes IT. IS. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. Liabilities. $158, 696.59 480. 70 25,000. 00 3, 500. 00 38, 490.15 13, 555.41 40, 811.72 15, 694.19 19, 084.48 878.05 1, 220. 00 55.92 5,850. 75 5, 335. 00 1,125.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 44,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13,303.18 3, 765. 94 Individual deposits United States deposits DepositsofU.S.disbursmgofncers- 136, 271. 96 Notes and bills rediscounted Bills payable Liabilities other than those above stated - 329, 777.96 Total . 5,395. 80 22,097. 50 4, 943. 58 329, 777. 96 First National Bank, Wilmington. JAMES P. WINCHESTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixfcnres Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total No. 473. HENRY BUSH, Cashier. \886, 617. 79 | Capital stock paid i n . 10.85 50, 000. 00 J Surplus fund 50, 000. 00 1 Undivided profits, less current 1 expenses and taxes paid 5,150.00 National-bank notes outstanding. 101,381.45 State-bank notes outstanding 8, 000. 00 13, 750.00 Due to other national banks 26, 882. 33 Due to State banks and bankers.. 4, 711.32 , 158,137.43 Dividends unpaid 7, 579. 04 4, 254. 69 Individual deposits 5,990.00 United States deposits 92.45 Deposits ofU.S.disbursing officers. 26, 504.75 8, 000.00 Notes and bills rediscounted. Bills payable 2, 250.00 1, 000.00 Liabilities other than those above stated 1,360,812.10 Total $500, 000.00 91, 000.00 9,115. 75 45, 000. 00 39,182. 95 866. 50 630, 811. 20 36, 027.44 8, 808. 26 1,360,812.10 Central National Bank, Wilmington. "WILLIAM M. FIELD, President. No. 3395. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits $435,438. 52 16.45 50, 000.00 Premiums on U. S. bonds Stocks, securities, etc Bank'g house,turniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 4,000.00 Total 71,179. 56 22, 925. 27 2, 869.16 66, G19.91 1,112. 67 6, 988. 68 2, 530. 00 232.84 27, 652.20 17, 613. 00 2, 250.00 H. P. RUMFOBD, Cashier. Capital stock paid in". $210, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50,000.00 Due to other national banks Due to State banks and*1 bankers 40,510. 81 Dividends unpaid Individual deposits United States deposi ts Depositsof U.S.disbursing officers. 11,775.91 42, 600. 00 273.00 356, 268. 54 Notes and bills rediscounted Bills payable Liabilities other than those above stated 711,428. 26 Total 711,428.26 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. DELAWARE. National Bank of Delaware, Wilmington. H E N E T Gr. BANNING, President. N o . 1420. HENRY BAIRD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. IT. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $450,441.78 344.33 27,500.00 2, 000.00 40,000.00 2, 972. 72 20,470. 07 13,131. 04 40, 758.10 2, 978.02 10, 967.73 2,310.00 374. 68 31,904. 80 255.00 1,237.50 13,000.00 Capital stock paid in $110,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 130,000.00 25, 890.71 24, 750. 00 561. 50 Due to other national banks Due to State banks and bankers.. 56,106. 22 Dividends unpaid 556.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 309,501.70 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 660, 645.77 Total. 3, 279. 64 660,645.77 National Bank of "Wilmington and Brandywine, "Wilmington. GKO. S. CAPELLE, President. No. 1190. Loans and discounts Overdrafts U. S. bonds to secure circulation - . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house BiMs of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes -. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $762, 570. 68 21.59 50,000.00 4,500.00 14, 756. 09 47, 000. 00 19, 583. 09 8,748.16 113,916.82 463. 33 3,977.92 160.00 2, 076.42 43, 475.00 10,758.00 2,250. 00 CALEB M. SHE WARD, Cashier. Capital stock paid in . $200, 010.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 125,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 61,793.39 Individual deposits United States deposits Deposits of U.S.disbursing officers. 605, 923.33 42, 840.58 45, 000.00 3, 689. 80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,084,257.10 1,084,257.10 Total.. Union National Bank, Wilmington. PRESTON LEA, President No. 1390. $1,117,803.57 Loans and discounts 244.60 Overdrafts 60,000.00 U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 49, 601.36 Stocks, securities, etc 50, 000.00 Bank'g house,furniture,and fixtures 6, 597.05 Other real estate and mortg's owned 61,658.96 Due from other national banks 37, 665. 89 Due from State banks and bankers. 175, 892.42 Due from approved reserve agents. 34,843. 92 Checks ana other cash items 9,692.58 Exchanges for clearing house 10, 562. 00 Bills of other national panks 1,068.00 Fractional currency, nickels, cents. 83, 962.44 Specie 16, 782. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treaa. U.S. 5, 000.00 Due from Treasurer U. S Total. 1,713,624.79 J O H N H. DANBY, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $203,175.00 210,000.00 105,070.93 45,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 54, 833.45 9,441.53 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 1,085,935.14 168.74 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 713, 624.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRICT 77 O F COLUMBIA, Second National Bank, Washington. No. 2038. M. G-. EMERY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. JOHN C. ECKLOFF, Cashier. Liabilities. $709,144.05 2, 805. 39 50, 000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid 1, 797. 51 National-bank notes outstanding. 810.20 State-bank notes outstanding 115, 850. 00 Due to other national banks 4, 270. 07 21, 382. 97 Due to State banks and backers.. 123.62 106, 588. 36 Dividends unpaid 5, 228. 99 12, 671.26 Individual deposits 1,070.00 Certified checks 2, 015. 05 United States deposits 108, 062. 00 Deposits of U.Sdisbursingofncers. 80, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 2, 200.00 Liabilities other than those above 1, 226,269.47 stated Total. $225,000.00 90,000. 00 12, 925. 55 45, 000. 00 20,956.73 7,981.13 632.50 819,187.75 4, 585. 81 1,226, 269.47 Central National Bank, "Washington. C. F . NORMENT, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation...! TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks amd bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 2382. $678,146. 28 2,215.26 100, 000. 00 12,000.00 150. 00 199, 000. 00 50,174. 88 5, 063.13 109, 954.12 10,154. 68 19, 702. 72 1,415. 00 146. 06 138, 836. 50 80, 080. 00 4,500.00 1, 411, 538. 63 A. B. RUFF, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable $100, 000.00 160, 000. 00 10, 829. 92 90, 000. 00 12, 606. 24 6, 069. 82 1, 020, 213. 24 11,819.41 Liabilities other than those above stated Total. 1,411,538.63 Citizens' National Bank, Washington. B. S. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . " Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1893. $776, 674.17 261.00 50, 000. 00 4, 900.00 99, 583. 94 51, 804.99 1, 075. 93 27,752.27 2,552. 55 12.168. 96 2,645.00 549.84 59, 666. 00 40, 016. 00 THOS. C. PBARSALL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300,000.00 Due to other national banks Due to State banks and bankers-. 21, 089. 72 14,129. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. 100,000. 00 14, 440.71 44, 200. 00 465.00 636, 051. 42 1, 524. 80 Notes and bills rediscounted " "2,"250." 66" Bills payable Liabilities other than those above stated 1,131, 900. 65 Total . 1,131,900.05 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRICT OF COLUMBIA. Columbia National Bank, Washington. E. S. PARKER, President. Nc. CG25. CLARENCE CORSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house . r Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. $811, 578. 36 470.61 50,000.00 Capital stock paid in . Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 60, 000. 00 State-bank notes outstanding 72,079. 21 Due to other national banks 2,309.54 32, 242. 08 Due to State banks and bankers.. 87,328.87 15, 335. 66 11,743.13 2,170.00 334.05 40, 033.00 100,000.00 Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursing officers. Notes and bills rediscounted. Bills payable $250,000.00 100,000.00 23,291.46 45,000.00 82,479.78 62, 742.01 133. 50 716, 938. 51 7, 280. 25 2, 250. 00 Liabilities other than those above stated 1,287,874.51 Total . 1,287,874.51 Farmers and Mechanics' National Bank, "Washington. H. M. SWEENY, President. N o . 1928. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $615, 532.30 2, 073. 90 250, 000.00 1, 200. 00 294,708. 09 23, 000. 00 8, 209.62 56, 406. 57 9, 805. 61 1,185. 00 183.12 204,991. 50 11,247.00 E. P . BERRY, Cashier. Capital stock paid in $252,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid 25,103.15 184.16 Individual deposits United States deposits Deposits of U.S.disbursingofncers 795, 584. 26 87,149.14 225, 000.00 4, 772.00 Notes and bills rediscounted ""ii,250. bb" Bills payable Liabilities other than those above stated 1,489,792.71 Total. 1, 489, 792. 71 Lincoln National Bank, Washington. J. B. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4247. F. A. STIER, Cashier. $461,576. 39 Capital stock paid in $200,000.00 318.99 50, 000. 00 Surplus fund 40, 000. 00 Undivided profits, less current expenses and taxes paid 3, 817.00 National-bank notes outstanding. 44,400.00 6, 000.00 State-bank notes outstanding 16,722. 50 Due to other national banks 2,342. 09 23, 538. 05 Due to State banks and bankers.. 2,052.31 36, 689. 33 Dividends unpaid 3, 395.10 400,255.34 11, 445. 80 Individual deposits 822. 78 Certified checks 70.74 United States deposits 18, 520.00 Depositsof U. S.disbursingoflScers. 59, 058. 00 Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 691, 637.21 Total. 691, 637.21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 79 DISTRICT OF COLUMBIA. National Bank, Washington. No. 3425. C. A. JAMES, President. CHAS. E. W H I T E , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house.furniture,and fixtures Other real estate and mortsr's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $784, 238. 79 379. 23 50, 000.00 Capital stock paid in . $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200, 000. 00 Due to other national banks 217,257.22 Due to State banks and bankers.. 452. 33 179, 923. 41 Dividends unpaid 12, 412. 68 Individual deposits 595.00 Certified checks 2, 763.17 United States deposits 367, 901. 65 Deposits of U.S.disbursing officers. 44,730. 00 Notes and bills rediscounted. 40, 000. 00 Bills payable 25,432. 94 2, 263.13 107,000.00 208,750.00 15, 000.00 2,031,403.48 Liabilities other than those above stated Total. 57, 235.58 1, 535,058.81 11,413. 02 2,031,403.48 National Bank of the Republic, Washington. DAN'L B. CLARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixturesi Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 875. $362, 390.96 1, 859.19 200,000.00 100, 000. 00 3,100.00 456, 389. 65 83, 947. 52 15, 790.75 235. 59 70,993.19 15,465. 20 13,139. 85 1, 240. 00 204, 660. 00 30,588. 00 6,490.00 CHARLES S. BRADLEY, Cashier. Capital stock paid in . Surplus fund $200,000.00 200,000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 55,444.26 180,000.00 Due to other national banks Due to State banks and bankers.. 94,295.49 562.17 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 783,412. 06 2, 017. 63 50,558.29 Liabilities other than those above stated Total. 1, 566, 289.90 1, 566,289. 90 National Capital Bank, Washington. JOHN E. HERRELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H . H . M C K E E , Cashier. No. 4107. $565,260.61 773.43 55,400.00 2, 300.00 6, 250. 00 20. 000. 00 50,000. 00 56,900.01 175.61 71,422.30 720.76 5, 781. 26 258.08 131,517.00 2,493.00 909, 252. 06 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000.00 Due to other national banks Due to State banks and bankers.. 2,885.95 4,586.49 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted . Bills payable 50,000.00 13, 204. 30 37,900. 00 135. 00 659,381.89 1,158.43 Liabilities other than those above stated Total. 969, 252. 06 80 KEPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRICT O F COLUMBIA. National Metropolitan Bank, Washington. J . W . THOMPSON, President. No. 1069. GEO. H. B. WHITE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Total. Liabilities. $786,868.11 524.96 50,000. 00 128,300.00 15,379.38 342, 406.00 65,000.00 2,300.1)0 119,714.97 44, 970.55 72, G78. 65 3,639. 32 11, 340. 95 2,322.00 342.18 219,629.50 13,510. 00 2,250. 00 Capital stock paid in . $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 360,000.00 Due to other national banks Due to State banks and bankers .. 51,854.74 14,270.54 13,469.62 45, 000.00 1,181.00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingoffi cers Notes and bills rediscounted. Bills payable 1, 090, 758. 30 4, 642. 37 Liabilities other than those above stated Total . 1,881,176.57 1,881,176.57 Ohio National Bank, Washington. No. 4522. J . D. TAYLOR, President. Loans and discounts. Overdrafts, U. S. bonds to secure circulation . . . U. S. bond8 to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers.'; Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. I Specie j Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $194, 381. 21 588. 66 50, 000. 00 6,000.00 3,467.88 127,849.44 4, 832.13 11,237.33 7,250.15 254.43 8,118.23 268.06 19,258.50 1,150.00 W M . OSCAR ROOME, Cashier. Capital stock paid in $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14,399.19 45,000. 00 Due to other national banks Due to State banks and bankers.. 23,225.65 606.25 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 444,656.02 135,664.21 760. 72 25, 000. 00 444,656.02 Traders' National Bank, Washington. GEO. C. HENNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc BaiTk'ghouse,furniture,and fixtures. Other real estate and mortg's owned Due from other national banks . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4244. $359, 825.43 397. 34 60, 000.00 6,725.00 18,560.56 143, 461.43 27,559.74 BRENTON L. BALDWIN, Cashier. Capital stock paid in $200,000. 00 Surplus fund Undivided profits, les§ current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40,000.00 Due to other national banks Due to State banks and bankers.. 47,614.79 3,710.93 44, 250. 83 Dividends unpaid 6, 319.75 7,436.00 Individual deposits 540.00 Certified checks 455.84 United States deposits 85,086.75 Deposits of U.S.disbursingofficers. 7, 000.00 Notes and bills rediscounted. Bills payable 11,023.95 53,200. 00 4.00 408,472.58 6,292.42 2,700.00 Liabilities other than those above stated 770, 318.67 Total. 770,318.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 81 DISTRICT O COLUMBIA. F West End National Bank, Washington. F . C. STEVENS, President. No. 4195. CHAELES P . WILLIAMS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. CUR, PT 2 - Liabilities. $374,013.49 2, 699.90 50,000. 00 877.07 81,500. 00 41, 331. 87 9, 086.10 500. 22 31, 296. 50 3,122. 58 15,151. 71 220. 73 37, 704. 25 11,120. 00 2, 250.00 660,940. 42 Capital stock paid in , Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 33,000.00 9,686.02 44,295. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 15, 661. 23 2, 660.85 Individual deposits Certified checks United States deposits Deposits of U.S.disbursingoflicers. Notes and bills rediscounted Bills payable , Liabilities other than those above stated 336, 600. 54 5, 656. 89 Total. 123.00 13, 256. $9 660, 940.42 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. FLORIDA. Polk County National Bank, Bartow. CHAS. H. BOBINSON, President. No. 4627. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency,nickel8, cents. Specie Legal-tender notes U. S. certificates of deposit Bedemption fund with Treas. U. S. Due from Treasurer TJ.S Total. W A R R E N TYLER, Cashier. Liabilities. $114, 301. 24 1,322. 79 12, 500.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 776.10 State-bank notes outstanding $50,000.00 Individual deposits United States deposits DepositsofU.S.diabursing officers. 66,763.55 3, 200. 00 1, 376. 69 11,250.00 3, 000.00 5, 817. 46 Due to other national banks 1,196. 53 3, 961. 21 Due to State banks and bankers. 1,827. 90 Dividends unpaid 35.72 90.34 5, 516.15 2, 000. 00 Notes and bills rediscounted Bills payable . Liabilities other than those above stated 158, 918. 94 Total. 22, 323. 70 4,000.00 562.50 158,913.94 First National Bank, Femandina. No. 4558. HOYT, President. Loans and discounts Overdrafts XL S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds 1. Stocks, securities, etc Bank'g bouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Bedemption fund with Treas. U. S. Due from Treasurer U. S < $61, 636. 63 i2,5bb."66 500.00 1, 557. 20 32, 612. 62 3, 200. 00 900. 71 2,219.20 48,300.69 586. 66 1, 260. 00 99.36 4,058.50 6, 321. 00 562.50 176,265.07 Total - -, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of D.S.disbursiiigofficers. Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. $50,000.00 8, 000.00 1,433.88 9, 800. 00 107, 031.19 in, 265. 07 First National Bank, Gainesville. JAS. M. GRAHAM, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bar k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 3894. $82,092.87 84. 39 12,500.00 24, 000.00 10,000.00 4, 900. 00 2, 081.19 1,172. 88 3,932. 95 99.60 164.79 2, 671.50 8, 591.00 562. 50 152, 853. 67 H. E. TAYLOR, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $50,000. 00 10, 000. 00 5,907. 25 11, 250.00 5.83 Individual deposits United States deposits Deposits of U.S.disbursing dlftcers. 59,715.59 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 15,975. 00 152,853.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 83 FLORIDA. First National Bank of Florida, Jacksonville. JAMBS M. SCHUMACHER, President. No. 2174. Resources. E. C. COOLEY, Cashier. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on X S. bonds L Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender nojbes U. S. certificates of deposit Eedemption fund with Treas. IT. S. Due from Treasurer TJ. S $179,043. 82 198. 24 50, 000. 00 6,000.00 48, 292. 53 25, 500.00 9, 807. 73 15, 016. 23 8, 359.99 4, 030.14 3,811.01 3, 312.12 4,135. 00 1,173. 49 20, 066. 25 25, 770. 00 970.00 405,486. 55 Total. Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 51,641.71 7, 391.32 Individual deposits United States deposits Deposits of U.S. disbursing officers. 195,199.10 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 6,454.42 44,800.00 40,000. 00 405,486.55 Merchants' National Bank, Jacksonville. JNO. L. MARVIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4332. $266, 875. 78 10,810. 99 25, 000. 00 3,000. 00 16, 789. 85 11,815.79 4, 730. 00 9, 802.45 7, 372. 38 2, 713. 20 1, 309. 61 1, 938. 82 4,099. 00 754. 87 5, 667. 50 10,000.00 1,125.00 383, 805.24 H. T. BAYA, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 15, 504.70 4,446.43 10,000.00 3,460. 37 22, 500. 00 227, 866. 74 27.00 "383^806724 National Bank, Jacksonville. W. B. BARNETT, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Dae from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total No. 3869. $556, 373.40 1, 620. 46 37, 500.00 3, 500. 00 50, 865. 57 5, 500. 00 14, 895. 00 53, 439. 24 21,757.36 125, 274. 24 1, 423. 56 4,775. 07 7, 838. 00 127.23 10,105.00 40,000.00 1, 687.50 936, 681. 63 BION H. BARNETT, Cashier. Capital stock p a i d in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. $150,000.00 75,000.00 24, 987.12 29,150.00 40, 841. 87 39, 925. 31 576, 777. 33 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 930, 681. 63 84 REPORT OF THE COMPTROLLER OF THE CURRENCY. FLORIDA. National Bank of the State of Florida, Jacksonville. J . IS". C. STOCKTON, President. No. 3827. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. THOMAS P . DENHAM, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 10, 846. 60 National-bank notes outstanding. 164, 387.44 State-bank notes outstanding $100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 33,614. 83 33,668.05 Individual deposits United States deposits Depositsof U. S .disbursin g officers. 462,012.57 44, 940. 45 23,290.74 $440,938.36 17,947.78 25,000. 00 75, 000.00 39, 417. 62 6, 700. 00 19, 722. 70 11,813.72 22, 596.69 447. 93 2,986. 81 5,120. 00 189. 73 20, 202. 50 22, 000. 00 1,125.00 886,442.88 Notes and bills rediscounted c . Bills payable Liabilities other than those above stated Total. 50, 000. 00 42,175. 90 22,500. 00 74, 240.34 886,442.88 First National Bank, Key West. GrBO. W. ALLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stock8, securities, etc Bank'gbouse,furniture,and fixtures) Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4672. $152, 828. 99 297. 45 25, 000. 00 1, 750. 00 1, 009. 45 7,197. ?,0 1, 939. 55 150. 59 2, 446.45 3, 643. 23 2, 222. 00 65.16 7, 854. 55 2,100.00 1,125.00 209,629. 72 GEOBGB L . L O W E , Oashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits , United States deposits Deposits ofU.S.disbursingofficere. 10,744.44 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 8, 000.00 6, 989.97 22, 000.00 46, 676.21 15, 219.10 209,629.72 Merchants' National Bank, Ocala. R. B. MCCONNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand... Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 3815. $147,168.18 7, 885. 63 25, 000. 00 1, 250. 32, 6H3. 25, 000. 16, 954. 2, 789. 2, 989. 32, 615. 723. 00 94 00 57 39 62 87 88 936.00 8.94 6, 797. 85 6, 000. 00 "i, iio." 66 309,878.87 H . C . W R I G H T , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $100,000.00 1,000.00 1,669.45 22,500. 00 570. 26 141, 520.17 35, 618. 99 7, 000.00 309,878.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 85 FLORIDA, First National Bank, Orlando. WILLIAM B. JACKSON, President. No. 3469. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. U. S. bonds to secure deposits - - U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. IT. SDue from Treasurer U. S Total. JAS. L. GILES, Cashier. Liabilities. Resource*. $162,957.71 6, 302.46 37,500.00 3, 000.00 22,428.81 10, 078.20 18,009.87 7,520.07 300.62 4, 634. 07 328.83 2, 770.00 228. 30 7,552. 25 6, 970. 00 1,687.50 292, 268. 69 Capital stock paid i n . $85,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total . 1,500.00 33,250. 00 54. 50 150,817.45 20, 725.00 921.74 292, 268.69 Putnam National Bank, Palatka. No. 4813. O. B. "WELCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $60, 813. 60 272. 94 12, 500. 00 1,500. 00 3, 229. 09 1,841.00 4, 986. 26 6, 371.80 10, 098.66 343.77 GEORGE L. PACE, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 497. 87 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 110, 959. 58 Total. 925. 128. 4, 886. 2, 500. 2, 500. 00 45, 711. 71 00 46 50 00 110,959. 58 First National Bank, Pensacola. F . C. BRENT, President. Loans and discounts O verdraft s U. S. bonds to secure circulation... U. S. bonds to Hecure deposits. .. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. TJ. S. Sue from Treasurer U. S Total. No. 2490. $457,499. 77 18, 636. 63 30, 000. 00 3, 600.00 50,556. 94 12, 000.00 723. 41 88, 269. 02 57,924. 77 75, 872. 24 1, 424. 58 3, 865. 00 518.15 12, 202.50 10, 588.00 1,750.00 825,431.01 J . S. LEONARD, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers- 1,886.10 54,761. 68 100, 000.00 8, 581. 31 27, 000. 00 533,201.92 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 825,431.01 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. FLORIDA. Citizens' National Bank, Pensacola. L. HILTON GREEN, President. No. 4837. R. M. BUSHNELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits . . . . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate aiidniortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $140, 020. 64 1,595.45 25, 000.00 3, 000. 00 7, 226. 49 ] , 769.95 12, 383. 08 5,149.26 125, 312. 05 637.74 20. 00 333. 20 3, 389. 65 16,163.00 1,125. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 15,000.00 3,159.59 22, 500.00 651.28 1,646.44 206, 768.20 Notes and bills rediscounted Bills payable Liabilities other than those above stated : Total. 349, 725. 51 349, 725.51 First National Bank, Saint Augustine. JNO. T. DISMUKES, President. No. 3462. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Dne from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $146, 462. 54 4, 232. 58 25, 000. 00 5,500. 00 33, 509. 70 9, 000. 00 10,150. 00 5, 556. 01 1, 341. 43 35, 249. 25 2,145. 90 3, 000. 00 126. 02 6, 330. 00 7, 895.00 GEOKGE "W. DISMUKES, Cashier. Capital stock paid in . Surplus fund Undivided profits less current exx>enses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 20, 000.00 4, 490.41 22, 500. 00 29.00 149,604.02 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated Total. 296, 623.43 296,623.43 First National Bank, Sanford. FREDERICK H. RAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc.... • Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. F.P.FORSTER, Cashier. No. 3798. $69,412.72 302. 57 12, 500. 00 4, 000. 00 8, 750. 00 14, 864. 42 142. 75 30,466. 61 73.25 10,459. 00 98.79 7, 000. 00 2, 750. 00 562.50 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.d isbursing officers. $50,000.00 5,200.00 3, 379. 34 11, 250.00 250. 52 91, 302. 75 Notes and bills rediscounted Bills payable Liabilities other than those above stated 161, 382.61 Total. 161, 382. 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 87 FLORIDA. First National Bank, Tallahassee. W. C. LEWIS, Cashier. No. 4132. GEO. LEWIS, President Liabilities. [Resources. Loans and discounts Overdrafts TT. S. bonds to secure circulation-.. U. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $83, 201.63 9,406.44 12, 500. 00 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 10,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3,283.17 14, 803.75 Individual deposits 4, 255.00 United States deposits 445. 09 Deposits of U.S.disbursing officers. 19, 091.80 15,226.00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 202, 547.16 126,838.50 6, 941.76 625.15 16,897.71 554.52 296,546.10 Total. 4, 662. 02 11,250.00 296, 546.10 First National Bank, Tampa. JA.S. P . TALIAFERRO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S. DIM from Treasurer U. S Total. T. C. TALIAFERRO, Cashier. N o . 3497. $435,228.27 5,187. 43 12, 500.00 1, 500.00 6, 045.15 38. 566. 31 io;ooo.oo 26, 687.11 1,792.11 87, 834.41 1,414. 82 16,170.00 1,140. 68 33, 007.40 32, 253.00 562.50 709,949.1 Capital stock paid in . Surplus fund.".'. Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding Due to other national banks Due to State banks and bankers -. $50,000. 00 50,000. 00 51,859.30 11,250.00 162.03 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 546,677.86 Notes and bills rediscounted Bills payable .. Liabilities other than those above stated Total. 709,949.19 Exchange National Bank, Tampa. EDWARD MANRARA, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. -. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4949. J . B. ANDERSON, Cashier. $163, 947.74 Capital stock paid in . $100,000.00 1,281. 97 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 13,909.02 3,429. 69 National-bank notes outstanding.. 22,500. 00 State-bank notes outstanding 7, 600. 00 2, 300. 00 Due to other national banks 2,186.98 20,744.14 Due to State banks and bankers.. 1,255.19 889. 32 34,851.75 Dividends unpaid 781.87 Individual deposits 139,941. 04 2, 578.00 United States deposits 912.75 Deposits of U.S. disbursing officers. 8, 350. 00 6,000.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 279,792.23 Total. 279, 792. 23 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. OE O R O I A . First National Bank, Albany. No. 3872. JOHN A. DAVIS, President. Resources. Loans and discounts , Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. JOSEPH S. DAVIS, Oathier. Liabilities. $106,435. 07 22.481.40 12; 500.00 1,250.00 5, 000.00 2, 884.41 17.170.79 23, 937.78 2, 668.87 1,610.00 139.37 15,266.60 5, 402. 00 562.50 217,308.79 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $50,000.00 10, 000. 00 13, 320.79 11, 250. 00 351. 05 123,155.48 9, 231.47 217,308.79 People's National Bank, Americus. BASCOM MYRICK, President. No. 2839. JOHN WINDSOR, Cashier. $50, 000.00 Capital stock paid in r p s nd 10, 000.00 Undivided profits, less current expenses and taxes paid 3, 332.89 National-bank notes outstanding. 11, 250. 00 State-bank notes outstanding 13,545.00 Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $78, 961.12 1,730.57 12, 500.00 3,418. 24 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 6, 000. 00 United States deposits 26.00 DepositsofU.S.disbursingofficers 2, 978. 70 13, 566. 06 13, 294. 62 3,187. 36 370.00 22,220.00 562. 50 Total. 177,360.17 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 6,069.47 27.52 86, 680. 29 10, 000.00 177,360.17 National Bank, Athens. A. K. CHILDS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U.S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fond with Treas.U. S. Due from Treasurer U.S Total. JAMES "WHITE, Cashier. No. 1639. $100, 000. 00 Capital stock paid in. Surplus fund 100, 000.00 Undivided profits, less current 249, 879.09 expenses and taxes paid 32, 000. 00 National-banknotes outstanding. 6, 000.00 State-bank notes outstanding $437, 060. 20 37, 075.15 80,000. 00 10. 000. 00 7, 000. 00 24, 097. 26 18, 742. 24 62, 587. 86 23, 752. 68 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 35, 000. 00 United States deposits 500. 00 Deposits of U. S.disbursing officers 47, 500.00 30, 000.00 2, 370.00 821, 685. 39 205.04 $, 003. 69 336, 597. 57 Notes and bills rediscounted. Bill§paj»ble Liabilities other than those above •tated Total. 821,685.3 EEPOBT OF THE COMPTROLLER OF THE CURRENCY. 89 GEORGIA. Atlanta National Bank, Atlanta. No. 1559. JAMBS SWANK, President. C. E. CURRIER, Cashier. Resources. Liabilities. Loans and discounts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agent*. Checks and other cash items Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S $1, 280, 920.93 41,861.87 150, 000.00 50,000.00 25, 000.00 19,187.50 149,622.60 80, 000.00 105, 359.97 24, 701.72 92,587.37 661. 38 45, 491.83 1,500.00 1, 707.43 92 027.55 43, 600.00 6, 750.66 3, 050.00 2,214,030.15 Total $150,000.00 Capital stock paid in 50,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 292, 539.19 135, 000.00 Due to other national banks Due to State banks and bankers.. 44,238.38 39,473.28 Dividends unpaid 10.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 1,448, 741. 31 9, 538.57 44,489.42 Bills navable Liabilities other than those above stated Total 2, 214, 030.15 National Bank, Augusta. No. 3613. L. C. HAYNE, President. Loans and discounts O v erdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $451, 270.15 19, 356.10 50, 000. 00 5, 529. 00 28, 543.51 29,192.57 3,579.84 5, 445.92 3, 384. 82 20, 367.90 1, 525.64 22,804.41 5, 250.00 77.72 34,396.06 18, 568.00 2, 250.00 701,541.64 Total. FRANK G. FOED, Cashier. Capital stock paid in.. $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 50,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid. 2,473.06 26, 244. 02 Individual deposits United States deposits Deposits of U.S.disbursing officers 199,727.19 Notes and bills rediscounted Bills payable Liabilities other than those above stated 93,000. 00 Total. 35, 099.87 44,997.50 701,541. 64 National Exchange Bank, Augusta. ALFRED BAKEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house ,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Dan ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDne from Treasurer U. S Total. % PERCY E. MAY, Cashier. No. 1860. $254,743.23 Capital stock paid in. $200,000.00 15,667.97 50,000.00 Surplus fund 4,000. 00 Undivided profits, less current expenses and taxes paid 8, 859.38 National-bank notes outstanding. 45,000.00 76,469.39 State-bank notes outstanding 1,205.00 13, 383. 32 Due to other national banks 13,422.80 , 2, 876. 60 Due to State banks and bankers .. 16, 276.43 13, 433.38 Dividends unpaid 612.00 275.80 28, 949.49 Individual deposits 140, 771.51 2, 350.00 United States deposit* 67.23 Deposits of U. S.disbursing officers 225.00 3,034.00 Notes and bills rediscounted 34,668.29 Bills payable 2,250.00 Liabilities other than those above atated 464, 930. 41 Total. 1,320.00 464,930.41 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. GEORGIA. National Bank, Brunswick. No. 4944. H. ~W. REED, President JAMES H E E R SMITH, Cashier. Resource!. Loans and discounts Overdrafts XT. S3. bonds to secure circulation... XI. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'g house.furnituro,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Cec Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas.XT. S. Due from Treasurer XT. S Liabilities. $127,028.16 1,151. 36 37, 500.00 202,139. 39 20,000. 00 8, 660. 28 14,727.62 18,968.06 1,177.59 88.36 14,572.95 5,000.00 1,655.00 Capital stock paid in . Due to other national banks Due to State banks and bankers. Dividends unpaid 6, 000. 00 14, 988. 86 33,100. 00 286. 26 3, 323. 25 Individual deposits United States deposits Deposits of U.S.disbursing officers. 148,986.66 Notes and bills rediscounted Bills payable Liabilities other than those above stated 25, 983. 64 70,000.00 452,668.77 Total. $150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 452, 668.77 First National Bank, Cartersville. J. R. WIKLE, President. J. H. VIVION, Cashier. Nx>. 4012. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S Total. $93,78-3. 93 548. 02 12, 500. 00 1, 400.00 1,061.47 5, 862.00 1,189. 94 4,313. 95 1, 955. 46 400.00 78.93 4,042.10 6,665.00 562.50 134,363.30 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding $50,000.00 2, 000.00 2, 034.20 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 87.36 2,819.83 Individual deposits United States deposits Deposits of U.S.disbursing officers. 53,114.76 Notes and bills rediscounted Bills payable Liabilities other than those above stated , 13,057.15 Total . 134,363.30 Third National Bank, Columbus. G. GUNBY JORDAN, President. Loans and discounts Overdrafts U.S. bonds to secure circulation-.. U. S. bonds to secure deposits.. U.S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouie,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie *. Legal-tender notes U. S. certificates of deposit. ~ Redemption fund withTreas. U. S. Due from Treasurer U. S Total. J. "W. MURPHEY, Cashier. No. 3937. $219,802.53 Capital stock paid in. $100,000.00 1,135.66 75,000.00 Surplus fund 30, 000.00 Undivided profits, less current expenses and taxes paid 18, 636.33 7,000. 00 National-bank notes outstanding. 67,500.00 47, 000. 00 State-banknotes outstanding 13, 000.00 Due to other national banks 1, 692.46 9, 266.12 Due to State banks and bankers.. 16,573.40 7, 753.07 58, 842.12 Dividends unpaid 6, 392. 69 2,331.46 Individual deposits 241,106.48 4,255.00 United States deposits 5.02 Deposits of U.S.disbursing officers. 10, 350. 00 15, 000.00 Notes and bills rediscounted Bills payable 3,375.00 Liabilities other than those above stated 475,508.67 Total. 475,508.67 REPOBT OF THE COMPTROLLER OF THE CURRENCY. 91 GEORGIA. Fourth National Bank, Columbus. No. 4691. T. E. BLANCHARD, President. Resources. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fand with Treas. U. S. Due from Treasurer U. S Total. E. P. OWSLEY, Cashier. Liabilities. $322,207. 55, 0(34. 37, 500. 4, 500. 00 Capital stock paid i n . $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid . . . National-bank notes outstanding State-bank notes outstanding 20, 000.00 6, 966. 56 33,750.00 5, 500. 00 15, 549. C, 597. > 20, 024. 108. 610. 2, GOO. 7. 10,144. 10, 165. 1, 687.50 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 3, 444. 87 4, 472.16 30.00 Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted ; j Bills payable 242, 602.59 40, 000. 00 | Liabilities other than those above stated Total. 501, 266.18 501, 266.18 Chattahoochee National Bank, Columbus. H. H. EPPING, President. No. 1630. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie „ Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $236, 417.91 14, 081). 60 25, 000. 00 2, 325. 36 14,131.52 18. 508.17 46. 204.94 2, 031. 28 4, 186.76 37, 690. 06 871. 28 290. 00 5,000.00 7, 500.00 $100,000.00 Surplus fund „ Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding Due to other national b a n k s . . , -.. Due to State banks and b a n k e r s . . 35,000.00 4, 233. 07 22, 500. 00 2, 750. 75 18, 743. 31 Dividends unpaid Individual deposits United States deposifcs Deposits of U.S.disbursing oflloera. Notes and bills rediscounted Bills payable 170,144. 75 63, 200. 00 Liabilities other than those above 416, 571. Total. E. II. EPPING, Cashier. Capital stock paid in . stated Total. 416, 571.88 National Bank, Columbus. J". EHODES BEOWNE, President. Loans and d iscounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional enrreney, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2338. $362,925.83 11, 658. 63 25, 000. 00 WILLIAM SLADE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 100, 000.00 9, 485. 28 22,500.00 1, 391. 25 8,150.80 33, 296. 57 1, 905. 00 1,621.21 1, 596. 00 66.05 32, 487. 50 10, 000. 00 1,125.00 491,229.84 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 11,895.49 237, 349. 07 10, 000. 00 491, 229.84 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. GEORGIA. First National Bank, Cordele. No. 4554. JOSEPH E. BIVTNS, President. F. J. BIVINS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalourrency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer TJ. S Total. $71,469.58 4, 901.62 12, 500. 00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 1, 700. 00 National-bank notes outstanding. 5, 000. 00 State-bank notes outstanding 14, 744. 00 Due to other national banks 139. 06 Due to State banks and bankers. 4, 302. 95 900. 77 Dividends unpaid 258. 75 Individual deposits United States deposits 119.20 Deposits of U. S.disbursin g officers. 581.00 3, 725. 00 Notes and bills rediscounted Bills payable r 77.50 Liabilities other than those above stated Total . 120,419.43 $50,000.00 4, 000.00 2,886. 26 11,250. 00 31,766.71 20,516.46 120,419.43 First National Bank, Dalton. R. I. PEAK, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S PRICE PEAK, Cashier, No. 3907. $69, 466.93 Capital stock paid in $60,000. 00 2, 036. 74 15, 000. 00 Undivided profits, less current 2,059.60 expenses and taxes paid National-bank notes outstanding. 13, 500. 00 4, 500. 00 State-bank notes outstanding 8, 263.38 76.00 Due to other national banks 482. 60 249. 64 Due to State banks and bankers.. 250. 00 2, 986. 38 Dividends unpaid . . .. . . . Individual deposits United States deposits Deposits of U. S.disbursing oflicers. 500.00 100. 57 7, 021.00 1, 000. 00 Notes and bills rediscounted Bills payable 375.66" Liabilities otber than those above stated ... 111, 576.00 Total 35, 284.16 Total 111, 576.00 Dawson National Bank, Dawson. A. J. CARVER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notet U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total No. 4115. F . E. CLARK, Cashier. $50, 000. 00 $82, 680.72 Capital stock paid in 17, 693.13 12, 500.00 Surplus fund 10, 000.00 Undivided profits, less current 4, 448.19 expenses and taxes paid 11,250. 00 1,625. 00 National-bank notes outstanding. State-bank notes outstanding 4*288." 94* 1, 535.18 Due to other national banks 1, 612. 37 463. 68 Due to State banks and bankers.. 38, 775.63 95.00 10, 935.71 Dividends unpaid 22, 271.85 126, 002.57 Individual deposits 3,175. 00 United States deposits 30.15 Deposits of U.S.disbursing officers. 12, 941. 00 2, 000. 00 Notes and bills rediscounted Bills payable 5,000.00 562.50 Liabilities other than those above stated Total 209,943.31 ] 209,943.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. OE OROIA, First National Bank, Gainesville. Z. T. CASTLBBERRT, President. No. 3983. J . W. SMITH, Cashier, Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bond! to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc JBank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. $102,268.31 1,353. 36 12, 500.00 1, 625. 00 1, 500.00 5, 255.00 4, 527.17 3, 080. 95 11, 814. 70 617. 61 113.94 6, 985. 45 3,842. 00 562.50 Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 10, 000.00 8,971. 63 11, 250. 00 :8.58 Individual deposits United States deposits Deposits of U.S.disbursing officers. 55,735.78 Notes and bills rediscounted Bills payable Liabilities other than those above stated 20, 000. 00 156,045.99 Total . 156, 045.99 City National Bank, Griffin. J. G. RHEA, Cashier. No. 2075. HENRY C. BURR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $101,641.11 | Capital stock paid in . 5, 519.57 14, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 27, 326.00 State-bank notes outstanding 10. 734. 09 2, 200. 00 Due to other national banks 947.42 Due to State banks and bankers. 3,167.45 1,504.49 Dividends unpaid 3,416. 36 Individual deposits 1,000.00 United States deposits 195. 20 Deposits of U. S .disb urging officers. 9,941.50 5,000.00 Notes and bills rediscounted Bills payable 630.00 Liabilities other than those above stated 187,223.19 Total. $56,000.00 33,000.00 2, 111. 21 12, 600.00 8,124. 36 384. 00 65,003. 62 10, 000. 00 187, 223.19 First National Bank, Macon. R. H. PLANT, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. W. WRIGLET, Cashier. No. 1617. $483, 283.26 Capital stock paid in . $200, oooTob 8, 093.97 50, 000. 00 Surplus fund 50,000.00 Undivided profits, less current expenses and taxes paid 7,530.00 6, 500. 00 National-bank notes outstanding. 44,100.00 29, 650. 00 State-bank notes outstanding 27, 000. 00 Due to other national banks 6,052.79 24,447.34 Due to State banks and bankers.. 2, 392. 41 37, 260. 74 Dividends unpaid 3, 936. 91 Individual deposits , 331, 996. 61 5, 246. 00 United States deposits 110.00 Deposits of U.S.disbursing officers. 60, 706.45 5, 000. 00 Notes and bills rediscounted 57,303.00 Bills payable 2,250.00 Liabilities other than those above stated 721,429.74 Total. 721,429. 74 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. GE O R G I A . American National Bank, Macon. No. 4547. J. M. JOHNSTON, President. L. P. HILLYBB, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit •Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $462, 073. 22 34,123.22 50, 000. 00 6,500.00 5,400.00 33, 294. 55 35, 003.83 48, 517.46 100,796. 66 26. 09 10,000.00 100.69 20,432.75 25, 000. 00 2,250. 00 833,518.47 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $250,000.00 30, 000.00 16, 949. 94 43, 700.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 334.33 38, 045.48 Individual deposits , United States deposits Deposits of U.S.disbursingofficers. 410, 690.52 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 1, 218.00 42, 580. 20 833,518.47 First National Bank, Marietta. C. S. MCCANDLISH, Cashier. No. 3830. R. "W. BOONB, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Ban'kg house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $118,124.67 891.32 12,500. 00 1,675.00 *2," 964*95' 7, 015. 09 1, 033. 27 13,493.92 204.14 290. 98 3,395.00 6,700.00 562.50 332.05 169,182.89 Total. Capital stock paid i n . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 11,000.00 947. 71 11, 240. 00 369. 81 7, 255. 05 70, 019.87 18, 350.45 169,182.89 First National Bank, Newnan. C. C. PABROTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1861. $89, 509. 24 28, 824.53 50,000. 00 5,750.00 9, 000.00 1,000.00 263.87 5, 417.66 1,054. 66 500. 00 227. 61 6, 708.00 5,000. 00 2, 250.00 205, 505. 57 H.H.NOETH, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid , 2,773.59 6,047.31 Individual deposits United States deposits Deposits of U.S. disbursing officers 36,411.76 Notes and bills rediscounted Bills payable Liabilities other than those above stated 21,487.85 25, 000.00 Total. 16,500.00 2,257.06 45, 000.00 28.00 205, 505. 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 95 OE OROIi. Newnan National Bank, Newnan. CHARLES C. PARROTT, President. J . S. HOLLINSHEAD, Cashier. No. 3382. Liabilities. Resources. Loans and discounts O verdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $98,814,81 28, 694. 25 50,000.00 3,190. 00 2,495. 00 4, 396.45 30, 743. 24 413. 81 260.00 6,199.05 2, 490. 00 1, 210.00 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 30,000.00 1,412.38 45,000.00 846. 73 6,204. 53 170. 00 Individual deposits United States deposits Deposits ofU. S.disbursing officers - 47,462.49 Notes and bills rediscounted; Bills payable 19,810.48 28, 000.00 Liabilities other than those above stated 228,906.61 Total 228,906. 61 First National Bank, Rome. JNO. H. REYNOLDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. I. HUGHES, Cashier. No. 2368. $424,550.21 Capital stock paid in. $150, 000.00 16,914. 42 37. 500. 00 Surplus fund 150,000.00 Undivided profits, less current expenses and taxes paid 21, 304. 72 4, 500.00 National-bank notes outstanding. 33, 750.00 31, 859.82 State-bank notes outstanding 19,100. 00 1, 251. 71 Due to other national banks 5, 886. 64 6,862. 80 Due to State banks and bankers.. 17, 978.91 14,474.11 59, 579.74 Dividends unpaid 953.13 Individual deposits 260,479.84 17,765.00 United States deposits 635. 00 DepositsofU. S.disbursing officers 29,101. 00 20, 500. 00 Notes and bills rediscounted 47, 834. 33 Bills payable 1,687.50 687,234.44 Liabilities other than those above stated , Total. 6S7,234.44 Merchants' National Bank, Rome. J. KING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3670. $82,411.22 2,027.11 50, 000.00 41, 200. 00 4, 075. 00 28, 600.18 H. L. MIDDLEBROOKS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 1,318.14 4,137. 21 Dividends unpaid 185. 94 Individual deposits 2, 500. 00 United States deposits 77.60 Deposits of U.S.disbursing officers 1,296.00 4,475.00 Notes and bills rediscounted Bills payable 2, 250.00 Liabilities other than those above stated 219,553.40 Total. $100,000.00 1,900.53 45,000.00 1,310.83 66,542.04 4,800.00 219, 553.40 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. G£OBOIA. Merchants' National Bank, Savannah. No. 1640. SAMUEL P. HAMILTON, President. W M . W. ROGERS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S bonds on hand ... Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XL S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total $639, 534. 32 Capital stock paid in 572.25 52, 000. 00 Surplus fund 70, 000. 00 Undivided profits, less current expenses and taxes paid 6,000. 00 National-bank notes outstanding. 79,530.00 State-bank notes outstanding 64, 608.26 20,155.43 Due to other national banks 39,552.48 Due to State banks and bankers.. 12,438.70 45, 971. 38 Dividends unpaid 33,697.05 10, 000.00 269.19 56, 000.00 25, 000. 00 2,293. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable $500,000. 00 100, 000. 00 14,719. 77 44, 430.00 15,300. 00 15,852.02 1,178. 50 349, 038. 23 17, 741. 49 40,437. 28 8, 924.77 50, 000.00 Liabilities other than those above stated 1,157,622.06 Total 1,157, 622. 06 National Bank, Savannah. HERMAN MYERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand , Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,andfixtuies Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. THOS. F . THOMSON, Cashier. No. 3406. $606,492.50 Capital stock paid in. $250,000.00 413.72 50,000.00 Surplus fund 125,000. 00 Undivided profits, less current expenses and taxes paid 23,2.19. 23 4,500. 00 National-banknotes outstanding. 37, 895.00 3,500.00 State-bank notes outstanding 2, 565.00 4,149.91 Due to other national banks 14, 635. 52 13,413.48 Due to State banks and bankers. 55, 388. 32 8,220.48 48,399.72 Dividends unpaid 309. 50 10, 500.00 292. 67 24,000.00 5,149.00 individual deposits United States deposits Deposits of U.S.disbursing officers 215, 422.29 Notes and bills rediscounted. Bills payable 2,250. 00 783,846.48 Liabilities other than those above stated Total. 61,976.62 783,846.48 Thomasville National Bank, Thomasville. S. L. HAYES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 3767. $195, 517.36 16,836.57 25,000.00 750. 00 1,862.63 5,141. 42 238.62 741.60 8,342.66 105.53 4, 220.00 200. 33 509. 60 3,320.00 1,125. 00 263,911.32 JAMES A. BRANDON, Cashier, Capital stock paid in. $100,000.00 Surplus fnnd Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid , Individual deposits United States deposits DepositsofU.S.disbursingofficers Notes and bills redisconnted Bills payable 40,000.00 2,566.09 22, 500.00 503.50 3.50 84,638.73 , 3, 699.50 10,000. 00 Liabilities other than those above stated Total. 263,911.32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 97 OEOBOIA. First National Bank, Valdosta. No. 4429. D. C. ASHLEY, President. JAS. T. BLITCH, Cashier. Resources. Loans and discounts I Overdrafts J U. S. bonds to secure circulation... j IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $85, 277.43 4,377.36 12,500.00 Capital stock paid in . 10,000.00 1,458. 38 11, 250. 00 2,252. 48 Due to other national banks Due to State banks and bankers. 2, 640. 53 1.020. 04 Dividends unpaid. 3,185.31 Individual deposits United States deposits 155.68 Deposits of U.S.disbursingofficers. 4,752.45 1,395.00 Notes and bills rediscounted . Bills payable 562.50 Liabilities other than those above stated Total. 118,118.78 Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35,410.40 10, 000.00 118,118.78 First National Bank, "Way Cross. , President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ... Fractional currency, nickels, cents. Specie Legal-tender notes U. S-. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . CUR, PT J.E.WADLEY, Cashier. No. 4963. $66,470.41 12, 500.00 1,683.59 9,020. 35 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 2, 639. 81 9, 340. 57 Dividends unpaid 281. 80 Individual deposits 440.' 66 United States deposits 68.03 Deposits of U. S.disbursingofficers. 6, 625. 75 1, 385.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 111,017.81 Total. . $50,000.00 750.00 1, 484.46 11, 250. 00 47, 533.35 111,017.81 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. IDAHO. First National Bank of Idaho, Boise City. C.W.MOORE, President. No. 1668. A. G. RED WAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits X S bonds on hand T Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $141,749.71 1, 425. 6S 25, OOU. 00 2, 500. 00 125.718.45 23. 286. 91 5, 000. 00 41,587.86 23,122. 51 3,"20i:2(V 7,347.00 48.05 42, 250. 00 18, 000. 00 1,125.00 700. 00 462,125. 37 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers.. 617. 35 16, 846. 35 40,000.00 7, 818.12 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers . 274, 343. 55 Notes and bills rediscounted Liabilities other than those above stated Total 462,125. 37 Boise City National Bank, Boise City. H . WADSWORTH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve ageuts. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3471. ALFRED EOFF, Cashier. $159, 558. 80 Capital stock paid in . $100, 000.00 21, 450. 63 25, 000. 00 Surplus fund 40, 000. 00 50,000. 00 Undivided profits, less current 96. 42. 22, 48, 13, 30, 008. 83 000. 00 750.00 081. 40 G01. 01 553. 87 179. 38 4,815.00 37.23 48,840.00 6, 910. 00 i, 125.66 571,511.15 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 047.18 22,500.00 Due to other national banks Due to State banks and bankers Dividends unpaid 3, 894. 36 4,998.01 Individuals deposits United States deposits Deposits of U. S.disbursing officers. 354, 487. 34 36, 977. 27 7, 606.99 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 571,511.15 First National Bank, Caldwell. HOWARD SEBREE, President. Loans and discounts Overdrafts U. S. bouds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total . No. 4690. $116, 564.14 1, 535.16 12, 500. 00 1.187. 50 10, 612. 80 1, 000. 00 10, 032. 09 431.77 97, 279. 93 122. 40 13, 995. 00 .50 17, 628. 45 "W. R. SEBREE, Cashier. Capital stock paid in . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11, 373.70 H, 250. 00 Due to other national banks Due to State banks and bankers.. 3, 700. 73 1, 223. 35 10, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers. 195,904.46 Notes and bills rediscounted.. Bills payable 562.50 283, 452. 24 Liabilities other than those above stated Total. 283, 452. 24 EEPOET OF THE COMPTROLLER OF THE CURRENCY. 99 IDAHO. First National Bank, Hailey. R. F. BULLBE, President. No. 3895. F. H. PARSONS, Cashier, Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand ... . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $86,131.47 3, 292. 70 12,500. 00 1, 250. 00 22,046. 54 5, 000. 00 5, 925. 00 277. 66 8,467. 59 13,179.79 683.27 220. 00 44.05 6, 398. 35 195. 00 562.' 50' 12,000.00 3,147.13 5, 650.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 60.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 95,316.79 Notes and bills rediscounted Bills payable Liabilities other than those above s tated 166,173.92 Total $50, 000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 166,173. 92 Total First National Bank, Kendrick. F. N. GILBERT, President. No. 4790. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $57, 408. 29 2. 500.12 12, 500. 00 1, 500. 00 2, 668.29 9, 469. 70 3,217.90 7, 497. 40 2, 748. 30 2,430. 52 34. 02 3,584. 50 562. 50 550. 00 106, 671. 54 MATH. JACOBS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 474.95 3, 664. 39 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits. United States deposits Deposits of U.S.disbursingofficers. 41, 282. 20 Notes and bills rediscounted. Bills payable Liabilities other than those above stated .' Total . 106, 671. 54 First National Bank, Lewiston. JOHN P. YOLLMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.' Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2972. A. W.KROUTINGER, Cashier. $151, 911. 23 Capital stock paid in. $50,000.00 10, 249. 95 12, 500. 00 Surplus fund 50,000. 00 Undivided profits, less current expenses and taxes paid 57. 393.86 National-bank notes outstanding.. 10, 850.00 39, 995. 82 State-bank notes outstanding 1,167.97 36, 283. 55 Due to other national banks 881. 60 22, 426. 36 Due to State banks and bankers.. 36, 991. 02 17, 678. 08 Dividends unpaid 2, 374.15 Individual deposits 192, 569. 27 United States deposits Deposits of U.S.disbursingofficers 28, 988.10 566. 00 Notes and bills rediscounted.. Bills payable 562.50 Liabilities other than those above stated 361,694.73 Total . 361,694.73 100 REPORT OF THE COMPTROLLER OF THE CURRENCY. IDAHO. Lewiston National Bank, Lewiston. F . W. KETTENBACH, President. No. 3023. GEORGE H. HESTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to'secure circulation... U. S. bonds to secure deposits TJ S bonds on hand ..... Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and moitg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $87,158. 75 6,559. 09 12, 500.00 7,182.78 45, 845. 08 14, 399.13 28, 296. 27 3,162. 51 18, 354. 52 149..86 3.15 34,255. 00 689. 00 562. 50 Capital stock paid in 50, 000. 00 Due to other national banks Due to State banks and bankers.. 15.79 Dividends unpaid 883.48 11, 250. 00 100.00 Individual deposits United States deposits Deposits of U .S.disbursing officers. 146, 868. 37 Notes and bills rediscounted Bills payable Liabilities other than those above stated 259,117.64 Total $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 259,117. 64 First National Bank, Moscow. No. 3408. A. T. GILBERT, President. Loans and discounts Overdrafts. TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $205,308.18 3, 775. 61 25, 000. 00 F. X. GILBERT, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 2, 850. 00 59,165. 65 4, 784.17 13, 322. 06 Due to other national banks 12, f<)«. 08 Due to State banks and bankers. 284. 45 9, 3(52. 22 Dividends unpaid. 914.54 Individual deposits. United States deposits Deposits of U.S.disbursing officers 10, 997. 45 1, 079. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated '. Total. 350,474.41 22, 000. 00 32, 879. 04 22,500. 00 1, 486. 54 166,608.83 5, 000. 00 350, 474.41 Moscow National Bank, Moscow. B . S. BROWNE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Du« from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4584. $123, 467.90 8, 447.40 18, 750.00 23, 391. 24 29,000. 00 4,500. 00 4,144. 95 12, 303. 64 3,107.92 1,338. 94 7.10 10, 410. 00 1,470. 00 843. 75 500. 00 241, 682. 84 C. M. BRUNE, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S. dis bursin g officers. Notes and bills rediscounted Bills payable $75. 000. 00 25, 000.00 4, 708. 81 16, 875. 00 550. 66 259.66 100, 074. 21 7, 214. 50 12, 000. 00 Liabilities other than those above stated , Total. 241, 682. 84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 101 IDAHO. First National Bank, Pocatello. No. 4023. C. BUNTING, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Piemiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixture! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. ;S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. C. SENTER, Cashier, Liabilities. $111, 728. 45 1,372.99 12, 500. 00 1, 000. 00 39, 246.94 2, 500.00 12,307.29 12, 774. 97 33, 508. 88 86.75 91.85 27, 240.00 25.00 562. 50 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. Due to other national banks Due to State banks and bankers.. 20,000.00 12,358.23 11,250.00 3,555.64 494.44 75.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers 157,212.31 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 254, 945. 62 Total. 254,945.62 First National Bank, Wallace. F. F. JOHNSON, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Bank'g house,furnitnre,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4773. H . M. DAVENPORT, Cashier. $50,729.64 Capital stock paid in , 347.92 12, 500.00 Surplus fund Undivided profits, less current 15, 000.00 expenses and taxes paid 2, 250. 00 National-bank notes outstanding. 40, 244. 66 State-bank notes outstanding 10, 241.30 246. 93 Due to other national banks 149, 893. 20 5, 0.18. 05 Due to State banks and bankers.. 26, 250.04 Dividends unpaid , 294.29 1, 010. 00 153.1* 16, 307.95 4, 890.00 562.50 Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 335,939.63 Total. $50,000.00 1,600.00 1,957.97 10,950.00 146.24 960.83 270,324.59 „ 335, 939. 63 102 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Abingdon. THOS. NEWELL, N o . 3377. President. ORION LATIMER, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts XJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit \ Redemption fund with Treas. U. S Due from Treasurer U. S $166, 023.92 5/349.38 12, 500. 00 3, 937. 50 3,000. 00 2, 657.63 17, 539. 46 3, 407. 70 220.00 92.67 9, 963. 50 5, 000. 00 562.50 Capital stock paid in . 10,000.00 13.135. 68 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 145, 868. 58 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 230, 254. 26 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 230, 254. 26 First National Bank, Alexis. No. 4967. HENRY TUBBS, President. Loans and discounts -. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. >2. 71 1,413.63 12, 500. 00 1, 687. 50 2, 52+. 15 3, 877.16 3,951.34 202. 90 850. 00 51. 36 2, 766. 50 4, 500. 00 562. 50 C. A. TUBBS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 000. 00 1,041.50 11, 250.0J Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingomcers. 38, 838.62 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 103,130.12 103,130.12 Alton National Bank, Alton. E. P. WADE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 1428. C. A. CALDWBLL, Cashier. $385, 005.32 Capital stock paid in . 872. 44 52, 000. 00 Surplus fund Undivided profits, less current 50, 200. 00 expenses and taxes paid National bank notes outstanding. 150, 005.00 State-bank notes outstanding $100, 000. 00 100,000. 00 47,312.97 41, 240. 00 14, 000. 00 49, 052.10 35,168.34 54, 763. 93 7, 089. 87 "" 2,465.66 760. 00 111, 673.08 8,154. 00 '2,346.06 610.00 924,159.08 Due to other national banks Due to State banks and bankers.. Dividends unpaid 12, 791. 70 17, 516. 61 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 605, 297. 80 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total. 924,159.08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 103 I L , JLII\ O I S . First National Bank, Anna. No. 4449. EICKLEFF JOHNSON, President. H.P. TUTHILL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits '. XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . XJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer XJ. S Total . $97, 515.10 2, 228. 47 12, 500. 00 2, 200. 00 230.00 2, 400. 00 1,612.10 1, 007. 79 Capital stock paid in $50, 000. 00 Surplus fund . Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 580. 79 5, 779.53 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 48, 978. 28 1, 068. 26 Individual deposits 500. 00 United States deposits 42.91 Depositsof U.S.disbursingotriCers. 8, 003. 75 2, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 180, 909.16 Total . 110,208.84 180. 90'J. 16 First National Bank, Arcola. No. 2204. J. B. BEGGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc .Bank'ghouse,furaiture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankei s. Due from approved reserve agents. , Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit oRedemption fund with Treas. XJ. S. Due from Treasurer XJ. S Total . $135,136. 29 145. 60 12, 5U0. 00 5, 500. 00 8, 739. 84 3,712.80 10, 389. 79 937.16 **3,'666.*OO" 188. 37 17,721.30 5, 000. 00 562!50* H. O. SNSTDER, Cashier. Jj Capital stock paid in $50, 000. 00 Surplus fund Undivided profiis, less current expenses and taxes paid National bank notes outstanding. S tate-bank notes outstanding 10, 000. 00 1, 906. 52 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United Stales deposits Depositsof U.S.disbursingom'cers. 130, 977.13 Notes and bills rediscounted Bills payable Liabilities other than those above stated 204,133.65 Total 204,133. 65 Atlanta National Bank, Atlanta. W. S. DUNHAM, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtnres Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items~ Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XJ. S Total No. 3711. $95, 908. 60 1, 595. 26 12, 500.00 £,"666766" 10, 000. 00 4, 727. 31 10, 383. 51 48.27 J. P. HIEEONYMUS, Cashier, Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes j>aid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 5, 800.00 4,163. 90 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Indi vidual deposits 1. 485. 00 United States deposits 59. 23 Depositsof U.S. dial) ursingofficers. 2, 445. 20 4, 000. 00 Notes and bills rediscounted Jiills payable 73, 500.98 Liabilities other than those above stated 144, 714. 88 Total 144,714.88 104 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Aurora. No. 38. E. A. BRADLEY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TL S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned: Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. j Checks and other cash items j Exchanges for clearing house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. B. Mix, Cashier. Liabilities. $100, 000.00 $343, 279. 08 Capital stock paid in . 771.99 50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 6,000. 00 National-bank notes outstanding. 13, 950. 00 State-bank notes outstanding 100, 000. 00 44, 515. 00 45, 000. 00 1, 200. 00 10,000. 00 Due to other national banks 965. 96 Due to State banks and bankers. 23, 237. 56 Dividends unpaid 6, 940.00 135. 24 32, 775. 00 3, 000. 00 2,250.00 1, 000. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 205, 989.83 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 495,504.83 495, 504.83 Total. Aurora National Bank, Aurora. O. D. POWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, an d fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ....... Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2945. $338, 612.19 3, 358. 88 25, 000. 00 28, 000. 00 1, 000. 00 967.47 95, 691.47 1,106. 75 7, 599.00 90.00 25, 096. 45 8, 000. 00 1,125.00 535, 647. 21 Total. C.E.POWELL, Cashier. Capital stock paid in . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50,000.00 9, 985. 20 22, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deoosits Deposits of U.S.disbursing officers- 353,162.01 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 535, 647.21 German-American National Bank, Aurora. JOHN PLAIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4469. $227, 560.28 Capital stock paid in . 4,185.96 50, 000.00 Surplus fund J. H. PLAIN, Cashier. Undivided profits, less current expenses and taxes paid 8, 000.00 National-bank notes outstanding. 2, 569. 95 State-bank notes outstanding $100,000.00 14,000.00 3, 664. 33 45,000.00 5,000. 00 3,328. 92 862. 37 Due to other national banks Due to State banks and bankers 18,157. 23 Dividends unpaid 2, 001.00 Individual deposits United States deposits 460.42 DepositsofU.S.disbursingofiicers. 10,938. 25 5,000.00 Notes and bills rediscounted Bills payable 2,250. 00 Liabilities other than those above stated , 342, 621. 38 Total. 160. 65 164,299.40 15, 500.00 342,624.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 105 ILLINOIS. Merchants' National Bank, Aurora. No. 3854. N. C. SIMMONS, President. W. C. ESTEE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $242,786. 81 1,148.76 25, 000. 00 5,250. 00 15, 000. 00 4, 500. 00 2, 986. 64 115. 97 16,701. 29 2, 29i. 88 14,314.00 351.16 21, 434.00 7,500.00 1,125.00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 12,000.00 5, 711.42 22,160.00 460.00 220,174. 09 Notes and bills rediscounted Bills payable Liabilities other than those above stated 360,505.51 360, 505.51 Total. Old Second National Bank, Aurora. No. 4596. WILLIAM GEOKGE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds . . . . . . . . Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $422, 747.34 10, 238. 60 50, 000.00 4, 578.13 800.00 20, 500.00 5,122. 05 14,941.66 4, 697.86 10,801.00 52.19 35,330. 00 2,250.00 550.00 FKANK B. "WATSON, Cashier. Capital stock paid in $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers - 18, 000.00 2,111.68 45, 000. 00 574.00 316,923.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 582,608. 83 582, 608.83 Total. First National Bank, Batavia. C. V . SHUMWAY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U. S Total. No. 4646. $93,478. 60 155.48 20, 000.00 2, 000.00 36, 921.19 2,500.00 3,019.11 1,243.72 1,848. 00 81.06 3, 463.90 D. B. ANDRUS, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU-S.disbursingofficers. Notes and " ills rediscounted. Bills payable $50, 000.00 9,000.00 938.88 18,000. 00 37.4& 77, 634.69 10, 000. 00 900.00 Liabilities other than those above stated 165,611.06 Total. 165,611.06 106 REPORT OF THE COMPTROLLER OF THE CURRENCY. IL.I.IIV O I S . First National Bank, Beardstown. JOHN H. HARRIS, President. N o . 3640. THOMAS ~K. CONDIT, Cashier Eesources. Loans and discounts Overdrafts U.S. bonds to secure circulation... IT. S. bonds to secure deposits . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned . I>ue from other national banks Due from State banks and bankei s. . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $262,337.73 ;| Capital stock paid in 7, 802. 20 20, 000. 00 Surplus fund Undivided profits, less current exp^n id ta: 5 paid . 2, 000. 00 National bank notes outstanding. 18, 250. 00 State-bank notes outstanding 11,500.00 Due to other national banks Due to State banks and bankers.. 8, 349. 49 Dividends unpaid 3, 543. 24 Individual deposits "575.60" United States deposits 15.50 Deposits of U.S.disbursing officers. 15, Ouv). U0 1, 200.00 Notes and bills rediscounted Bills payable ""'906.'66' $80,000.00 . 40,000.00 4,427.64 18, 000. 00 925.58 203,119. 94 5, 000. 00 Liabilities other than those above stated 351, 473.16 Total. 351, 473.16 First National Bank, Belleville. No. 2154. JOSEPH "FUESS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposi ts TJ. S. bonds on hand ! Premiumson U. S. bonds Stocks, securities, etc j Bank'g house, furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $272, 738. 76 5«'2. 06 50, 000. 00 357, 436. 94 2, 000. 00 17, 724. 75 28.00 55, 368.25 581.19 8, 000. 00 181.43 46, 342. 74 20, 000. 00 2, 250. 00 200.00 C. ANDEL, Cashier. Capital stock paid in . ~ Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding..,.. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers. $100,000.00 80, 000. 00 14. 897. 24 45, 000. 00 45.00 593,411 88 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 833, 354.12 833, 354.12 First National Bank, Belvidere. MARK RAMSEY, President. Loans and discounts. Overdraits U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. k Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1097. $92, 272.00 610. 65 25, 000. 00 109, 666. 85 3, 550. 00 ;9.13 10, 612. 89 1, 657. 76 3, 894. 00 264. 50 13, 628. 55 2, 000. 00 1,125. 00 265,271.33 ALBERT E. LOOP, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid Natioual-bank notes outstanding. State-bank notes outstanding . $75,000.00 21, 000. 00 290. 89 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 146,480.44 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 265, 271.33 REPORT OF THE COMPTROLLER OF THE CURRENCY. 107 ILLINOIS. Second National Bank, Belvidere. No. 3190. ALLEN C. FULLER, President. IRVING TERWILLIGER, Cashier. Resources. Loans and discounts. Overdrafts 17. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks . . . Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing liousi Bills ot other national ba^ks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U.S Liabilities. $145, 716. 03 1,125. 48 25, 000. 00 1, 760. 94 137,155. 00 7, 031.49 90.02 5, 757. 92 1,120.81 Surplus fund Undivided profits, less current expenses and taxes paid i National-bank notes outstanding.I State-bank notes outstanding j Due to other national banks j Due to State banks and bankers. Dividends unpaid - Individual deposits 2, 302. 00 United States deposits 260.72 Depositsof U.S.disbur8ingofficers. 14, 867. 45 7, 500. 00 Notes and bills rediscounted. Bills payable 1,124. 75 Liabilities other than those above stated 350, 812. 61 Total. Capital stock paid in Total $100,000.00 15, 000. 00 16, 266.45 21, 995. 00 106.19 197, 444. 97 350, 812. 61 First National Bank, Bement. WILLIAM M. CAMP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WILLIAM T. BOWER, Cashier. No. 4829. $112, 405. 88 Capital stock paid i n . ^$50, oooToo 833. 29 12, 500.00 Surplus fund 1,115. 00 Undivided profits, less current 1, 488. 81 expenses and taxes paid 11, 250. 00 National-bank notea outstanding. State-bank notes outstanding 2, 573. 74 Due to other national banks Due to State banks and bankers. 8, 878. 84 18, 939.27 Dividends unpaid Individual deposits United States deposits 120. e Deposits of U.S.disbursing officers. 4,295.60 6, 600. 00 | Notes and bills rediscountedBills payable 7. 562. 50 Liabilities other than those above stated 167, 709.72 Total. 103, 855. 91 167, 709.72 First National Bank, Biggsville. H. M. WHITEMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g hou8e,furniture,andfixtuie8 Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and othercash items Exchanges for clearing house Bii' Is of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3003. J. T. WHITEMAN, Cashier. $152, 924. 75 Capital stock paid in $50, 000. 00 1,100.97 12, 500. 00 Surplus fund 10,000. 00 Undivided profits, less current 16,424. 59 expenses and taxes paid 1,100.00 National-bank notes outstanding . 11, 250. 00 State-bank notes outstanding 4, 867. 65 223. 63 Due to other national banks 120. 60 Due to State banks and bankers . . 211.43 67.74 540. 00 10, 251. 65 Dividends unpaid 175. 32 100, 812. 54 Individual deposits 725.00 United States deposits 81. 01 Deposits of U.S.disbursing officers. 8,165. 00 820. 00 Notea and bills rediscounted Bills payable 4, 000.00 562.50 Liabilities other than those above stated 193,462.19 Total 193,462.19 108 REPORT OF THE COMPTROLLER OF THE CURRENCY. I L L 11> D. M. FUNK, President. OIS. First National Bank, Bloomington. No. 819. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghous^furniture^ndfixtures 1 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $365, 617. 55 5, 901. 53 50, 000. 00 352, 750. 00 93, 000. 00 7, 900.46 3,134. 05 32, 017. 31 313. 00 4, 014. 69 6,228. 00 176. 71 107, 527. 60 27,550.00 2,250.00 1,058,380.90 Total. C. W. EOBINSON, Cashier. Liabilities. Capital stock paid in . $225,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000.00 Due to other national banks Due to State banks and bankers.. 881.25 4,438. 71 18,422. 29 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 614, G38. 65 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 1,058, 380.90 Third National Bank, Bloomington. JOHN J. COWDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie .^. Legal-tender notes -T. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. N o . 2676. $394,669. 65 3,132.84 31, 250.00 4, 328.11 1, 650. 00 2, 674. 56 2, 892. 35 78, 283. 90 2, 694.18 6, 682. 00 12.68 47, 728. 75 10, 000. 00 1,406. 25 587,405. 27 S. W. WADDLE, Cashier. Capital stock paid in . $125,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding; . 80,000. 00 Due to other,national banks Due to State banks and bankers.. Dividends unpaid 202.26 1,855. 78 Individual deposits United States deposits Deposits of U. S.disbursing officers . 345, 111. 02 7, 111. 21 28,125.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 587,405.27 National State Bank, Bloomington. ALVIN B. HOBLIT, Cashier. No. 2386. $478,493. 35 Capital stock paid in . Loans and discounts $200,000. 00 5, 942. 66 Overdrafts 50,000.00 Surplus fund U. S. bonds to secure circulation... 50,000. 00 U. S. bonds to secure deposits Undivided profits, less current 45,384. 01 U.S.bonds on hand expenses and taxes paid 6,000.00 National-bank notes outstanding. 45, 000. 00 Premiums on U. S. bonds 60, 882. 53 State-bank notes outstanding Stocks, securities, etc Bank'g house,furniture, and fixtures 4,000. 00 Other real estate and mortg's owned Due to other national banks 14,820. 61 Dae from other national banks 4,096. 92 Due to State banks and bankers.. Due from State banks and bankers. 50,446.59 Due from approved reserve agents. Dividends unpaid 732.00 Checks and other cash items 5,863. 91 Individual deposits Exchanges for clearing house 420,057. 20 15, 393. 00 United States deposits Bills of other national banks 71.48 Fractional currency, nickels, cents. Deposits of U.S. disbursing officers. 36,106.00 Specie 35,000.00 Legal-tender notes Notes and bills rediscounted. Bills payable U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S stated 765,270.13 Total. 765, 270.13 Total. JACOB FUNK, President. REPORT OF THE COMPTROLLER OF THE CURRENCY. 109 ILLINOIS. First National Bank, Bushnell. N o . 4709. JAMES COLE, President. J . M. GALE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . $145, 872. 82 7, 502. 51 12, 500. 00 1, 250. 00 3, 241. 57 2,162. 00 1, 231.53 1,237. 73 14, 736. 40 1,544.78 315.00 103.14 5,506.35 4, 309.00 562.50 Capital stock paid in . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000.00 2,182.71 11, 250. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits : Depositsof U .S.disbursingofficers Notes and bills rediscounted Bills payable 131,702.62 4,000.00 , Liabilities other than those above stated Total. 202,135.33 202,135.33 Alexander County National Bank, Cairo. FREDOLIN BROSS, President. No. 3735. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Tleuemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $225, 507.83 987. 92 25, 000.00 2, 500. 00 if, 666.66 2,133.12 6, 239. 91 60, 941.89 2,541.02 5, 500. 00 332.50 40, 779.90 14, 000.00 1,125.00 924.40 F . J . KERTH, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 16, 000. 00 3, 081.76 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 707.00 98,145.11 Individual deposits United States deposits Depositsof U. S.disbursingofficers. 164, 079. 62 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 405, 513.49 405, 513.49 City National Bank, Cairo. W M . P . HALLIDAY, President. No. 785. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits $292, 958.44 2, 735. 69 25, 000. 00 50, 000. 00 Stocks, securities, etc Bank'g ho use,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 127,067.15 35, 000.00 U. S. bonds on hand Premiums on TJ. S. bonds Total. 11, 006. 48 2, 404. 79 52, 990.35 902.16 7, 893. 00 317.82 112, 749. 50 35, 000. 00 1,125.00 1, 000.00 758,150.38 J. S. AISTHORPE, Cashier. Capital stock paid in. $100, 000 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 160,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid > 6, 533.57 104,118. 67 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 308,821.09 44, 836. 69 163.31 11, 477. 05 22, 200. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 758,150.38 110 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Cambridge. No. 2540. N. B. GOULD, President. HENBY WHITE, Oashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other realestate andmortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $155, 572. 54 2,038.45 50,000. 00 5,000.00 3, 800.00 1, 000. 00 1,679. 39 4,621.73 224. 01 205.00 130.26 6,422. 50 1,300. 00 2, 250. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers $50,000.00 18, 000.00 2, 542.77 45, 000. 00 40.00 118, 667.11 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 234, 249. 88 Total . 234, 249.88 Farmers' National Bank, Cambridge. L. H. PATTEN, President. N o . 2572. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges lor clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $134,782. 35 394. 64 12, 500. 00 1, 000. 00 4, 000. 00 1, 950. 00 831. 98 5, 671. 12 1, 391. 16 5, 614. 00 43. 33 6, 840. 70 4, 000. 00 562. 50 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $50, 000.00 17,000. 00 3,561.53 11, 250. 00 105. 00 97, 665. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 179,581. 78 Total. E. D. RICHARDSON, Cashier, Capital stock paid in . Total 179, 581. 78 First National Bank, Canton. R. B. UNDERWOOD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 415. $172, 236.16 945.13 18, 750. 00 31,299.95 11, 000.00 2, 089. 98 1,236.34 9,102.57 334.55 5,641. 00 120. 82 26, 073. 65 9, 700. 00 843. 75 289, 373. 00 W. D. PLATTENBURG, JR., Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. $75,000.00 15,000.00 3, 082. 21 16, 875.00 63.00 179, 353.69 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 2S9,373.90 REPORT OF THE COMPTROLLER OF THE CURRENCY. Ill ILLINOIS. Canton National Bank, Canton. E. A. HEALD, Cashier. No. 3593. B. F. EYEELY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from otber national banks Due from State banks and hankers. Due from approved reserve agentsChecks and otber cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $202,011.78 327.02 15,000. 00 800. 00 33,388.64 13, 000. 00 421.52 2, 921. 87 14, 398. 09 625.01 1, 005. 00 81.38 17,154.65 18, 529. 00 675.00 320, 339.56 Capital stock paid in. $50, 000.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000. 00 4, 277. 82 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 232, 5G1. 74 10, 000. 00 320, 339. 56 First National Bank, Carbondale. F. A. PRICKETT, President. Loans and discounts Overdrafts TJ. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal -tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. No. 4904. $95, 801. 98 172. 58 12, 500. 00 750. 00 2, 821}. 60 22,671.00 2,726. 42 5,845.58 E. E. MITCHELL, Cashier. Capital stock paid in . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 000. 00 2, 273. 96 11, 250. 00 1,842. 34 125. 00 342.39 "22O.'66 171.98 4, 683. 60 5, 355. 00 ""262." 50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 85,835. 33 Notes and bills rediscounted Bills payable Liabilities other than those above 154, 326. 63 stated Total. 154,326. 63 Carlinville National Bank, Carlinville. W. Y. BURGDOBFF, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on 17. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks..... Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national ban k s Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 4299. $150, 203. 35 3,201.92 12,500.00 1, 500.00 2, 846. 00 1, 500. 00 27, 002. 32 3, 000. 00 7, 324. 70 91.04 919.00 70.64 12, 879. 50 3,500. 00 562.50 227,100.97 A.L. HOBLIT, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. $50,000.00 10, 000.00 4,497. 71 11, 250. 00 20.00 151, 333. 26 Notes and bills rediscounted. Bills payable Liabilities otber than those above stated Total. 227,100.97 112 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Carmi. J . A. MILLER, President. Xc. 4934. T. W. HALL, Cashier. Resources. Loans and discounts () verdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse. furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $150, 245.68 12, 500. 00 937. 50 6, 529. 20 14, 504.15 1,297. 30 9, 028. 82 21, 614. 91 326. 01 1,400.00 228. 91 11, 497. 20 5, 000.00 562. 50 209. 40 Capital stock paid in. . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 080. 85 11, 250. 00 Due to other national banks Due to State banks and bankers.. 97.58 1,600. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 169,853.15 Notes and bills rediscounted. Bills payable . Liabilities other than those above stated 235,881.58 Total. 235,881.58 Greene County National Bank, Carrollton. JOHN I . THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on 0". S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 2390. $391, 656. 93 10,128.10 100, 000. 00 16,100. 00 3,824. 00 2, 676. 50 189,383.34 13, 300. 00 65.47 28,184. 20 15,000. 00 4, 500. 00 2.50 ORNAN PIERSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits.. Deposits of U. S. disbursing officers. $100,000. 00 25,000. 00 59, 897.13 90, 000. 00 1, 520. 61 498,403. 30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 774, 821.04 774, 821.04 Hancock County National Bank, Carthage. D. MACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1167. $158,131.33 1, 880. 00 12, 500. 00 904.71 13, 675. 00 12, 500. 00 2, 252. 03 3, 066. 22 19, 333.43 1, 394.16 5.00 233. 00 6,366. 35 8, 910. 00 562. 50 241, 713. 73 CHAELES S. D E HART, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable $50,000.00 10, 000. 00 5, 619. 25 10,950. 00- 4, 628.43 150,157.44 10,358.61 Liabilities other than those above stated Total. 241, 713.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 113 ILLINOIS. Old National Bank, Centralia. No. 3303. E. S. CONDIT, President. F . KOHL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. $121,622.39 1,646.34 80, 000. 00 21, 500.00 2, 601.00 116, 557. 50 17,400. 00 4,785.02 19,526. 56 718.63 2,485.00 41.62 18, 345. 00 13,245.00 3, 600.00 Capital stock paid in . 20, 000. 00 10, 412.27 72,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. j 241,601.79 Notes and bills rediscounted .. Bills payable Liabilities other than those above stated 424,074.06 Total. $80,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 424, 074. 06 First National Bank, Champaign. No. 913. B. F. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $241, 002. 24 12, 924.40 50, 000. 00 103,520. 00 22, 000.00 800.00 11, 838.80 99, 338.61 3,827.46 547365.00 310.65 48, 646. 25 15, 000.00 2, 250.00 H. H. HARRIS, Cashier. Capital stock paid in . $65, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 77,000.00 15,103. 00 45,000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursingoflicers. 463, 720. 41 Notes and bills rediscounted Bills payable Liabilities other than those above stated 665,823.41 Total. 665, 823. 41 Champaign National Bank, Champaign. EDWARD BAILEY, President N o . 2829. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approvedreserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.1 Due from Treasurer U. S Total. CUB, PT 2 $210, 788.67 5, 634.46 12, 500. 00 1,400. 00 2, 500.00 33, 736.82 2,000.00 11, 697.94 10, 508. 97 55, 742.16 1,715. 98 10,857.00 270.97 44, 444.00 10, 000. 00 562.50 414,359.47 8 W. A. HEATH, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . • ~$50,000. 00 50,000. 00 27,785. 77 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing oflicers. 275, 323. 70 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 414,359.47 114 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Charleston. No. 763. W. E. MCCROEY, President. CURTIS L. DAVIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otlier real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $267,644. 55 4, 607. 77 25,000. 0© 15,924.93 1,365.00 366.00 1,056.63 8,785.80 1,255.46 317.00 158.07 6,149.15 3, 895.00 1,125. 00 589. 89 338, 240.25 $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 40, 000. 00 Due to other national banks Due to State bauks and bankers.- 1,849.95 State-bank notes outstanding Dividends unpaid 31, 071. 05 22, 500. 00 ............. Individual deposits United States deposits Deposits of U.S. disbursing officers. 134, 819. 25 5, 000.00 3,000.00 Bills payable Liabilities other than those above stated Total 338,240.25 Second National Bank, Charleston. No. 1851. L H. JOHNSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $286, 093. 06 2, 904. 00 25, 000. 00 34, 600.00 1, 400. 00 4, 203.87 19,197.67 2,201.52 6,528. 00 246.62 9,697. 85 6,000.00 1,125.00 $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable , 1,110. 04 40, 000. 00 39, 869.48 22, 500. 00 195,718.07 Liabilities other than those above stated 399,197. 59 Total. FELIX JOHNSTON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Total. 399,197.59 First National Bank, Chester. M. O. CEISSEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnitnre,andfixtures Other real estate and mortg's owned Due from other national banks ... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total No. 4187. $63,532.04 76.12 12,500.00 J . D. GrBRLACH, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 1,250. 00 National-bank notes outstanding. 52,135.00 State-bank notes outstanding 1, 978.60 Due to other national banks Due to State banks and bankers.. 1,723.03 2,137.48 14.55 215. 00 74.79 5, 263. 70 6,361. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted $50,000.00 7, 250.00 1,033. 57 11, 250.00 893. 80 147.00 77, 249.44 562.50 Liabilities other than those above stated . 147, 823. 81 Total 147,823.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 113 ILLINOIS. Old National Bank, Centralia. No. 3303. E. S. CONDIT, President. F . KOHL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $121,622.39 Capital stock paid in . 1,646. 34 80, 000. 00 Surplus fund Undivided profits, less current 21, 500.00 expenses and taxes paid 2,601.00 National-bank notes outstanding. 116, 557. 50 State-bank notes outstanding $80, 000.00 20, 000. 00 10, 412.27 72, 000.00 17,400. 00 4,785.02 19, 526. 56 718. 63 2,485.00 41.62 18, 345. 00 13, 245.00 3, 600.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoilicers.'. 241,001.79 Notes and bills rediscounted •. Bills payable Liabilities other than those above stated Total. 424, 074.06 424, 074. 06 First National Bank, Champaign. No. 913. B. F. HARRIS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house.furniture, and fixture s | Other real estate and mortg's owned] Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. H. H. HARRIS, Cashier. $241, 002. 24 Capital stock paid in . 12, 924.40 50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 103, 520. 00 State-bank notes outstanding 22, 000. 00 800. 00 Due to other national banks 11, 838. 80 Due to State banks and bankers. 99, 338.61 Dividends unpaid 3,827.46 Individual deposits 54, 365. 00 United States deposits 310.65 Deposits ofU.S.disbursingonicers 48, 646. 25 15, 000. 00 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 665,823.41 Total. $65, 000. 00 77,000.00 15,103. 00 45,000. 00 463, 720. 41 605, 823. 41 Champaign National Bank, Champaign. No. 2829. EDWARD BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approvedreserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUE, PT 2 $210, 788.67 5,634.46 12, 500. 00 1,400. 00 2, 500.00 33, 736.82 2,000. 00 11, 697.94 10,508. 97 55, 742.16 1, 715. 98 10,857.00 270. 97 44, 444.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstauding. State-bank notes outstanding $50,000. 00 50,000. 00 27, 785. 77 11, 250. 09 Due to other national banks Due to State banks and bankers..!. Dividends unpaid . Individual deposits United States deposits Depositsof U.S.disbursingofficers. 275,323.70 10, 000. 00 Notes and bills rediscounted . Bills payable 562.50 Liabilities other than those above stated ., 414, 359.47 8 W. A. HEATH, Cashier. Capital stock paid in . Total. 414,359.47 116 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Atlas National Bank, Chicago. "W. C. D. G-RANNis, President. No. 3503. S. W. STONE, Cashier. Liabilities. Kesources. $2,455. 077.16 Loans and discounts 1,142.98 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits X S bonds on hand T 3,250.00 Premiums on U. S. bonds 48. 379. 22 Stocks, securities, etc 5, 000. 00 Bank'ghou8e,furniture,and fixtures 90, 733. 77 Other real estate and mortg's owned 122, 089. 83 Duo from other national banks 260, 996.17 Due from State banks and bankersDue from approved reserve agents. Checks and other cash items 759. 41 Exchanges for clearing house 199, 942. 72 Hills of other national banks 20, 750. 00 Fractional currency, nickels, cents. 368. 54 Specie 396,] 22.10 Legal-tender notes 116, 700. 00 U. S. certificates of deposit Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer TJ. S Total Capital stock paid in $700, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 140, 0G0.00 Due to other national banks Due to State banks and bankers.. 289, 019. 96 601,952.05 Dividends unpaid 93, 234. 28 44, 540. 00 353.00 Individual deposits Certified checks United States deposits Deposits of U.S.disbursiugofficers. 1, 787. 551. 58 57,108. 03 Notes and bills rediscounted Liabilities other than those above Total 3, 773, 561. 90 3, 773, 561. 90 Bankers' National Bank, Chicago. E. S. LACEY, President. No. 4787. J . C. CRAFT, Cashier. $1,000,000.00 $2,749,492. 42 Capital stock paid i n . Loans and discounts 1,541.32 Overdrafts 55, 000. 00 50, 000. 00 | Surplus fund U. S. bonds to secure circulation... i Undivided protits, less current U. S. bonds to secure deposits expenses and taxes paid 65, 863.41 U. S. bonds on hand I 45, 000. 00 4, 250. 00 1 National-bank notes outstanding. Premiums on U. S. bonds State bank notes outstanding 104, 530. 65 Stocks, securities, etc 18, 774. 81 Bank'ghouae,furniture,and fixturesj Due to other national banks 1,267,072.60 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearin<? house Bills of other nationall)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U. S Total 515, 244. 87 36,189. 05 1,175. 07 96, 486. 97 10,100. 00 124.41 470,979. 00 130, 540. 00 2, 250. 00 750. 00 Due to State banks and b a n k e r s . . 680, 530. 43 187. 50 Dividends unpaid Individual deposits Certified checks United States deposits Deposi ts of U. S.disbursing officers Notes and bills rediscounted.. Bills payable 1, 050, 963. 74 27, 810.89 Liabilities other than those above stated 4,192,428.57 Total 4,192,428.57 Calumet National Bank of South Chicago, Chicago. JOHN CUNNEA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3102. $299, 293.45 73. 64 12, 500.00 6, 368. 03 1, 300. 00 8, 964. 36 6, 936. 09 A. G. INGRAHAM, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 431,562.01 25, 000. 00 8, 826. 35 11, 250. U0 Due to other national banks Due to State banks and bankers. 47,595.37 ! Dividends unpaid 1,445.66 |! i Individual deposits 13,808.00 W; United States deposits 116. 91 Deposits of U.S.disbursing officers. 22, 598. 00 10, 000. 00 Notes and bills rediscounted 562.50 $50, 000. 00 336, 485. 66 Bills payable Liabilities other than those above stated Total. 431,562.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 117 ILLINOIS. Chicago National Bank, Chicago. No. 2601. J. R. WALSH, President. F. M. BLOUNT, Cashier. Resources. Liabilities. Loans and discounts $4,581, 8L2.28 Overdrafts 6,106.37 U. S. bonds to secure circulation... 50,000.00 TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TT. S. bonds Stocks, securities, etc | 450, 028. 61 Bank'ghouse,furniture,andfixtures Other real estate and mortg's ownedj Due from other national banks 887, 857. 82 Due from State banks and bankers. 230, 323. 37 Due from approved reserve agents Checks and other cash items Exchanges for clearing house 139,324.88 Bills of other national banks 46, 000. 00 Fractional currency, nickels, cents. 703, 80 Specie 1,241, 000.00 Legal-tender notes 285,000.00 TJ. S. certificates of deposit 50, 000. 00 Redemption fund with Treas. TJ. S. 2,250.00 Due from Treasurer TJ. S 21,000.00 Capital stock paid in Surplus fund Undivided profits, less current ex penses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500,000.00 Due to other national banks Due to State banks and bankers.. 996, 201.42 289,476. 56 Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted . Bills payable 139, 855.06 45, 000.00 5,477, 601.69 43, 272.40 Liabilities other than those above stated 7,991,407.13 Total. 500,000.00 7, 991,407.13 Total. Commercial National Bank, Chicago. JEL F . EAMES, President. JOHN B. MEYER, Cashier. No. 713. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $6,708, 764.85 4, 875.14 50,000.00 181, 629.61 78, 295. 22 375, 094. 99 156, 223.04 1, 183, 67, 2, 1, 595, 505, 767.44 972.32 070.00 430. S3 305. 30 000.00 2, 250.00 Capital stock paid in . $1, 000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 200, 000.00 Due to other national banks Due to State banks and bankers.. 1, 397, 656.08 2, 344, 687. 05 83, 376.77 45,000.00 Dividends unpaid Individual deposits Certified checks . United States deposits Deposits of U.S.disbursingoffic Notes and bills rediscounted . Bills payable 3, 807, 790. 67 34,168.27 Liabilities other than those above stated Total 9,912, 678.84 I 9, 912, 678. 84 Continental National Bank, Chicago. JOHN C. BLACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.andfixturfs Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house . Bills of other national banks .' Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2894. $6, 526,848. 24 6, 754. 71 50,000. 00 462, 10, 332, 1, 048. 256, 200. 00 248. 61 782. 55 583. 80 495.44 18, 836.88 320, 409. 54 82,162. 00 2, 569. 00 1,425, 003. 95 1,036,810.00 2, 250. 00 5,000.00 11,586,954.72 -, Cashier. $2,000, 000.00 Capital stock paid in Surplus fund 400, 000.00 Undivided profits, less current expenses and taxes paid 134,267.23 National-bank notes outstanding. 33, 900.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted. Bills payable 3, 628, 511.91 1,385,672.87 378. 00 3, 886, 031. 36 118,193.35 Liabilities other than those above stated Total. 11,586,954.72 118 REPORT OF THE COMPTROLLER OF THE CURRENCY ILLINOIS. Drovers' National Bank of Union Stock Yards, Chicago. SOLVA BBINTNALL, President. No. 2858. W. H. BBINTNALL, Cashier. Liabilities. Resources. Loans and discounts $1,089,214.16 583.46 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds | 6, 000.00 Stocks, securities, etc Bauk'ghouse,furniture,and fixtures 12,000.00 Other real estate and mortg's owned 81,360.17 Due from other national banks j 43, 706. 54 Due from State banks and bankers.! 686, 660. 42 Due from approved reserve agents.) 6, 335. 65 Checks and other cash items Exchanges for clearing house 7, 510. 00 Bills of other national banks 1, 045.19 Fractional currency, nickels, cents. 34, 248. 50 Specie 104,400. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S Capital stock paid in. 100,000.00 Due to other national banks Due to State banks and bankers.. 130, 581. 50 596, 087. 25 26, 882.52 45, 000. 00 144.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 976, 624.82 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 2,125, 320. 09 Total . $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,125, 320. 09 Fort Dearborn National Bank, Chicago. JOHN A. KING, President. No. 3698. Loans and discounts Overdrafts U. S. bonds to secure circulation... "U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aml fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks avid other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total M. E. STONE, 32, 687. 50 232,105. 00 9, 701. 62 12, 605. 30 241, 890. 28 29, 911. 35 3,190. 38 124, 975.12 13,080.00 1, 034.43 256, 776. 25 299, 635. 00 40, 000. 00 2, 250. 00 3,517,069.55 President. Total. Surplus fund Undivided profits, less current expenses and taxes paid , National-bank notes outstanding. State-bank notes outstanding 16, 376.15 45, 000. 00 Due to other national banks Due to State banks and bankers.. 549, 347. 08 273, 575. 42 4,852, 322. 68 30.00 Dividends unpaid Individual deposits , Certified checks United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted. Bills payable 1, 774, 921. 02 17, 342. 39 240, 477.49 Liabilities other than those above stated Total Globe National Bank, Chicago. No. 4489. Loans and discounts $3,483, 853. 82 Overdrafts 278.32 U. S. bonds to secure circulation... 50, 000.00 TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 104, 013. 87 Bank'ghouse,furniture,andnxtures 4, 665. 00 Other real estate and mortg's owned Due from other national banks 224, 049. 70 Due from State banks and bankers . 77,487. 65 Due from approved reserve agents. Checks and other cash items Exchanges for clearing house 77, 424.17 Bills of other national oanks 29, 422. 00 Fractional currency, nickels, cents. 2,141.65 Specie 461.7:56.50 Legal-tender notes 335, 000. 00 TJ. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S L. A. GODDARD, Cashier. Capital stock paid in. 3,517,069.55 D. A . MOULTON, Cashier. Capital stock paid in $1, 000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 115, 000.00 Due to other national banks Due to State banks and bankers.. 320, 613. 37 102, 528. 05 Dividends unpaid Individual deposits Certified checks United States deposits Depositsof U.S.disbursingofficers, Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 33, 223. 05 45,000. 00 136. 00 3, 202,132. 81 33, 689.40 4,852, 322. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 119 ILLINOIS. Hide and Leather National Bank, Chicago. JOHN MCLAREN, President. No. 2450. C. M. WALWORTH, Cashier. Kesources. Liabilities. Loans and discounts $1,135,083.40 366.97 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S.bonds on hand 4,115.23 Premiums on U. S. bonds 78,946.81 Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned I 89,148.37 Due from other national banks 23, 601.16 Due from State banks and bankers. Due from approved reserve agents. 1,494. 30 Checks and other cash items 44,486.29 Exchanges for clearing house 37,105.00 Bills of other national banks 82.23 Fractional currency, nickels, cents. 319,971. 50 Specie 33, 354. 00 Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted. Bills payable 68,150.48 134, 475.05 75, 000.00 10,110. 31 45, 000.00 1, 030. 50 1,171,882.40 14, 356.52 Liabilities other than those above stated 1,820,005.26 Total 1, 820, 005. 26 Home National Bank, Chicago. No. 2048. A. M. BILLINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S , Total. $686, 889.15 15.71 50, 000.00 V M . MCDOUGALL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $250, 000.00 Due to other national banks Due to State banks and bankers .. Dividends unDaid 3,679. 57 76, 946. 57 474.19 Individual deposits 12,247. 28 Certified checks 6, 673. 00 United States deposits 203. 81 Deposits of U.S.disbursingoflicers. 703, 038. 55 29,000. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,109, 504.71 832. 75 10, 000.00 30, 000.00 2,500.00 70,827.85 87,463.80 1,865.11 1, 691,198.45 Total 100,000.00 150,234.85 1,691,198.45 Lincoln National Bank, Chicago. V. C. PRICE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on TT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3647. EDWARD HAMMETT, Cashier. $515, 215. 85 319.28 50, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 32, 566.02 State-bank notes outstanding 9, 500. 00 6, 0.41.03 Due to other national banks 55,184.97 Due to State banks and bankers.. 51,483.63 Dividends unpaid 624.70 25, 213.10 Individual deposits 8, 800. 00 Certified checks 54.13 United States deposits 91,837.20 Depositsof U.S .disbursing officers. 45, 250. 00 Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above stated 900, 339.91 Total. $200,000.00 5, 700.00 9, 419.99 45, 000. 00 100, 369. 05 19, 647.36 497,214.97 22, 988. 54 900,339.91 120 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Merchants' National Bank, Chicago. No. 642. C. J . BLAIR, President. JOHN C. NEELY, Cashier. Resources. Loans and discounts Overdrafts TJ. S.bonds to secure circulation... U. S bonds to secure deposits "U. S bonds on hand Premiums on X S. bonds L Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $5, 951, 307. 58 311.65 50, 000. 00 431, 700. 00 235, 000.00 867, 970.12 67, 244. 22 303, 878. 39 261, 724. 00 504. 60 1, 632, 369. 25 409, 000. 00 2, 250. 00 3, 000. 00 Capital stock paid in $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,500,000.00 Due to other national banks Due to State banks and bankers.. 2, 474,427. 70 1,993,027.11 491, 667. 40 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of IT. S.disbursing officersNotes and bills rediscounted. Bills payable 3,183, 974. 29 76, 223. 31 Liabilities other than those above stated 10,219,319.81 i 10,219, 319. 81 Total . Metropolitan National Bank, Chicago. E. G. KEITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Speci e '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3179. $7, 864,074. 59 17, 662. 79 50, 000. 00 439, 987. 56 20, 000. 00 1, 074, 603.36 168, 60:j. 22 5, 635.15 392,857.12 86, 277. 00 2,154.81 1, 012, 721. 80 939, 908. 00 2, 250.00 H. H. Hf rcHCOCK, Cashier. Capital stock paid in $2, 000, 000.00 Surplus fund Undivided profits, less enrrent expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 000, 000. 00 Due to other national banks Due to State banks and bankers.. 2, 442, 244. 95 1, 584,143.16 117, 545. 66 1,475.00 1, 226. 00 Dividends unpaid Individual deposi ts Certified checks United States deposits Deposits ofU.S.disbursing officers Notes and bills rediscounted. Bills payable 4,837, 025. 91 93, 074. 72 Liabilities other than those above stated 12,076,735.40 12, 076, 735. 40 Total. National Bank of America, Chicago. ISAAC G. LOMBARD, President. Loans and discounts Overdrafts " " U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fiirniture,aiid fixtures Other real estate and mortg's owned) Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2826. EDWARD B. LATHROP, Cashier. $2, 845, 859. 87 Capital stock paid in. $1, 000, 000. 00 487.32 \ 250, 000. 00 500, 000. 00 Surplus fund Undivided profits, less current i 31, 601. 45 expenses and t-uxes paid 323, 600. 00 National-bank notes outstanding. 60, 000. 00 42, GOO. 00 State-bank notes outstanding 411,391.18 52, 293. 51 2, 114, 9, 1, 560, 103, Due to other national banks Due to State banks and bankers.. Dividends unpaid 980. 30 308. 52 Individual deposits 875. 00 j Certified chocks 383. 07 United States deposits Deposits ofU. S.disbursing officers. 9:J8.15 200. 00 Notes and bills rediscounted 22, 500. 00 4, 727, 816. 92 1, 021, 585. 77 483, 709. 81 147. 00 1, 606,170. 95 11,001.94 Bills payable Liabilities other than those above stated Total 4, 727, 816. 92 EEPORT OF THE COMPTROLLER OF THE CURRENCY- 121 ILLINOIS. National Bank of Illinois, Chicago. GEORGE SCHNEIDER, President. CARL MOLL, Cashier, No. 1867. Liabilities. Resources. $1,000,000.00 $9, 399, 561.17 [ Capital stock paid in. Loans and discounts 27,199. 25 Overdrafts . Surplus fund 1,000, 000.00 50, 000. 00 U. S. bonds to secure circulation... Undivided profits, less current TJ. S. bonds to secure deposits 293, 699. 50 expenses and taxes paid U. S. bondsonhand 45, 000. 00 National-bank notes outstanding. Premiums on TJ. S. bonds State-bank notes outstanding 200.437.64 Stocks, securities, etc Bank'ghouse,furniture,andfixturee 3,025,701.45 33,260. 00 Due to other national banks Other real estate and mortg's owned 1, 202, 768. 80 1, 706,400. 66 Due to State banks and bankers. Due from other national banks 414,706 24 Due from State banks and bankers. 30,150.00 Dividends unpaid Due from approved reserve agents Checks and other cash items 8,235, 310. 35 Individual deposits 390, 871.34 Exchanges for clearing house 109,127.81 50, 000. 00 Certified checks Bills of other national banks 5,201.61 United States deposits Fractional currency, nickels, cents. 2,108, 870. 00 Deposits of U. S. disbursing officers. Specie 313, 000. 00 Notes and bills rediscounted Legal-tender notes 300, 000.00 Bills payable TJ. S. certificates of deposit 2,250. 00 Redemption fund withTreas. TJ. S. Liabilities other than those above Due from Treasurer TJ. S j stated Total 15,001,757.91 Total ! 15,001,757.91 National Bank of the Republic, Chicago. JOHN A. LYNCH, President. No. 4605. Loans and discounts ~ Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture8; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total W. T. FENTON, Cashier. 1 628, 084.23 Capital stock paid in , j $1,000,000.00 3,358.07 50, 000.00 Surplus fund 75,000.00 Undivided profits, less current expenses and taxes paid 46, 747.14 45, 000. 00 National-bank notes outstanding. 3, 574. 00 State-bank notes outstanding 12,179.18 1, 037,134. 76 12 000.00 Due to other national banks 570, 822. *1 405, B66.09 Due to State banks and bankers.. 28, 729. 61 Dividend s unpaid 2,406.59 1,115, 882. 84 124,077. 39 Individual deposits 16, 764.52 10, 525.00 Certified checks 1,130. 81 United States deposits Deposits of U.S.disbursing officers. 452, 965. 70 108,405. 00 Notes and bills rediscounted 2, 250.00 Bills payable 2, 500.00 Liabilities other than those above stated 3,907,351.67 Total 3,907,351.67 National Live Stock Bank, Chicago. L E V I B. DOWD, President. No. 3847. Loans and discounts $3,029, 553.13 24, 649. 70 Overdrafts 50,000.00 U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 49,875. 00 Bank'ghouse,furniture,and fixtures . Other real estate and mortg's owned! Due from other national banks 1, 242,157.07 Due from State banks and bankers. 144, 315. 54 Due from approved reserve agents. Checks and other cash items Exchanges for clearing house 23, 931. 24 Bills of other national banks 8, 235.00 Fractional currency, nickels, cents. 220.81 Specie 268,295.00 Legal-tender notes 208,000. 00 TJ. S. certificates of deposit 100, 000. 00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total. 5,151,482.49 ROSWELL Z. HERRICK, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $750,000. 00 750, 000.00 232, 372. 72 36, 500.00 Due to other national-banks Due to State banks and bankers.. Dividends unpaid 1,003,169.79 167, 209. 41 Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. 2, 202, 869. 20 9, 111. 37 250. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 5,151,482.49 122 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. North-western National Bank, Chicago. B. BUCKINGHAM, President. No. 508. T. W. GOOKIN, Cashier, Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $3,331, 570.41 1, 029. 80 200, 000. 00 300,000.00 Capital stock paid in $1,000,000.00 Surplus fund 500,000.00 Undivided profits, less current 50, 209.13 expenses and taxes paid 179, 560. 00 National-bank notes outstanding. 125, 057. 88 State-bank notes outstanding 1,158, 837. 84 12, 000. 00 Due to other national banks 749, 647.22 453, 263. 61 Due to State banks and bankers.. 77,949. 42 "Dividends unpaid 187.79 1, 754, 741. 54 217,445. 71 Individual deposits 79, 866. 80 20, 787. 00 Certified checks 202,541.67 792.12 United States deposits 63,174. 74 645, 931.20 Deposits of U.S. disbursing officers. 343,564.00 Notes and bills rediscounted Bills payable 9,"666."66 Liabilities other than those above 5, 728, 578.94 Total. stated Total. 5, 738, 578.94 Oakland National Bank of Hyde Park, Chicago. H. P. TAYLOR, President. N o . 3916. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furaiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $356,086. 31 76.29 12, 500. 00 5, 000.00 77, 608. 98 697. 68 765. 00 62. 92 18, 474. 00 4,135. 00 562. 50 12, 449.61 10, 870.00 86, 574. 21 1, 074. 86 Liabilities other than those above stated 475, 968. 68 Total. H. W. MAHAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ... Certified checks United States deposits Deposits of U.S. disbursing officers Notes and bills rediscounted. Bills payable Total. 475,968.68 Prairie State National Bank, Chicago. GEORGE VAN ZANDT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XT. S. bonds to secure deposits "U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house | Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer TJ. S Total. No. 3882. $474,488.99 979. 42 50, 000. 00 231, 000. 00 132, 818. 87 656.21 740. 69 26, 699. 08 6, 269. 00 286. 57 133,031.60 180. 855. 00 2,250.00 1,240,075.43 D. W. BUCHANAN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding... . Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Depositsof U.S.disbursingofficera. Notes and bills rediscounted. Bills payable $200, 000.00 14,000. 00 13,444.03 10,150. 00 5,190. 63 72, 281. 92 913, 808. 66 11, 200.19 Liabilities other than those above stated Total. 1,240,075.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 123 ILLINOIS. Union National Bank, Chicago. J. J. P. ODELL, President. N o . 3278. A U G . BLUM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. U. S.bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and' other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fundwit.li Treas. TJ. SDue from Treasurer U. S Total. ., 358, 087. 85 2. a 17. 09 50, 000. 00 204,143. 21 7, 725. 00 165, 325. 23 852, 725. 24 389, 074. 25 1,801.45 131, 878. 85 16, 000. 00 2,431.67 605, 000. 00 480, 000. 00 2, 250. 00 $2, 000, 000. 00 Capital stock paid in . Surplus fund 500, 000.00 Undivided profits, less current expenses ajtd taxes paid 97, 397. 21 National-bank notes outstanding. 21, 550. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 797, 604. 63 1, 267, 280. 08 160.50 Individual deposits Certified checks United statcs deposits Depositsot'U.S.disbursingofficers. Notes and billsrediscounted. Bills payable 2, 552, 900. 78 33, 060. 14 Liabilities other than those above stated 8, 269, 959. 34 Total. 8,269, 959.34 Dewitt County National Bank, Clinton. No. 1926. J. T. SNELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. B. bonds St ocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $169, 879. 37 3, 322. 92 22, 500. 00 1,100. 00 14,135. 75 E. S. NIXON, Cashier. Capital stock paid in . $50, 000.00 Surplus fund Undivide/I p , profits, less current dt id expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 2, 693. 26 20, 250. 00 Due to other national banks 3, 227. 87 24, 441. 78 Due to State banks and bankers. 13,414. 42 Dividends unpaid 293. 63 Individual deposits 2, 766. 00 United States deposits 79.34 Depositsof U.S.disbursingoificers. 6, 308. 00 6, 000. 00 Notes and bills rediscounted. 185, 898. 32 Bills payable 1, 012. 50 300. 00 Liabilities other than those above stated Total. 268, 841. 58 268, 841. 58 First National Bank, Danville. J . G. ENGLISH, President, Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furn i ture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. No. 113. $585, 906. 03 3,931.10 37, 500. 00 47, 488.13 26, 500. 00 7,501.01 6, 596.19 1, 948.46 30, 795. 88 5, 615. 73 i2, 825. 00 125.75 53,127. 50 4, 500. 00 1, 687. 50 450.00 826, 558.28 C. L. ENGLISH, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid In dividual deposits United States deposits Depositsof U.S.disbursingofficers. $150,000.00 140,000.00 12, 020. 49 33, 750. 00 784.39 490, 003. 40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 826,558.28 124 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Second National Bank, Danville. No. 2584. W. P . CANNON, President. A. It. SAMUEL, Cashier. Resources. Loans and discounts O v erdraft s U. S.bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from Treasurer IT. S Total. Liabilities. $268, 943. 82 1, 884.77 25,000. 00 196, 042. 65 2, 500.00 2,420. 95 2,169. 26 9, 919. 84 3, 933. 09 5,633.00 261.75 27, 715. 25 15, 000. 00 1,125.00 Capital stock paid in. $100,000.00 Surplus fand Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. 2, 897. 36 11, 387. 50 2,577. 74 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 323,195. 78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 562,558.38 Total. 562, 558. 38 Palmer National Bank, Danville. C. J . PALMER, No. 4731. President. Loans and discounts Overdrafts U. S. bonds to secure circuL. J o n . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc i Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks ; Due from State banks and banke rs. I Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $131, 223. 36 512. 24 25, 000. 00 65, 417. 26 15, 272. 37 1,113.71 624. 41 11,514.16 624.89 2, 086. 00 115.43 7,143. 75 5, 500.00 1,125. 00 M. J . WOLFORD, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $100, ooo/oo 4, 000. 00 3. 388.05 22| 500. 00 1, 270. 02 136,114. 51 Notes and bills rediscounted Bills payable Liabilities other than those above 267,272.58 stated Total. 267, 272. 53 Citizens' National Bank, Decatur. MILTON JOHNSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... X S. bonds to secure deposits L TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixture.s Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4576. $324,180. 46 32, 978. 91 50, 000. 00 5, 000.00 2, 000. 00 32, 943. 58 5, 214. 70 1,162. 85 5,255. 77 7,139.98 3,855. 29 1,400. 00 262. 47 12.155.00 8,000.00 2, 250. 00 JOHN A. DAWSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Indi vidual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable $200, 000.00 28, 000.00 1, 942. 95 45, 000.00 2, 751. 32 18, 224.19 12.00 177,868. 55 20,000.00 Liabilities other than those above stated 493, 799. 01 Total. 493, 799.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 125 ILLINOIS. National Bank, Decatur. No. 4920. K. H. ROBY, Preddent. B. 0. MCRETNOLDS, Cashier. Resources. Loans and discounts Overdrafts '.. IT. S. bonds to secure circulation... TT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,an(l fixtures Other real estate and rnortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $427,673.48 45, 781. 32 25, 000.00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 000. 00 National-bank notes outstanding 10, 000. 00 State-bank notes outstanding 4, 000. 00 Due to other national banks 1, 783. 61 Due to State banks and bankers . . 12, 359. 00 31, 736.40 Dividends unpaid 5, 588. 32 Individual deposits 5,000.00 United States deposits 200. 36 Deposits of U.S.disbursingofficors. 30, 094. 00 8, 000. C Notes and bills rediscounted O Bills payable 1,125.00 Liabilities other than those above stated Total. 610, 341. 49 100, 000.00 10. 423.10 22,500.00 1, 985. 55 365,432.84 610,341.49 De Kalb National Bank, De Kalb. JNO. H. LEWIS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned] Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national batiks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2702. $199,515.30 1,524.38 32,500.00 T. A. LUNEY, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15,203.20 14,423.08 2, 3154. 84 Due to other national banks 10, 291. 43 Due to State banks and bankers . 99,406. 04 Dividends unpaid. 249. 44 Individual deposits 500. 00 United States deposits 124. 31 Deposits of U.S.disbursing officers. 18, 008. 00 6, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total., 380, 632. 52 10, 000.00 8, 236. 05 11, 250. 00 301,146. 47 380, 632. 52 Tazewell County National Bank, Delavan. J. W. CRABB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaloanks Fractional currency, nickels, cents. Specie Legal-tender notes X . 3. certificates of deposit T Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3781. $77,432.17 1,613.74 12, 500.00 JAMES N. HALL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 750. 00 8,706.71 10,000. 00 2, 500. 00 Due to other national banks 642.56 Due to State banks and bankers.. 341. 27 906.51 Dividends unpaid 60.96 Individual deposits sii. 66" United States deposits 274. 04 Deposits of U.S.disbursingofncers. 2,612. 50 5,725. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 124,938.96 Total. $50,000. 00 7, 500. 00 437. 98 11,250.00 113. 86 922. 23 50, 714. 89 4,000.00 124,938.96 126 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. City National Bank, Dixon. No. 3294. S. C. EBLLS, President. LEONARD ANDRUS, Cashier. Re sources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $209,645.15 115.96 25, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2, 500.00 National-bank notes outstanding. 35. 065. 00 State-bank notes outstanding 6,500.00 8,151.55 21, 860. 00 1, 000. 00 154. 00 19, 592. 87 52.00 830. 00 175.37 27,621.30 5, 500. 00 1,125.00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 191, 865.10 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 328,376.65 Total. $100, 000.00 Total . 328, 376.65 Dixon National Bank, Dixon. No. 1881. J . C. AYRES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estateand mortg's owned Due from othor national banks Due from State bank and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2; 500. 00 National-bank notes outstanding. 20,197.00 State-bank notes outstanding 2, 500. 00 1,450. 00 704. 88 56.08 42,597. 57 285.97 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1,410.00 United States deposits 257. 86 Depositsof U. S.disbursing officers. 49,850. 25 1,560. 00 Notes and bills rediscounted. Bills payable 1,125. 00 406, 482.40 Total. CHAS. H. HUGHES, Cashier. $256, 261.15 726. 64 25, 000.00 Liabilities other than those above stated Total . $100, 000.00 18,100.00 11, 977. 38 20,160. 00 51.00 256,194. 02 406,482. 40 First National Bank, Duquoin. P. K. POPE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ROBT. O. LEHN, Cashier. No. 4737. $50, 000. 00 Capital stock paid in. Surplus fund 5, 000.00 Undivided profits, less current 350.00 expenses and taxes paid 4, 257. 26 1,338.50 National-bank notes outstanding. 11, 250.1)0 15,507. 68 State-bank notes outstanding $79,131.53 5,187. 79 12, 500. 00 3,000.00 Due to other national banks Due to State banks and bankers. 12, 864.70 Dividends unpaid 98.04 Individual deposits 1,000. 00 United States deposits 62.82 DepositsofU.S.disbursing officers. 368. 88 4,719.20 1,000. 00 562. 50 137, 691.64 67,184. 38 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total. 137, 691. 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 127 ILLINOIS. First National Bank, Earlville. No. 3323. ¥ M . R. HAIGHT. President. CHARLES HOSS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer TJ. S $129,143. 96 650. 79 12, 500. 00 1,000. 00 5,103. 70 2, 372. 52 1,782. 55 7,533. 67 322. 88 2,048. 00 (57.78 12,115. 60 562.50 Capital stock paid in. 9,000.00 2.781.30 11, 247. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disburaingofncers. 102,175.15 Notes and bills iediscounted. Bills payable Liabilities other than those above stated 175,203.95 Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes* outstanding. State-bank notes outstanding Total. 175, 203.95 First National Bank, East Saint Louis. PAUL W. ABT, President N o . 4828. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $238,227.08 382. 33 25, 000.00 2,500.00 48, 926.49 25, 000. 00 8, 000. 00 670.55 34, 858. 77 6, 796. 73 697. 00 600.09 24, 770. 75 20, 700.00 1,125.00 438,254.79 J. M. "WOODS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 18,000.00 4, 677. 78 22,500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 293, 077.01 " otes and bills rediscounted N Bills payable Liabilities other than those above stated Total. 438,254.79 First National Bank, Effingham. J o . PARTRIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national batiks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates o f deposit * Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. H. B. WERNSING, Cashier. No. 4233. $76, 568.68 Capital stock paid in. $50,000.00 210. 07 25, 000.00 Surplus fund 10,000.00 Undivided profits, less current expenses and taxes paid 3, 062.04 3, 200. 00 National-bank notes outstanding. 22, 500. 00 5, 000. 00 State-bank notes outstanding 11,282. 50 Due to other national banks Due to State banks and bankers. 20, 304.12 Dividends unpaid 213.32 Individual deposits 75, 509. 47 1,000. 00 United States deposits 16.17 Deposits of U.S. disbursingofficers. 8, 651. 65 8, 500. 00 Notes and bills rediscounted. Bills payable "i,"i25.'66 161, 071. 51 Liabilities other than those above stated Total. 161,071.51 128 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Elgin. No. 1365. GEO. P. LORD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $625, 339.16 6, 257. 88 50, 000.00 $200, 000. 00 Capital stock paid in., Surplus fund Undivided profits, less current expenses and taxes paid 6, 046. 88 National-bank notes outstanding. 7, 087. 05 State-bank notes outstanding 21. 599. 75 14, 769.17 97,476.70 12,091. 67 3,714.61 13, 724. 00 439.60 44, 556. 60 22, 353. 00 2, 250. 00 1, 552. 50 40, 000.00 12, 470. 67 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 111, 504. 97 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 520, 282. 93 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 929, 258. 57 Total. ALFEED BOSWORTH, Cashier. Total . 929, 258. 57 Elgin National Bank, Elgin. M. H. THOMPSON, President. No. 4735. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash itenus Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $184,952. 86 1, 478. 42 25, 000. 00 3, 500. 00 4,166. 69 33, 081. 63 5, 537. 25 49, 864. 92 1, 927. 75 2, 667. 38 825. 06 15,972. 50 11,412. 00 1,125. 00 341, 511.46 Total. L. N . SEAMAN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenhes and taxes paid National-bank notes outstanding. State-bank notes outstanding | $100, 000.00 5, 000.00 2, 293. 56 22, 500. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. Notes and bills rediscounted Bills payable 201,717.90 10, 000. 00 Liabilities other than those above stated Total. 341,511. 46 Home National Bank, Elgin. J. W. RANSTEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . W . H . DOE, Cashier. No. 2016. $150,000. 00 Capital stock paid in. 50, 000.00 Surplus fund Undivided profits, less current 20, 000. 00 31, 081.13 expenses and taxes paid 3,523. 76 National-bank notes outstanding. 45, 000.00 31, 949. 25 State-bank notes outstanding $364, 826. 57 1, 352. 22 50,000.00 72, 500. 00 11,403.68 2, 710. 67 Due to other national banks Due to State banks and bankers.. 59, 651. 96 Dividends unpaid 4,497.65 Individual deposits '"" 3," 870 "66' United States deposits 1,378.11 Deposits of U.S.disbursingofBcers. 33,495. 00 2,480.00 Notes and bills rediscounted Bills payable : 2, 250.00 665, 888.87 Liabilities other than those above stated Total. 41,823. 70 342, 984.04 5,000.00 665,888.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 129 ILLINOIS. First National Bank, El Paso. A. S. MCKINNEY, President No. 2997. FRANK B. STITT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .. TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels; cents. Specie Legal-tender notes 11. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. Capital stock paid in . 2, 000. 00 27, 033. 00 12, 500. 00 22, 052. 87 1,921.52 23, 325.10 399. 00 118.51 11, 877. G O 2,450. 00 1,125. 00 241,662.41 $50, 000.00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes o i i t s t a n d i n g . . Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingofficera Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 25,000.00 3, 512. 90 22, 500. 00 140, 649. 51 241, 662.41 First National Bank, Pairbury. I. P. MCDOWELL, No. 1987. President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $128, 376. 03 7, 870. 07 12, 500.00 T. S. O. MCDOWELL, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding-.... 10, 000. 00 25, 325. 54 11, 250. 00 Due to other national banks 4, 651. 51 956. 00 Due to State banks and bankers . 10, 084.82 1,400.00 33.23 8,134. 50 562. 50 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 77, 993.12 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 174, 568. 66 174, 568. 66 First National Bank, Fairfield. THOMAS W . SCOTT, President. Loans and discounts Overdrafts . ............. U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand .. . . . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total CUR, PT 2 No. 5009. $70,182.46 12, 500. 00 1, 562. 50 20,000. 00 6,129. 00 45.04 9,345.39 2, 360. 00 23.14 5, 822. 00 5, 000. 00 562. 00 10.00 133, 541. 53 9 EDWIN E. CBEBS, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 860. 99 11, 240. 00 Due to other national banks Due to State banks and bankers Dividends unpaid ... Individual deposits United States deposits Depositsof U.S.disbursingofncers. 70, 440. 54 Notes and bills rediscounted Liabilities other than those above Total 133, 541. 53 130 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. John Weedman National Bank, Farmer City. MATTHIAS CHUM, President. No. 3407. G. M. KINCAID, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures1, Other real estateand mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $187, 111. 05 9, 847.23 18,750. 00 2,000.00 *6,"i24.'i9* 3, 006. 04 5, 439. 76 137.97 Capital stock paid in. $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding, 28,500. 00 3, 283. 49 16, 875. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1, 015.00 United States deposits 37.91 Deposits of U. S.disb ursing officers. 2, 464. 60 ji 3, 000. 00 I Notes and bills rediscounted Bills payable 843. 75 106,119.01 5, 000. 00 5, 000. 00 Liabilities other than those above stated 239, 777. 50 Total. 239, 777. 50 Old First National Bank, Farmer City. No. 4958. JACOB SWIGART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $117,442.03 292.81 16, 250.00 2, 000. 00 "5*666.06" 2,833.69 6, 455. 81 13.69 3,440. 00 5, 000. 00 730.00 159,458. 03 D. L. F U L L E B , Capital stock paid in. Cashier. $65, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 2,107.52 14, 600. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable 69, 750. 51 5,000.00 Liabilities other than those above stated Total . 159,458.03 First National Bank, Flora. OSMATJ PIXLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1961. $132, 742. 85 24.51 50,000. 00 R. SMITH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current | expenses and taxes paid 5,500.00 I National-banknotes outstanding. 1,443.45 I State-bank notes outstanding 10, 200. 00 6, 000. 00 Due to other national banks 2, 552. 64 1, 292. 58 Due to State banks and bankers.. 21,442. 65 Dividends unpaid 2, 227. 31 Individual deposits 1,998.00 Un ited States deposits 27.81 Deposits of U.S.disbursing officers. 7, 658. 25 5, 000. 00 Notes and bills rediscounted Bills payable 2, 250.00 250,360.05 Liabilities other than those above stated Total . $50,000.00 10, 000. 00 • 1, 622. 02 45, 000. 00 1,238. 83 130,499. 20 12, 000.00 250,360.05 REPOKT OF THE COMPTROLLER OF THE CURRENCY. 131 ILLINOIS. First National Bank, Freeport. No. 2875. O. B. BIDWELL, President A. BIDWELL, Cathier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hard I Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mprtg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $462,717.00 I Capital stock paid in . 2,729.36 | 40,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 50,403.04 State-bank notes outstanding.. 1, 500. 00 800. 00 Due to other national banks . . . Due to State banks and bankers.. $150,000.00 30, 000. 00 7,314. 97 36, 000. 00 2, 397. 58 Dividends unpaid 55,242.83 6, 080. 94 438,487.19 664,199.74 Total. Individual deposits "4,"352."66~ United States deposits 130. 07 Depositsof U.S.disbursing officers. 29, 444. 50 9, 000.00 Notes and bills rediscounted... Bills payable 1, 800. 00 Liabilities other than those above stated 664,199. 74 Total. Second National Bank, Freeport. No. 385. JACOB KROHN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand j Premiums on TJ. S. bonds Stocks, securities, etc | Batik'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total - J O H N B . TAYLOR, Cashier. $188,355.21 I Capital stock paid in . 369.46 I 25,000.00 I Surplus fund $100,000.00 40,000.00 Undivided profits, less c u r r e n t expenses a n d taxes paid National-bank notes o u t s t a n d i n g . 267.00 ! State-bank notes o u t s t a n d i n g 1,000.00 I 1, 029. 47 D u e to other national b a n k s I. 26.60 Due t o State b a n k s a n d b a n k e r s . . | 97.74 i 8,483.37 Dividends unpaid 2, 533. 22 I n d i v i d u a l deposits " i , " 065." 66" U n i t e d States deposits 42.76 Deposits of U.S.disbursingofticers.' 5, 546.10 500. 00 Notes and bills rediscounted I Bills payable ! 1,125. 00 2,809. 56 22, 500.00 886. 75 121.50 •,123.12 „ Liabilities other than those above stated Total . 235, 440.93 235, 440. 93 Galena National Bank, Galena. JOHN ROSS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3279. Surplus fund Undivided profits, less curient expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 295.29 2, 025.00 32,668.26 3, 805.63 6, 471. 29 990.43 W. FORD, Cashier. Capital stock paid in . $305,815.19 7, 589.15 25, 000.00 Due to other national banks Due to State banks and bankers. 1 Dividends u n p a i d I n d i v i d u a l deposits 1, 3S0. 00 69.00 105, 660. 70 8, 390. 00 I $100, oooToo I 50, 000. 00 13,132.14 22, 500.00 1,770.18 50.00 317,845.62 United States deposits Depositsof U.S.disbursingofticers Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 505,297.94 Total. 505,297.94 132 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Merchants' National Bank, Galena. No. 979. THOS. FOSTER, President. W. H. SNYDER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $232, 713. 57 6, 852.75 31,250.00 4,000.00 5,100.00 8,400.00 10,671. 78 6, 341. 27 9, 355.43 137. 07 2, 580. 00 70.10 40, 798. 25 20, 000. 00 1,406. 25 Capital stock paid in . $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 42, 000. 00 1, 210. 28 28,125. 00 40.00 183, 301.19 Notes and bills rediscounted . Bills payable Liabilities other than those above stated 379, 676. 47 Total. 379, 676. 47 First National Bank, Galesburg. No. 241. F. FULLER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks . Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $336, 292. 65 1, 929.25 37, 500.00 17,163.15 13, 000. 00 19, 933.18 3, 900. 01 27,481. 37 7, 053. 70 8, 840. 00 287. 55 15, 077. 95 6,050. 00 1,687. 50 JOSEPH HOOVER, Cashier. Capital stock paid in . $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 26, 226. 68 33, 750. 01) Due to other national banks Due to State banks and bankers .. Dividends unpaid 1,. 898. 44 Individual deposits United States deposits Deposits of U.S. disbursing officers. 253, 994.19 332.00 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total . 496, 201. 31 496, 201. 31 Second National Bank, Galesburg. ALBERT J. PERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 491. $225,884.11 913. 55 25, 000. 00 300. 2, 500. 12, 000. 21, 500. 00 00 00 00 18.05 25,187. 53 610.47 769." 66 39.40 9,089. 65 1, 800. 00 J.G.VIVION, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits oi'U.S.disbursing officers. $100,000.00 30,000. 00 24, 245.40 22, 500.00 262.41 348. 00 149,380. 95 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 326, 736. 76 Total. 326, 736.76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 133 ILLINOIS. Galesburg National Bank, Galesburg. No. 3138. P. F. BROWN, President. J. H. LOSBY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ S bonds to secure deuosits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . . Legal-tender notes $304, 387. 01 i, 952. 37 25, 000. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S 1,125. 00 560.00 2, 937. 50 17, 818. 04 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 23, 000. 00 888. 66 84, 634. 06 3, 250. 80 2 632.00 137.17 14, 400. 00 14.000.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. $100, 000. 00 Due to other national banks Due to State banks and bankers.. 499, 722. 61 Total Capital stock paid in Dividends unpaid 25,000.00 46, 847. 71 22, 500. 0C 175. 50 305,199.40 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 499, 722. 61 Galva First National Bank, Galva. A. DEEM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ S. Due from Treasurer TJ. S Total. V. A. WEYREN, Cashier. No. 2793. $250, 821. 84 Capital stock paid in. $50,000.00 1, 924.16 12, 500. 00 Surplus fund 10,000.00 Undivided profits, less current expenses and taxes paid 15, 339. 75 500. 00 National-bank notes outstanding. 11, 250. 00 5, 000. 00 State-bank notes outstanding 8,100.00 Due to other national banks Due to State banks and bankers. 399.10 24, 764. 95 Dividends unpaid 1, 202.02 1,100.00 81.64 13, 958. 00 2, 000. 00 562. 50 322, 914.21 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 231,324.46 5, 000.00 Liabilities other than those above stated Total . 322,914.21 First National Bank, Geneseo. S. T. HUME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owued Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. HIRAM WILSON, Cashier. No. 534. Capital stock paid in . $100, 000. 00 $245,851.69 2, 884. 95 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 45, 886. 37 22, 500. 00 19, 799.86 27, 479. 36 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 794. 00 421.69 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 50, 000.00 3,000.00 5, 000. 00 208. 70 20, 385.90 3, 000. 00 1,125.00 336,651. 29 88, 465.06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 336,651.29 134 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Farmers' National Bank, Geneseo. LEVI WATERMAN, President. No. 2332. J OHN P. STEWART, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional curreney, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $307, 017.63 1, 845. 97 40, 000. 00 2,125. 00 16, 400. 00 8, 000.00 15, 041. 86 59, 179. 63 1, 608.16 2, 518. 00 190. 50 14, 297. 95 3,000. 00 1, 800. 00 25,000.00 29,901.93 36, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 332,122. 77 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 473, 024. 70 Total. $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 473, 024.70 Total. First National Bank, Grayville. No. 4999. HARRY (TRAY, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $48,046.40 547.31 12,500.00 2, 875. 00 112, 232. 90 1, 398. 63 13, 902.02 1, 100. 73 A. E. FULLER, Cashier. $50, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 1, 803. 80 6, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid . Individual deposits i United States deposits ....'. Deposits of U.S.disbursingofticers-j. 145, 555. 79 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. Total. 203, 609. 59 Griggsville National Bank, Griggsville. BENJ. NEWMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S bonds Stocks, securities, etc j Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers.! Due from approved reserve agents. | Checks and other cash items i Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2116. $155, 468.11 8, 214. 96 12, 500.00 13, 375. 00 3, 000. 00 J. A. FARRAND, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 1,756.67 I Due to State banks and bankers.. 23,260.59 i j Dividends unpaid 190.43 i j Individual deposits j United States deposits 93.03 , Deposits of U.S.disbursing officers. 8,175. 00 5, 695. 00 $50,000. 00 10, 000. 00 24, 227. 58 11, 250. 00 3, 575.98 80.00 133,163.73 Notes and bills rediscounted. Bill s payable 562. 50 Liabilities other than those above sta ted 232,297.29 Total. 232,297.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 135 ILLINOIS. First National Bank, Harrisburg. No. 4003. M. M. GBEGG, President. F. T. JOYNBB, Cashier, Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... X . S. bonds to secure deposits T U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other realestate and raortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total $156, 728. 88 73. t?2 18,750. 00 637.50 4, 067.25 Capital stock paid in $75,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000. G O 2, 280. 84 16, 870. 00 Due to other national banks Due to State banks and bankers .. 21,733.76 1, 633. 96 Dividends unpaid Individual deposits 6,510. 66* United States deposits 12.18 Deposits ofC.S.disbursing officers. 5, 798. 95 I, 000.00 93, G'J8. 76 Notes and bills rediscounted Bills payable . . 843.50 217, 789. 60 Liabilities other than those above stated . . .. Total 217, 789. 60 Havana National Bank, Havana. No. 2242. F. Low, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reseive agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $156, 802.76 2,716 84 50, 000. 00 N. C. KING, Cashier. ! Capital stock paid in I Surplus fund Undivided profits, less current expenses a r d taxes paid 2. 000. 00 National-bank notes outstanding. State-bank notes outstanding 25, 615. 00 $50, 000. 00 2, 500. 00 3,262.92 45, 000.00 8, 200.00 I Due to other national banks 1, 499.87 20, 961. 81 3, 553.33 "3,620.00 195.50 22, 569.10 1,899. 00 299, 033.21 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of [J.S.disbursingoflicers. Notes and bills rediscounted \ Bills payable Liabilities other than those above stated Total. 911. 85 50.00 197,308.44 , 299, 033.21 First National Bank, Henry. W. T. LAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse. furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. R. JONES, Cashier. No. 1482. $168,715.18 Capital stock paid in . $50,000. 00 893. 03 15, 000. 00 Surplus fund 10, 000.00 Undivided profits, less current expenses and taxes paid 1, 471. 65 National-bank notes outstanding. 13, 500.00 12, 915. 64 State bank notes outstanding 5, 000. 00 Due to other national banks 907.47 Due to State banks and bankers. 36, 362. 86 Dividends unpaid 681.01 697.00 94.72 13, 334. 25 Individual deposits United States deposits Deposits of U.S. disbursing officers. 180, 304. 51 Notes and bills rediscounted. Bills payable 675.00 Liabilities other than those above stated 255,276.16 Total. 255,276.16 136 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Hillsboro National Bank, Hillsboro. N o . 2789. CHAS. A. RAMSEY, President. L. M. BECK, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds OD hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furiiiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $146,780.10 i! Capital stock paid in 1,001.60 | 15,000.00 I Surplus fund '! TTndivided profits, less current '! expenses and taxes paid 1, 800. 00 National bank notes outstanding. 8, 670. 00 State-bank notes outstanding 10, 791. 77 Due to other national banks 4, 745. 23 Due to State banks and bankers. 31, 933. 29 Dividends unpaid 1,143.35 Individual deposits. 300.00 1 United States deposits. Deposits of U.S.disbursing officers. 8,397. 95 1, 010. 00 Notes and bills rediscounted... Bills payable 675.00 Liabilities other than those above stated Total. 232, 287. 90 $60, 000. 00 19, 000. 00 1,444.66 13, 5 0 1 00 138, 343. 24 232, 287. 90 First National Bank, Hoopeston. JACOB S. MCFEKREN, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation IT. S. bonds to secure deposits.. IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.anfl fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. E. C. GRIFFITH, Cashier. No. 2808. $163, 020. 35 9, 877.48 12, 500.00 1,070. 25 13, 488. 45 3, 000.00 2, 463.20 9,411.39 88.51 3, 238. 00 1, 506. 07 5, 000. 00 562. 50 Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 66, 000. 00 3, 001. 77 11,250. 00 Due to other national banks Due to State banks and bankersDividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 94,974. 43 Notes and bills rediscounted Bills payable Liabilities other than those above stated 225, 226. 20 Total . 225,226. 20 First National Bank, Jacksonville. J. T. SPRINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Other real estate and mortg's owned; Due from other rational banks Due from State banks and bankers, j Due from approved reserve agents. Checks and other cash items ' Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 511. $206, 736. 99 12,107. 86 100, 000. 00 F . G. FARRELL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 9, 350. 00 National-bank notes outstanding. State-bank notes outstanding 18, 642. 00 1, 868.00 Due to other national banks Due to State banks and bankers.. 51.02 21, 513. 91 Dividends unpaid 6, 151. 35 Individual deposits 155.00 United States deposits 85.47 Deposits of U. S.disbursing officers. 10,145. 00 4, 500. 00 Notes and bills rediscounted. Bills payable $100, 000. 00 50, 000. 00 2, 911. 67 90, 000. 00 153. 67 1, 561. 28 151,179. 98 4, 500. 00 Liabilities other than those above stated 395,806.60 Total. 395,806. 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. 137 ILLINOIS. Jacksonville National Bank, Jacksonville. 0 . D. FITZSIMMONS, President. No. 1719. C. W. FITZSIMMONS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand . .. Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $505,153. 58 24, 082. 02 100, 000. 00 . 10. 000. 00 10, 000. 00 19, 500. 00 33,743.49 994.11 12, 707. 51 22, 894. 67 2, 523.97 718.00 159. 43 10,315.00 25, 000. 00 4, 500."66" Capital stock paid in 25, 000. 00 Due to other national banks Due to State banks and bankers . . 323.16 5, 396. 03 Dividends unpaid 8, 448. 72 90, 000. 00 18.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 428,105.87 25, 000. 00 Liabilities other than those above stated - 782,291. 78 Total $200, 000. 00 Surplus fund Undivided profits, less current expenses aud taxes paid National-bank notes outstanding. State-bank notes outstanding Total 782,291. 78 National Bank, Jerseyville. A. W. CROSS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits...... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes., TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . EDWARD CROSS, Cashier. No. 4952. $113, 698.89 i Capital stock paid in . $50, 000. 00 2, 965. 67 12, 500. 00 Surplus fund 500.00 Undivided profits, less current 2, 946. 81 expenses and taxes paid 987. 50 National-banknotes outstanding. 9,000. 00 12, 732. 56 State-bank notes outstanding 7,700. 00 Due to other national banks 34, 629. 62 Due to State banks and bankers . 564. 42 57, 012. 89 Dividends unpaid 1, 854. 85 Individual deposits 196,421. 64 989. 00 United States deposits 303.05 Deposits of U.S.disbursing officers. 6, 570. 00 6, 000. 00 Notes and bills rediscounted Bills payable 560. 00 Liabilities other than those above stated Total. 258,868.45 258,868. 45 First National Bank, Joliet. F . W. WOODRUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture.and fixtures Other real estate and mortg's owned Due from other national bauks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. H. WAGNER, Cashier. No. 512. $328, 237. 55 709. 43 80, 000. 00 1, 000. 00 164, 055. 01 21,000.00 ""*3," 935." 25* 174, 440. 54 4, 636. 63 18, 045. 00 685.11 99, 762. 30 3, 600. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 125,000.00 7, 307. 02 71,100.00 Due to other national banks Due to State banks and bankers . . Dividends unpaid Individual deposits United Statesdeposits Deposits of U.S.disbursing officers. 596,699.80 Notes and bills rediscounted Bills payable Liabilities other than those above stated 900,106.82 Total. 900,106.82 138 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Joliet National Bank, Joliet. No. 4520. T. A. MASON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionaleurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total ROBERT T. KELLY, Cashier. Liabilities. $310, 396.65 10, Oil. 37 25,000.00 350.66 3,000.00 3, 550. 00 10,181.48 4,260.71 2, 739.86 83, 524. 96 9, 575.55 23,143.00 260. 57 38,346. 00 10,000.00 1,125.00 535,465.15 $100,000.00 Capital stock paid in 7, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,213.32 20, 000. 0U Due to other national banks Due to State banks and bankers.. 323. 86 81.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingofficers . 402,846. 97 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 535, 465.15 "Will County National Bank, Joliet. J. A. HENRY, President. C. H . TALCOTT, Cashier. No. 1882. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionaleurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $398,714.09 687.06 50, 000. 00 5,000.00 163,330. 31 14,752. 63 13, 700.00 1,157.13 78, 770.36 6, 705.61 15. 000. 00 219. 60 54,489. 75 12,935. 00 2,250.00 817,711.54 Total. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. $200, 000. 00 60,000.00 3,944.00 45,000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S disbursingofficers. 508, 767. 54 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 817, 711. 54 First National Bank, Kankakee. AZARIAH BUCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities,'etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1793. $103, 918.22 294.33 12,500.00 26,400.00 J . FRANK LEONARD, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 50.00 43.75 j Due to State banks and bankers.. 72,649. 99 ! Dividends unpaid 163. 57 Individual deposits 230.66 United States deposits 755.50 Deposits of U.S.disbursingofficers. 14,286.10 8,110. 00 Notes and bills rediscounted 562.50 239,963.96 Bills payable Liabilities other than those above stated Total. $50, 000.00 1,919. 27 11, 250. 00 1,597.79 175,196. 90 239,963.96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 139 ILLINOIS, City National Bank, Kankakee. No. 4342. SOLON KNIGHT, President. H.M. STONB, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand — Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned; Due from other national banks | Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks... Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $262,341.50 1,021.20 25, 000. 00 2, 500. 00 29,081. 33 16,886. 82 584.32 30, 377.49 325. 32 835. 00 273. 71 25,139. 75 7, 360. 00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 11,000.00 3, 328. 62 22, 500. 00 Due to other national banks Due to State banks and bankers.. i 26, 066. 92 Dividends unpaid. 239, 955. 90 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable : 1,125. 00 Liabilities other than those above stated 402, 851. 44 Total. 402, 851.44 First National Bank, Kansas. W. C. PINNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc i Bank'ghouse,furniture,andfixturesi Other real estate and mortg's owned! Due from other national banks 1 Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. H. PINNELL, Cashier. No. 2011. $50, 000. 00 $140, 006.68 Capital stock paid in . * 5,426. 69 10, 000. 00 50,000. 00 | Surplus fund Undivided profits, less current 5,000.00 14, 714. 54 expenses and taxes paid 750.00 National-bank notes outstanding. 44, 620. 00 4, 334. 32 State-bank notes outstanding..... 500. 00 : [ . |j Due to other national b a n k s i i Due to State banks and b a n k e r s . . i }J i I Dividends unpaid | I 1 Individual deposits 1 j 1, 370. 00 j I United States deposits 81.13 j Depoaitsof U.S.disbursingofiicei s { 6, 680. 00 2, 000. 00 Notes and bills rediscounted. 122. 83 1.489.21 9.873.22 67.10 4, 543. 87 1, 622. 98 103,249.79 Bills payable 1, 050. 00 Liabilities other than those above j stated ' 228,751.18 Total. 228, 751.18 First National Bank, Kewanee. J A S . K. BLISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. B. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. C. MAGE, Cashier. No. 1785. $194,244.63 894. 31 25, 000. 00 2, 500.00 58, 394.79 15, 838.87 20,186.81 511.15 150. 00 17, 655.05 2, 009.79 500.00 283.55 14.539.40 2, 500.00 1,125.00 356,333.35 Capital stock paid in | $100,000.00 Surplus fund Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.] State-bank notes outstanding ] 35,000.00 25,123. 37 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofncers. 173, 709.98 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1 Total. 356,333.35 140 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Kewanee National Bank, Kewanee. GEO. A.. ANTHONY, President. No. 4854. K. E. TAYLOR, Cashier. Kesources. LoaHg and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'ghouse, furniture, and fixtures Other real estate and ruortg's owned Due from other national banks Due from State banks and bankers.! Due from approved reserve agents.| Checks and other cash items i Exchanges for clearing house ' Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. Liabilities. $78,896.60 88.62 25, 000.00 3, 000.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 579. 55 22,500. 00 1.6,173. 38 4,294. 23 91.84 5,000.00 87.48 4,142.55 2, 500. 00 1,125.00 140, 399. 70 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 62, 320.15 Notes and bills rediscounted. Bills payable.... Liabilities other than those above stated , Total . 140,399.70 Union National Bank, Kewanee. T. P . PIERCE, President. Loans and discounts .' Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2501. Capital stock paid in $243, 744.18 1, 451. 82 30, 000. 00 2,500. 00 5,000. 00 2, 000. 00 9, 919. 60 1, 746.11 239.00 49, 515. 03 3, 808. 26 840.66 156. 60 9,382.00 1, 500.00 1, 350. 00 363,153. 20 H. L. KELLOGG, Cashier. $75, 000.00 Surplun fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35, 000. 00 16, 614.42 27, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 296. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 209, 242. 78 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 363,153. 20 First National Bank, Kirkwood. HBNBY TUBBS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total No. 2313. Capital stock paid in $249,141. 69 4, 350. 64 12, 500. 00 2, 666. 66 1, 200. 00 5, 000. 00 880.28 2, 902.50 48.50 240. 00 175. 62 8,100.00 2,000. 00 W . C. TUBBS, Cashier. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 37, 343.70 11, 250.00 Due to other national banks Due to State banks and bankers.. 117.00 269. 74 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 50, 000.00 230.00 126,891.29 13, 000.00 562. 50 Liabilites other than those above stated . 289,101.73 Total 289,101.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 141 ILLINOIS. Farmers' National Bank, Knoxville. No. 3287. F . G-. SANBUEN, President. J . Z. CARNS, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other, national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $155, 503.45 2,235. 81 15, 000.00 17,500.00 5,800. 00 9, 235.12 948.95 32,539.61 380.17 Capital stock paid in . 12, 000. 00 8, 69i. 09 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1, 000. 00 United States deposits 322. 50 Deposits of U.S. disbursing officers. 22, 095. 00 1, 000. 00 Notes and bills rediscounted Bills payable 675.66 Liabilities other than those above stated 264, 235. 61 Total. $60,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outs landing . State-bank notes outstanding.. Total. 170,041.52 264,235. 61 First National Bank, Lacon. No. 347. J . S. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.au d fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other n»tionall>anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $122,728. 52 966.81 15,000.00 34,000.00 4, 000. 00 ""3*825.88 20, 961.43 115. 50 490.00 131.48 7, 831. 50 3, 000. 00 675. 00 W. H. FORD, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 23, 000. 00 1,918.24 13,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 125, 307.: Notes and bills rediscounted. j Bills payable Liabilities other than those above stated 213, 726.12 Total. 213,726.12 First National Bank, Lanark. DAVID C. BUSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. L.FRANCK, Cashier. No. 1755. $92,089. 04 Capital stock paid in . $50, 000. 00 745.17 50, 000. 00 Surplus fund 10, 000. 00 Undivided profits, less current expenses and taxes paid 5, 481. 74 2, 500. 00 National-bank notes outstanding. 45, 000. 00 15, 990. 00 State-bank notes outstanding 8, 500. 00 Due to other national banks Due to State banks and bankers . 15, 975. 06 Dividends unpaid 118. 99 Individual deposits 91,109. 33 1, 345. 00 United States deposits 101. 26 Deposits of U.S.disbursing officers. 8,976. 55 3,000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 201, 591. 07 Total. 201,591.07 142 BEPOBT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. La Salle National Bank, La Salle. K. O'BRIEN, President. No. 2503. W. B. HUMMER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits \ U. S. bonds on hand ! Premiums on U. S. bonds I Stocks, securities, etc I Bank'ghouse. furniture, and fixtures! Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ! Bills of other national banks j Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $210,876.42 12, 998.12 25,000.00 2,000.00 43, 225. 00 15,009. 02 11,421.93 3,040. 56 33, 281.44 553.30 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers.. 1,881.55 Dividends unpaid 30.00 I Individual deposits 865.00 I United States deposits 178. 62 Deposits of U.S.disbursingonicers. 13, 899. 50 16, 000. 00 1,125. 00 4, 009.11 22, 5U0. 00 241,053. 25 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 389,473.91 389,473.91 Lewistown National Bank, Lewistown. L. "W. Eoss, President. No. 4941. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.) Specie j Legal-tender notes | U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S $104,329.10 78(3. 28 12, 500.00 I, 500. 00 "i'ies.'bo" $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,169. 00 202.15 11,250.00 Due to other national banks Due to State banks and b a n k e r s . . 2, 790. 61 212. 94 Dividends unpaid Individual deposits United States deposits — 70.80 I Deposits of U.S.disbursingonicers. 53, 216.44 5,908.75 ; Notes and bills rediscounted. Bills payable 13,000. 00 Liabilities other than those above 129,885.98 Total. W.H.RHODES, Cashier. Capital stock paid in. stated Total . 129,885. 98 First National Bank, Lincoln. FRANK FRORER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits TL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national barks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. FRANK R O B L I T , Cashier. No. 2126. $332,284.40 I 5,476.19 ! 25,000.00 ! Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 29,800.00 State-bank notes outstanding 2, 500. 00 Due to other national banks 803. 02 Due to State banks and bankers.. 19.05 17,294. 79 I Dividends unpaid 2,833. 53 !; Individual deposits 258. 00 1 United States deposits 59.35 : I Deposits of U.S.disbursingofficers 16,653. 50 12, 000. 00 I i Notes and bills rediscounted Bills payable 1,125. 00 $100, 000. 00 20, 000.00 22,662.03 22, 500. 00 10,123.35 1, 253. 71 290.00 261,777.74 10, 000.00 Liabilities other than those above stated , 448, 606. 83 Total . 448,606.83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 143 ILLINOIS. German-American National Bank, Lincoln. F B . C. W. KOEHNLE, President. No. 3613. L. C. SCHWERDTFEGER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghous^furniture^nd fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XJ. S Capital stock paid in . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,250. 00 National-bank notes outstanding. State-bank notes outstanding 10,000.00 $157, 775.81 2, 504. 60 12, 500.00 14,566-66" Due to other national banks Due to State banks and bankers. 13, 673. 88 Dividends unpaid 306. 59 Individual deposits 335.66 United States deposits 144.79 Deposits of U.S.disbursing officers. 7, 978. 40 1,180. 00 Notes and bills rediscounted Bills payable *" "562.50 Liabilities other than those above stated , 269.56 Total. 212,981.13 Total. 511.25 11,250.00 126, 219. 88 15, 000.00 212,981.13 Lincoln National Bank, Lincoln. S. A. FOLEY, President. P. E. KUHL, Cashier. N o . 3369. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional eurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total - $252,097.31 3,202.97 15, 000.00 1,459. 37 14, 740.24 2, 003. 50 :!9. 57 38, 935. 66 2, 528.37 "1*474.66 112. 07 17, 466.05 6, 000. 00 675.00 Capital stock paid in . $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 30,000.00 7,143. 04 13,500.00 1, 412. 48 1,256. 65 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 355, 734.11 232,421.94 10,000.00 355, 734.11 First National Bank, Litchfield. S. M. GRUBBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E L I MILLER, Cashier. N o . 3962, $173, 774.49 379. 81 25,000.00 24, 500. 00 16, 500. 00 74.01 6, 667. 38 22, 843. 58 931. 41 ""2,473.66 137. 08 20,242. 25 3,500. 00 " i , 125. 66 298,148.01 Capital stock paid in . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 918.13 22, 500. 00 Due to other national banks Due to State banks and bankers.. 483.47 7, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 166, 746.41 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 298,148.01 144 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Union National Bank, Macomb. No. 1872. ALBERT EADS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. B. F. MCLEAN, Cashier. Liabilities. $274, 412.03 3, 597. 71 50, 000. 00 58, 656. 00 3, 500. 00 3, 500. 00 198. 51 26, 502. 65 4, 57G. 15 596. 00 220.35 37, 525. 00 12, 000. 00 2, 250. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. $100, 000. 00 20, 000. 00 13, 440. 51 45, 000. 00 299, 093. 89 Notes and bills rediscounted Bills payable Liabilities other than those above stated , 477,534.40 Total . 477, 534. 40 First National Bank, Marengo. No. 1870. R. M. PATRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $103, 487. 89 2, 705.19 12, 500. 00 128, 334.13 1, 250. 00 8,657. 23 252. 60 395.00 20. 84 10, 398. 00 4, 504. 00 562.50 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 35, 000.00 3, 369. 51 11,250. 00 175. 00 173, 272. 87 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 273, 067. 38 Total. E. D. PATRICK, Cashier. Capital stock paid in. Total. 273, 067. 38 First National Bank, Marion. SHANNON HOLLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4502. $91, 376. 09 830.18 12, 500. 00 J . C. MITCHELL. Cashier. Capital stock paid in. Surplus fund Undivided profits, less current .! expenses and taxes paid 1,302.50 ! National-bank notes outstanding. 1, 054. 32 I State-bank notes outstanding 600.00 i 5, 616.00 I Due to other national banks 966.56 i Due to State banks and bankers.. 11,363.27 ii Dividends unpaid... 701.55 j! ! i Individual deposits. 1,000.00 i! United States deposits. 22.37 ! ~ '" " Deposits ofU.S.disbursingofficers. 4, 870. 00 6, 800. 00 Notes and bills rediscounted !; Bills payable 562.50 |i 310.00 j. Liabilities other than those above stated 139,875.34 Total. $50,000.00 1,500.00 1,133. 86 11, 250.00 280. 00 75,711.48 139,875.34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 145 ILLINOIS. First National Bank, Marseilles. No. 1852. W. A.MOEEY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securitievS, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $113,950.16 582. 76 12,500. 00 1,375.00 4, 800. 00 1,900.00 36,428. 99 732. 00 2, 000. 00 42.79 9,426. 00 3,364. 00 562.50 187,664.20 Total. F. T. NEFF, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. $50,000.00 10,000. 00 1, 894.19 11,250.00 187.00 114,333.01 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 187,664.20 Dulaney National Bank, Marshall. No. 4759. R. L. DULANEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation albanks oth ation Fractional currency,nickels, cents. l Specie Legal-tender notes U. S. certificates of depositRedemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 571. 88 National-bank notes outstanding. State-bank notes outstanding 750. 00 5, 700, 00 Due to other national banks Due to State banks and bankers.. 1, 387. 28 15, 580.45 Dividends unpaid $50, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 122, 290.81 851.42 1,240. 00 126. 45 5, 756. 60 4, 500. 00 562. 50 195,831.02 Total. HARRY B. DULANBY, Cashier. $145,759.73 544. 71 12, 500. 00 10,000.00 2, 290. 21 11, 250.00 195, 831.02 First National Bank, Mason City. J. H. MATHERS, President. No. 1850. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CTJR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis 10 $79, 903.85 12,188.84 50,000.00 OTHO S.KING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 5, 594. 63 State-bank notes outstanding $50, 000. 00 5,000.00 872.46 45,000.00 7, 034.50 Due to other national banks Due to State banks and bankers. 5, 651.93 Dividends unpaid 102. 85 Individual deposits United States deposits 11.53 Deposits of U.S.disbursing officers. 8,721.25 460.93 9,460.05 1,255.00 Notes and bills rediscounted Bills payable 1,950. 00 Liabilities other than those above stated 182,335.36 Total. 919.33 295.00 65,248.57 5, 000.00 10,000.00 182,335.36 146 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Mattoon. No. 1024. LEWIS L. LEHMAN, President. H . P . M C N A I R , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furnitiare,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Liabilities. Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 40, 400. 00 State-bank notes outstanding 11,520.00 1,303. 21 Due to other national banks 9,413.61 Due to State banks and bankers.. 100, 000.00 $338,602. 63 8,122.27 12,500. 00 2, 251. 47 16, 610. 27 6,151. 54 5,023. 69 2,835. 79 1, 025. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 5, 412. 00 140. 77 15,430.75 1 6,000.00 i Notes and bills rediscounted i 562. 50 474, 421.02 Total Dividends unpaid 20,982. 36 11,250.00 Liabilities other than those above stated Total 283, 304.18 474, 421.02 Mattoon National Bank, Mattoon. C. E . WILSON, President. THOMAS W. GAW, Cashier. No. 2147. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $221,421.96 3,430. 50 15, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 920. 00 National-bank notes outstanding. 4,040. 81 State-bank notes outstanding 12, 200. 00 5, 500. 00 Due to other national banks 4,949.18 949. 94 Due to State banks and bankers.. 6, 591. 51 Dividends unpaid 2, 300. 21 $60, 000. 00 12, 000. 00 38, 012. 80 13, 500. 00 742. 90 2, 845. 78 Individual deposits 175, 987. 63 Bills payable Liabilities other than those above stated 303, 089.11 Total. 303, 089.11 4, 000. 00 United States deposits 110. 00 DepositsofU.S.disbursingofiicers. 14, 000. 00 6, 000. 00 Notes and bills rediscounted. 675.00 First National Bank, Mendota. E. A. BOWEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,f urniture,and fixtures'! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. FULTON GIFFORD, Cashier. No. 1177. $296, 111. 45 Capital stock paid in. $100, 000. 00 184. 53 25, 000. 00 Surplus fund 25,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 8, 000. 00 State-bank notes outstanding 4, 085.32 22,500.00 13, 081.00 26, 227. 77 136.95 64, 651. 98 6, 610. 00 265. 00 35, 703. 97 10, 613.00 1,125.00 487,710. 65 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 336,125. 33 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 487, 710. 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 147 ILLINOIS. First National Bank, Metropolis. E. W. MCCARTNEY, President. No. 3156. W. H. ARMSTRONG, Cashier. Resources. Loans and discounts Overdrafts TJ. IS. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otber real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $162,156.26 1,192.62 12,500. 00 30, 800. 00 1, 917. 20 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o atstanding Due to other national banks Due to State banks and bankers. 7, 240. 33 Dividends unpaid 41.67 Individual deposits 250. 00 United States deposits 63.05 Depositsof U.S.disbursing officers. 6,120.15 2, 000. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated Total. 224, 849.78 Total. $50, 000.00 46,000. 00 4,023. 50 11, 250. 00 102, 576.28 11,000. 00 224,849.78 First National Bank, Moline. JOHN S. GILLMORE, Cashier. No. 160. J. M. GOULD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $279, 379.13 3, 743.16 37, 500. 00 Capital stock paid in . 30, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4,158.13 71, 573. 26 Individual deposits United States deposits Depositsof U.S.disbursing officers- 128, 244. 57 3, 674. 68 33, 210.00 2, 300. 00 1, 385. 54 732.13 60, 697.99 2, 621.35 2, 363.00 582.84 22, 475.00 5, 403. 00 1, 687. 50 10.00 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated . Total. 420, 870. 64 Total. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid Natioral-bank notes outstanding. State-bank notes outstanding 420,870.64 Moline National Bank, Moline. H. A. AINSWORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds {Stocks, securities, etc Bank'ghouse, furniture,andfixtures Other real estate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bill a of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1941. $186,703.63 3,700.44 25, 000.00 C. F. HEMENWAY, , Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14, 212. 00 Due to other national banks " """447."58" Due to State banks and bankers.. 1, 216. 58 Dividends unpaid 4, 251. 84 Individual deposits 444. 00 United States deposits 116.64 Depositsof U.S.disbursingofficers. 16, 656.48 1, 520. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 255, 394.19 Total. $100,000.00 20, 000.00 2, 791.72 22, 500. 00 1, 370.36 1,245.34 107,480. 77 255,394.19 148 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLI NOIS. Second National Bank, Monmouth. FEED. E. HARDING, President. No. 2205. F. W. HABDING, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks D*e from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ,. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S $311,658.49 9, 247.94 20, 000.00 31,406.41 21,000.00 11, 931.18 3, 368. 01 6, 726. 81 38, 764.11 2, 482.85 5, 502. 00 81.58 44, 628.00 3, 000.00 900.00 Capital stock paid in . 20, 000.00 89,907. 01 18, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 202. 37 10, 515. 09 Individual deposits United States deposits DepositsofU.S.disbursing officers. 296, 204.91 868.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 510,697.38 Total. $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 510, 697.38 National Bank, Monmouth. No. 4400. HENRY TUBBS, President. Loan s and discounts Overdrafts U. S.bonds to secure circulation-.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalT>anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $343, 476. 59 7, 790.38 25, 000. 00 40, 745.32 31,713.96 4,430.87 586.92 6,200.74 4,063. 91 1,413.00 305. 51 42, 420. 75 1, 310.00 1,125. 00 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 610. 43 Individual deposits United States deposits Depositsof U.S.disbursing officers. 195, 730.26 91,742.26 22, 500.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 510, 582.95 Total. W M . B . YOUNG, Cashier. Capital stock paid in . 510,582.95 People's National Bank, Monmouth. W. S. WEIR, President. Loans and discounts Overdrafts -.U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Banklg house, furniture,and fixtures Othe/real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4313. $175, 867. 69 3,036. 20 18,750.00 2, 200. 00 429.18 22,500.00 1,505. 79 174.11 35, 035.21 3,431.27 1,420.00 52.66 26,820,00 2,000.00 843.75 294,065.86 H. B. SMITH, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75,000. 00 20,000.00 4,545. 08 16, 875. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers. 177, 645.78 Notes and bills rediscounted. Bills payable , Liabilities other than those above stated Total. 294,065.86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 149 ILLINOIS. First National Bank, Monticello. No. 4826. WM. NOECKEB, President. O. W. MOORE, Cashier. Besources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Otberreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie L^gal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ S. Due from Treasurer U. S Total. $176,505.18 4, 219. 63 25, 000.00 2, 250.00 2,985.50 8, 300.00 1, 811. 58 15, 235.78 38, 645. 21 768. 35 670. 00 87.49 18,372.12 3, 360.00 1,125.00 Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,000. 00 3, 365. 59 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 259. 34 10,591.09 Individual deposits United States deposits Deposits of U.S.disbursin g officers. 157, 619. 82 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 299,335.84 299, 335.84 First National Bank, Morris. No. 1773. JOHN CUNNEA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $194, 791.03 7, 903.19 12, 500.00 200. 00 7, 700. 00 713. 00 40, 771. 57 1, 034. 00 2, 887. 00 140. 81 17, 620. 00 1, 000. 00 562.50 G-. A . CUNNEA, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000.00 23, 751.00 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 127,822.10 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 287, 823.10 287,823.10 Grundy County National Bank, Morris. JERRY COLLINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtu res Other real estate and mortg's owned Due from other national banks . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 531. $249, 725. 90 457.15 20, 000.00 54,400.00 7, 500.00 286.18 115,707.80 553.50 J. C. CARR, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 7, 768. 66 18, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 3, 335.00 79.34 35, 015. 00 1, 000. 00 Notes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above stated 488,959.87 $75,000. 00 Total. 363.191. 21 488,959.87 150 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Morrison. No. 1033. E. A. SMITH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premium* on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures. Other real estate and mortg's owned? Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $248, 678. 06 "" "25*000." ()b" 15, 928. 57 8,400.00 18,723.66 1, 232.97 11, 887. 27 2, 246.36 245.00 367. 75 25,133.00 20,000. 00 1,125. 00 378,967. 64 Total. A. J. JACKSON, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 6, 501. 73 22, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 189, 965. 91 378, 967.64 First National Bank, Mount Carmel. J. R. PARKINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing housi Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4480. $120, 073. 70 241. 65 12, 500. 00 1, 500. 00 1,731.71 12,000. 00 24. 31 5,130. 98 121. 28 640. 00 34.35 9, 095. 90 5, 500. 00 562. 50 H. T. GODDAKD, Cashier, Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState bank notes outstanding 6, 000.00 3, 060.98 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends uupaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 98, 845.40 IsTotes and bills rediscounted Bills payable Liabilities other than those above stated Total. 169,156.38 169,156. 38 First National Bank, Mount Carroll. JOHN KRIDLER, President. Loans and discounts Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 409. $187, 340. 84 2, 438.46 100,000. 00 O. P. MILES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses* and taxes paid National-bank notes outstanding. 28, 500. 00 State-bank notes outstanding $100, 000.00 45, 000. 00 6, 799.21 90, 000. 00 7, 000. 00 9,422. 98 29, 270.47 397.19 "*i,"745.*6o' 162. 57 9, 655. 25 5,131.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 143, 764. 55 4, 500. 00 Liabilities other than those above stated 385,563. 76 Total. 385,563.76 151 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Mount Pulaski. J O H N L I N C O L N , President. N o . 3839. C. W . L I N C O L N , Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits X S bonds on band T .... Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total Cashier. Liabilities. Resources. $172, 082. 07 2, 964. 59 12,500. 00 2, 000.00 4, 400. 00 1, 625. 50 554.73 4, 206. 02 93.85 703. 00 3.64 3, 545. 00 1, 500. 00 562. 50 206,740. 90 Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 Due to other national banks Due to State banks and bankers.. 399.19 2,500. 00 2,141. 53 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officersNotes and bills rediscounted Bills payable Liabilities other than those above stated Total 90,450.18 25,000. 00 2C6, 740.90 First National Bank, Mount Sterling. No. 2402. F . D. CRANE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S- bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures' Other real estate and niortg's owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $140,056.99 13,151.32 12, 500. 00 3,200.00 5. 000. 00 1, 192.43 28, 418.74 20, 693. 29 33,416. 65 124.11 C. H. TURNER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 73.00 United States deposits 227.03 Depositsof U.S.disbursingofficers. 6, 840. 55 7,900.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 279, 356. 61 Total. $50,000.00 25, 000.00 8, 241. 25 11,250. 00 184, 865.36 279. 356. 61 First National Bank, Murphysboro. WILLIAM K. MURPHY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4019. $100, 214. 42 1, 575.13 12, 500. 00 300.00 19, 973. 86 6, 900. 00 18, 415. 97 835. 32 300. 00 11.72 7, 878.30 3, 500. 00 562. 50 172,967.22 WILLARD WALL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursin g officers. $50, 000.00 6, 000. 00 2,481.50 11, 250.00 1,182. 91 92,052.81 Notes and bills rediscounted. Bills payable 10, COO. 00 Liabilities other than those above stated Total. 172,967.22 152 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. City National Bank, Murphysboro. J. VAN CLOOSTEEK, President. No. 4804. JOHN G HARDY, Cashier. L Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits XJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes 13. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Liabilities. $107, 512.11 402. 07 12, 500. 00 22, 228.19 7,000.00 721. 31 10.76 15, 429. 41 1, 951. 37 1, 615.00 21.33 8, 730. 90 7,145. 00 562.50 185, 829. 95 Total. $50, 000. 00 Capital stock paid in. Surp Surplus fund . Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,800. 00 1, 980. 89 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 119, 799. 0G Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 185,829.95 First National Bank, Naperville. No. 4551. T. P. PHILLIPS, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... X) S bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, turniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from approved reserve agents. Due from State banks and bankers. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes L S certificates of deposit J Redemption fund with Treas. U. S. Due from Treasurer U S Total $106, 625. 93 201.22 12, 500.00 FRANCIS GRANGER, Cashier. Capital stock paid in $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 950. 00 National-bank notes outstanding . 6, 500. 00 State-bank notes outstanding 7, 869.95 Due to other national banks Due to State banks and bankers . . 13, 861. 46 241.18 ] 2,000.00 1 252 02 11,250. 00 75.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 86, 209.15 540 00 86.88 8 287 05 2, 560. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above 160, 786.17 stated Total 160, 786.17 Nokomis National Bank, Nokomis. GEO. SIPPELL, Presu Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1934. $140, 343. 26 163. 31 50, 000.00 17, 800. 00 6, 500. 00 306.68 21, 317. 51 507.00 1, 775. 00 324.23 8,701.70 3, 715. 00 2, 250. 00 A. J. WILLIFORD, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $65, 000.00 18,500. 00 2, 068.91 45, 000.00 301.06 90.00 122,743. 72 Notes and bills rediscounted Bills payable Liabilities other than those above 253,703. 69 stated Total 253, 703. 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 153 First National Bank, Normal. No. 4930. J . W. ALDEICH, President. M. H . HAMILTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on band Premiums on TJ. S. bonds Stock, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.TJ. SDue from Treasurer TJ. S $70, 858. 60 159. 03 12, 500. 00 1, 375. 00 12, 000. 00 6, 026. 67 921.59 249. 91 21.00 2,103.00 15.47 3,073. 05 562.50 109,865.82 Total. Capital stock paid in . Surplus fund "Undivided profits, less current expenses and taxes paid . National-bank notes outstanding. State-bank notes outstanding 0, 000. 00 3, 509. 30 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 840.14 Individual deposits United States deposits Depositsof U.S.disbursing officers. 44, 266. 38 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 109,865. 82 Oakland National Bank, Oakland. No. 2212. L. S. CASH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $124, 786. 50 444. 20 13, 250. 00 $53, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 Individual deposits 1, 000. 00 United States deposits 124. 50 Deposits of U.S. disbursing officers. 20, 842. 40 3, 500. 00 Notes and bills rediscounted Bills payable 596. 25 Liabilities other than those above 107, 437. 21 11, 754. 80 11, 925.00 6, 650. 00 1, 285. 94 Due to other national banks 9, 296. 68 Due to State banks and bankers. 984. 71 31,355.83 Dividends unpaid 214,117.01 Total. JOHN RUTHERFOED, Cashier. Capital stock paid in. stated Total. 214,117. 01 First National Bank, Olney. ADEN KNOPH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ban ks Fractional currency, nickels, cents. Specie i Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1641. R. N . STOTLER, Cashier. $159, 492. 69 Capital stock paid in. $50,000.00 2, 671. 64 50, 000.00 Surplus fund 18,400. 00 Undivided profits, less current expenses and taxes paid 1,265.46 National-bank notes outstanding. 44, 650. 00 State-bank notes outstanding 15, 382. 90 3, 612. 82 Due to other national banks 1,491.18 Due to State banks and bankers.. 20, 836. 76 Dividends unpaid 794. 00 Individual deposits 1, 846. 00 Uni ted States deposits 115.18 Deposits of U. S. disbursin g officers. 1,105. 90 6, 750. 00 Notes and bills rediscounted Bills payable 1, 230.00 139, 824.54 16,000. 00 Liabilities other than those above stated 270, 934. 00 Total. 270,934.00 154 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS, First National Bank, Oregon. ISAAC RICE, President. No. 1969. CHARLES SCHNEIDEB, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand,. Premiums on U. S. bonds Stocks, securities, etc Bank' g ho u se,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $132,819. 94 G9.98 25,000.00 Capital stock paid in . 10,000.00 1, 959. 72 22,500. 00 11, 350. 00 Due to other national banks Due to State banks and bankers. 13, 553. 35" Dividends unpaid 454.88 Individual deposits 1, 282. 00 United States deposits 103. 09 Deposits of U .S.disbursing officers. 7, 066. 40 9, 000.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated ""'381*35' 202, 205.99 Total. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 196.00 117,550.27 202,205.99 Total. First National Bank, Ottawa. No. 1154. LORENZO LELAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,f urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $310,144.61 636. 66 25, 000. 00 2, 500. 61, 600. 12. 000. 10, 000. 00 00 00 00 48, 438. 78 4, 053. 60 4, 313.00 185.11 39, 378. 50 8, 000. 00 1,125. 00 J . F. NASH, Cashier. Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Dae to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 75, 000. 00 19, 396. 24 22, 200. 00 240. 00 310, 539.02 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 527, 375. 26 Total. 527, 375. 26 National City Bank, Ottawa. THOMAS D. CATLIN, President^ No. 1465. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits... $660, 867. 83 5, 358. 53 25, 000. 00 Stocks, securities, etc Bank'g house.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S 14,417.74 8,000. 00 40, 837. 70 1, 449. 60 TJ. S. bonds on hand Premiums on U. S. bonds Total. 98, 860.24 4, 605. 50 2,082. 00 573. 85 39, 445.15 18, 590.00 E. C. ALLEN, J R . , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. $100, 000. 00 125,000. 00 43, 645.16 22, 500. 00 315.04 19,752.94 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 921,213.14 Total. 921,213.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 155 ILLINOIS. First National Bank, Pana. W. J. JORDAN, President. N o . 4038. THOS. J . YIDLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds on hand T Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $87,154. 84 4, 062. 97 12, 500. 00 Capital stock paid in 141,173. 29 Total $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 12, 844.10 State-bank notes outstanding...... 2,500. 00 Due to other national banks 4, 918.50 Due to State banks and bankers.. 1.88 3, 206.00 Dividends unpaid 180. 23 Individual deposits 880. 00 United States deposits 243.12 Deposits of U.S.disbursing officers. 3, 619.15 7,000.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated Total 2,400.00 4,084. 25 11, 250. 00 158.74 30.00 73, 250.30 141,173.29 First National Bank, Paris. N o . 3376. A. J . BABER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $595, 557. 76 12, 310.42 52, 000. 00 5, 200. 00 24, 222.77 10, 000.00 59,998. 22 11,176. 86 97, 961. 72 5, 602. 31 2,547.00 155. 66 43, 961. 00 8, 000. 00 2, 340. 00 R. Gr. SUTHERLAND, Cashier. Capital stock paid m. $108,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 75, 000.00 30,140.18 46,800. 00 6, 045.79 665,047. 75 Notes and bills rediscounted Bills paj^abl© Liabilities other than those above stated 931, 033. 72 Total. 931,033. 72 Edgar County National Bank, Paris. J . E. PARRISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures OtheT real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2100. $438, 977. 72 14, 940. 30 25, 000. 00 1,000. 00 *37,*734."59' 10, 000. 00 10,800. 00 21, 305. 35 291. 04 58, 035. 41 7, 296. 58 8, 748. 527. 30, 696. 6, 000. 00 67 05 00 R. H. KILE, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75,000.00 Due to other national banks Due to State banks and bankers.. 1, 243.93 2, 894.33 12, 623. 30 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbnrsing officers. 458, 216.15 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated , 672,477.71 Total. 672,477.71 156 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Paxton. No. 2926. J. B. SHAW, President. A. S. BUSHNBLL, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $162, 079. 39 3,164.19 12, 500. 00 24, 000.00 8,000. 00 8, 729. 66 422. 00 44.94 2, 646.10 4, 400.00 562. 50 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 3,021.05 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers: 152, 277.73 Notes and bills rediscounted. Bills payable. Liabilities other than those above stated 226, 548. 78 Total. 226, 548. 78 Farmers' National Bank, Pekin. F. E. RUPERT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer U. S C. H. TURNER, Cashier. No. 2287. $299, 782. 94 Capital stock paid in. $100,000.00 892. 26 25, 000. 00 Surp] us fund 25, 000.00 Undivided profits, less current 16,046.36 expenses and taxes paid National-bank notes outstanding. 22, 500.00 20,000. 00 State-bank notes outstanding 2, 000. 00 1.981.6L 1, 022. 34 29, 029. 30 1,811.66 5, 561. 00 107.66 15, 723.00 4, 000. 00 1,125. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursin » officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 408, 036. 77 Total. 244,490.41 Total. 408,036.77 German-American National Bank, Pekin. E. W. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits TJ S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ban k s Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3770. $151, 994.18 7, 519.17 25,000. 00 1, 000. 00 200. 00 4, 500. 00 2, 714. 39 1,984. 55 7,381.75 2,132. 86 6, 832. 00 108.93 15,470. 25 5, 000.00 1,125. 00 A. H. PURDIE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. $100,000.00 9, 500.00 5, 979. 29 22, 500.00 1, 812. 24 33.00 93,108. 55 Notes and bills rediscounted Bills pay able Liabilities other than those above stated 232,963.08 Total 232,963.08 BEPORT OF THE COMPTROLLER OF THE CURRENCY. 157 ILLINOIS. First National Bank, Peoria. No. 176. JOHN C. PEOCTOE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. "U.S. Due from Treasurer U. S Total. WILLIAM E. STONE, Cashier. Liabilities. $823,988.22 I Capital stock paid in . 37,804.00 ! 50,000.00 j Surplus fund $150, 000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 127, 002. 00 State-bank notes outstanding 300, 000.00 17,046.11 44, 700.00 69,106.68 Due to other national banks 32, 886. 35 23, 316. 30 Due to State banks and bankers.. 48,722. 80 Dividends unpaid 23, 952. 68 4,122. 30 Individual deposits United States deposits Deposits of U.S.disbursingofncers. Notes and bills rediscounted. Bills payable 788,169. 36 20,106.00 14, 510. 00 75.21 32,123. 80 47, 000. 00 2, 250. 00 Liabilities other than those above stated 1, 328, 891.36 Total. 900. 91 1, 328, 891.36 Central National Bank, Peoria. HEEVEY LIGHTNEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specitt Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3214. $522,907. 21 9, 480. 77 50, 000. 00 5, 000. 00 10, 500. 00 7,199.16 16,007.58 2, 709. 37 68, 846. 47 68.65 13, 231. 50 2,080. 00 52.49 20, 739. 75 2, 021. 00 2, 250. 00 733,093.95 Total. B. F . BLOSSOM, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 Due to otber national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 16, 402. 50 43, 357. 73 40,000.00 6, 693.72 45, 000. 00 345. 00 381,295.00 733,093.95 Commercial National Bank, Peoria. WALTEE BAEKEE, President. Loan 8 and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fumiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, niekels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Total. No. 3296. H. B. Dox, Cashier. $200,000.00 Capital stock paid in . Surplus fund 45,000.00 Undivided profits, less current expenses and taxes paid 17,207. 71 21, 000. 00 National-banknotes outstanding. 45, 000. 00 State-bank notes outstanding 18, 500. 66 Due to other national banks 32, 805. 93 7, 676.26 Due to State banks and bankers.. 6, 345.58 1, 763.04 133, 358.87 Dividends unpaid 159.00 306.75 9,932. 90 Individual deposits 452,884.14 4,456. 00 United States deposits 115, 675.00 1,165.01 Deposits of U.S.disbursingofiicers ao, 925.15 5, 000. 00 Notes and bills rediscounted. Bills payable $483, 041.18 20, 702. 20 50, 000. 00 125,000. 00 2, 250. 00 915, 077.36 Liabilities other than those above stated Total. 915,077.36 158 REPORT OF THE COMPTROLLER OF THE CURRENCY. t ILLINOIS. German-American National Bank, Feoria. B. CREMER, President. N o . 3070. WESTON ARNOLD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $827, 672. 68 25,316.61 50, 000. 00 150, 000. 00 Capital stock paid in. $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 22, 000. 00 National-bank notes outstanding. 400. 00 State-bank notes outstanding 2, 500. 00 Due to other national banks 11, 737.10 Due to State banks and bankers.. 6, 306.18 98, 965. 51 Dividends unpaid 826. 69 3,351.43 Individual deposits 3,466. 00 United States deposits 29.00 Deposits of U. S.disbursing officers. 69, 053.00 16, 463. 00 Notes and bills rediscounted . Bills payable 2,250.00 Liabilities other than those above stated 120, 000.00 1,290,337.20 Total 7, 250.16 44, 420. 00 2, 432. 00 1, 619. 34 679, 615. 70 135, 000.00 1,290,337.20 Merchants' National Bank, Feoria. FBRD. LUTHY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. G. H. MCILVAINE, President. Total. 105, 399. 03 65.50 8,286. 99 8, 776. 00 351. 47 39,170. 00 21, 000. 00 1,226, 357.51 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 700, 061.90 100,000.00 175.00 1, 226, 357.51 Peoria National Bank, Feoria. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3254. GxEO. H. LITTLEWOOD, Cashier. $730,186.16 Capital stock paid in. $200,000.00 22,459.92 50, 000.00 Surplus fund 75; 000. 00 125,000.00 Undivided profits, less current 44,181.04 expenses and taxes paid 45, 000.00 National-bank notes outstanding. 62,497. 93 State-bank notes outstanding 13,500. 00 21,013. 35 Due to other national banks 40,926.22 37,414. 51 Due to State banks and bankers.. L. F . HOUGHTON, Cashier. No. 2878. $200, 000.00 $567,348.19 Capital stock paid in. 8, 455. 22 50, 000.00 Surplus fund 55,000.00 170, 000. 00 Undivided profits, less current 13,838.87 expenses and taxes paid 44, 600. 00 25, 000. 00 National-bank notes outstanding. 3, 933. 33 State-bank notes outstanding 27, 000. 00 24, 448. 53 3, 600. 00 Due to other national banks 57, 019. 85 1,100. 26 Due to State banks and bankers.. 3,607. 07 53, 532.10 Dividends unpaid 756.87 387,180. 35 6,972. 84 Individual deposits 155,431. 36 3, 550. 00 United States deposits 437. 32 42.60 Deposits of U.S.disbursing officers 17, 912. 80 35,000.00 28, 000. 00 Notes and bills rediscounted Bills payable , 2, 250. 00 Liabilities other than those above stated 105.00 973,061. 28 Total. 937,061.28 REPOET OP THE COMPTROLLER OF THE CURRENCY. 159 ILLINOIS. Peru National Bank, Peru. N o . 2951. J . W. HOPKINS, President. HENRY REAM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S bonds on hand .. . . . . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer TJ. S $98,192.80 1,851. 63 12, 500.00 1, 250.00 51,011.30 7,175. 00 4,100. 00 2,205. 09 2, 834.45 20,340.13 265.26 Capital stock paid in 3, 250.00 11,909. 97 11,250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 50.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 150,992.00 1, 565.00 336. 51 16, 673. 30 6, 789. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 227,451.97 Total $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Total 227,451.97 First National Bank, Petersburg. N o . 3043. C. B. LANING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $192,226.09 3, 407.19 37,500. 00 8, 750. 00 10, 000.00 J . M. ROBBINS, Cashier. Capital stock paid in . $50,000.00 Surplus fund UndiATided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000.00 10,142.53 33,750.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 96.27 513.76 Individual deposits 1, 707. 00 United States deposits 145. 41 Deposits of U. S.disbursing officers. 9, 628. 50 2,300. 00 Notes and bills rediscounted Bills payable 1, 687. 50 500.00 Liabilities other than those above stated 181,718.20 778. 09 2, 663. 38 28, 883. 54 1, 094.06 Total. 301,270.76 50.00 301, 270.76 First National Bank, Pittsfield. C. P . CHAPMAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. N o . 1042. $313,514. 24 2, 737. 62 25,000. 00 23, 906.42 5, 600. 00 931.82 130, 817.12 1, 913. 90 35.00 120. 90 12, 377.30 6, 811. 00 1,125. 00 18.00 524,908. 32 R. T. HICKS, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. $100,000.00 25,000.00 19,783. 66 21,900.00 1,386.67 356,837.99 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 524,908.32 160 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Exchange National Bank, Polo. No. 1806. JOHN BINGAMAN, President. W. T. SCHELL, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $177, 030. 90 696. 58 20, 000. 00 22,310.50 21, 633. 05 1, 015. 70 10, 981. 27 1, 697. 79 1, 397. 00 165. 58 8,381. 20 4, 000. 00 900. 00 270, 212. 57 Total. Capital stock paid in . $65, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 13, 000. 00 13, 977.85 18, 000. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of'U.S.disbursing officers. Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 155, 234. 72 5,000. 00 270, 212. 57 Livingston County National Bank, Pontiac. No. 1837. J. M. GREENEBAUM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $146. 721. 20 2, 053. 71 18, 750. 00 4, 449. 50 8,000.00 1, 000. 00 794. 86 37, 063. 70 2, 768. 71 2,168. 00 109. 59 7, 553. 50 4, 000. 00 843. 50 .25 236, 276. 52 Total. D. C. EYLAR, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000.00 8, 599. 77 16, 870. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disfoirsingoflicers. 140, 806.75 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 236,276. 52 National Bank, Pontiac. J. E. MORROW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2141. $230,539. 48 520. 24 12, 500. 00 15, 349. 33 "566.06 33,106. 01 495.85 466.OO 91.07 2, 532. 00 7,400. 00 562. 50 2.50 JOSEPH SPIRO, Cashier, Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, ©00.00 20,000. 00 1, 952. 06 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 189,569. 82 Notes and bills rediscounted Bills payable Liabilities other than those above stated , Total. 11,227.10 20, 000.00 303,998.98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 161 ILLINOIS. First National Bank, Princeton. No. 903. B. H. SMITH, President. H. C. ROBERTS, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bohds on hand Premiums on U. S- bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall>anks Fractional currency, nickels, cents. J Specie I Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $317, 268.18 692.15 26, 250. 00 47, 000. 00 8, 000. 00 434.70 18, 092.24 1, 744. 22 925.00 85. 08 26,499. 50 6, 417. 00 1,181. 25 Capital stock paid in . Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 60, 000.00 27, 575.45 22, 925. 00 915.00 238,173. 87 Notes and bills rediscounted Bills payable Liabilities other than those above stated 454, 589. 32 Total. $105, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 454, 589. 32 Citizens' National Bank, Princeton. No. 2413. H. H. FERRIS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andh'xtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $231,694. 02 1, 618. 78 25, 000. 00 2, 500. 00 11,500.00 8, 200. 00 101. 50 1, 528.59 14,445. 49 1,444.42 3, 962. 00 220.80 29,199. 85 3, 250. 00 1,125.00 DOUGLAS MOSELEY, Cashier. Capital stock paid in $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. I State-bank notes outstanding 35,000.00 3, 944. 50 22,500.00 Due to other national banks Due to State banks and bankers.. I Dividends unpaid Individual deposits United States deposits Deposits of U. S. dis bursingoffi cers. Notes and bills rediscounted Bills payable I. Liabilities other than those above stated 335, 790.45 141.89 1, 460.00 Total. 172, 744.06 335, 790.45 Farmers' National Bank, Princeton. E. A. WASHBURN, President. Loans and discounts. Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, PT 2 11 No. 2165. $339,108. 62 2,168. 63 27, 500. 00 10, 770. 48 11, 000. 00 345. 63 8,197.04 1,187.70 410. 00 96.50 34, 898.50 H. B. PETERSON, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $110,000.00 60, 000.00 31, 090. 80 24, 750. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 435. 00 210, 644.80 Notes and bills rediscounted. Bills payable 1, 237. 50 Liabilities other than those above stated , 430, 920. 60 Total. 436, 920. G O 162 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Quincy. No. 424. "W. S. WARPIELD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and b ankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $394,288.85 3, 585. 06 50, 000. 00 Surplus fund 50, 000. 00 •Undivided 'profits, less current expenses and taxes paid 10, 000. 00 National-bank notes outstanding. 84, 675. 00 State-bank notes outstanding 23, 605. 75 4, 901. 21 Due to other national banks 25, 256. 61 10, 809.91 Due to State banks and bankers. 92, 941. 07 Dividends unpaid 827. 29 5, 930. 23 Individual deposits 5, 705. 00 TJ nited States deposits 5.15 Deposits of U.S.disbursingofficers. 33, 645. 90 7, 950. 00 Notes and bills rediscounted 2,250.00 $250,000.00 45,500.00 .10,546.75 44,160. 00 389.12 93, 361.79 287, 419. 37 45,000.00 30,000.00 ! Bills payable j Liabilities other than those above stated 806,377.03 Total. F.W.MEYER, Cashier. Liabilities. Capital stock paid in . , 806, 377. 03 Total. Quincy National Bank, Quincy. No. 3752. J. H. DUKER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. - , Cashier. $343, 503. 61 397.96 25,000.00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 4, 853. 02 State-bank notes outstanding $100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted. 1,125. 00 Bills payable Liabilities other than those above stated 435, 516.15 Total. 1,109. 70 13,375.49 3, 500. 00 13, 924. 88 442.92 13,317. 26 2, 392. 93 1, 538. 03 3, 000. 00 42.79 15, 239. 75 7, 238. 00 20,000.00 4, 038.33 16,997.50 279,995.13 435, 516.15 Ricker National Bank, Quincy. EDWARD SOHM, President. No. 2519. $1,186, 210. 03 Loans and discounts 10,459.79 Overdrafts TJ. S. bonds to secure circulation... 200,000.00 U.S. bonds to secure deposits 82, 000.00 U. S. bonds on hand 25,161. 08 Premiums on U. S. bonds 406, 720. 30 Stocks, securities, etc 2, 993. 87 Bank'g house,furniture,andfixtures 17,179. 30 Other real estate and mortg's owned 3, 960.19 Due from other national banks 18, 395. 77 Due from State banks and bankers. 124,121. 89 Due from approved reserve agents. Checks and other cash items 10, 673. 61 Exchanges for clearing house 3, 588. 72 Bills of other nationalpanks 8, 752. 00 Fractional currency, nickels, cents. 85. 88 Specie 161, 747. 65 Legal-tender notes 29,450. 00 TJ. S. certificates of deposit Redemption fund with Treas. U. S. 9, 000. 00 Due from Treasurer U. S Total 2, 300, 500. 08 GEO. E. RICKER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. $200,000.00 40,000.00 146, 247.90 141,960.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 17,664.67 129, 349.56 Individual deposits United States deposits Depositsof U.S. disbursing officers 1, 625, 061.95 216. 00 Notes and bills rediscounted . . . . Bills payable Liabilities other than those above stated Total 2,300,500.08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 163 ILLINOIS. Rochelle National Bank, Rochelle. No. 1907. M. D. HATHAWAY, Prensdent. M. D. HATHAWAY, JR., Cashier. Liabilities. Resources. Loans and discounts Overdrafts XL S. bonds to secure circulation . . . IT. S. bonds to secure deposits U.S.bondson Land I Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture>s; Other real estate and mortg's owned; Due from other national banks j Due from Statebanks and bankers Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house — Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $211,070.31 1, 910. 70 20, 000.00 20,000.00 2, Cl 9.01 6,000. 00 35, 8^6.75 531.19 1, 710.00 295.11 11, 660.00 3, 000. 00 900.00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30,000.00 2,607.13 18, 000. 00 Due to other national banks Due to State banks and bankers... Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 214,915.94 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 315, 523. 07 Total. 315,523. 07 Second National Bank, Rockford. E. L. WOODRUFF, President. No. 482. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds '. stocks, securities, etc j Bftnk'g house, furniture,and fixtures Other real estate and mortg's owned . Due from other national banks.... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $483,688.47 4, 600.17 50, 000. 00 189, 428. 29 28, 223. 21 283.06 1,441.80 28, 383. 56 $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 52, 000.00 29, 031. 38 44,450.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 5, 490. 54 Individual deposits 10,014.00 United States deposits 297. 80 Deposits of U.S.disbursingofficers. 31,574.80 20, 547. 00 Notes and bills rediscounted Bills payable 1,100. 00 Liabilities other than those above stated 855, 078. 70 Total. GEO. L. WOODRUFF, Cashier. Capital stock paid in . Total. 529, 597. 32 855, 078.70 Third National Bank, Rockford. A. C. SPAFFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 479. $350,096. 33 331.39 30,000.00 63, 318.00 38, 000. 00 19, 588.20 48, 012.43 1, 524. 00 6, 973. 00 282. 55 31, 967. 85 4,000. 00 Ox. C. SPAFFORD, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers , 118.07 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 52, 024. 79 27,000. 00 5.00 396,295.89 Notes and bills rediscounted Bills payable 1, 350.00 Liabilities other than those above 595,443. 75 Total 595,443.79 164 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Forest City National Bank, Rockford. JOHN D. WATERMAN, President. No. 4325. P A U L F . SCHUSTER, Cashier. Resources. Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxturesj Otherreal estate and mortg'sowned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. Liabilities. $234,418.64 569.10 25, 000. 00 2, 500.00 2, 841. 21 4, 000. 00 200.00 126. 27 8,619.45 1, 729.10 i 3,400.00 512. 79 10,214.80 10, 000.00 "i," 125." 66" Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 16, 000. 00 3,198. 37 22, 500. 00 30.00 163, 527. 99 Notes and bills rediscounted Bills payable Liabilities other than those above stated 305, 256.36 Total . 305, 256.36 Manufacturers' National Bank, Rockford. C. O. UPTON, President. No. 3952. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $342,749.74 116. 04 31, 500.00 3,400. 00 27, 738.05 5, 400. 00 15, 475. 96 386. 00 280. 06 41,120.42 3, 890. 78 1, 863. 00 590.20 29, 394. 20 13, 815.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $125, 000. 00 25, 000. 00 4, 522. 88 28, 000.00 15.00 336,199. 07 Notes and bills rediscounted Bills payable 1, 067. 50 Liabilities other than those above stated , 518,736.95 Total. A U G . P . FLOBERG, Cashier. Capital stock paid in. Total . 518, 736.95 Rockford National Bank, Rockford. GILBERT WOODRUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1816. W. F. WOODRUFF, Cashier. Capital stock paid in. $100,000.00 $417, 305. 76 2, 241.13 75,000.00 7, 750.00 82, 700. 00 28, 564. 30 9,100. 00 4, 675. 67 37,108. 31 7,944.48 366.00 537.50 25, 600.15 8, 200. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 24, 369. 63 67, 040. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers- 78.00 418,980. 67 Notes and bills rediscounted. Bills payable 3,375. 00 Liabilities other than those above stated , 710,468.30 Total. 710,468.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 165 ILLINOIS. Winnebago National Bank, Rockford. THOS. D. ROBERTSON, President. No. 883. CHANDLER STARR, Cashier. Resources. Loans and discounts Overdrafts U. IS. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items E xchanges for clearing house Bills of other national banks Fractional currency; nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $463,378. 40 381). 63 50, 000. 00 99, 075. 00 15, 000. 00 Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes })aid National-bank notes outstanding. State bank notes outstanding Due to other national banks 2, 662. 79 Due to State banks and bankers. 239. 96 85, 864.13 Dividends unpaid 3,969. 26 Individual deposits 1, 205. 00 United States deposits 201.89 Deposits of U.S.disbursingoflicers. 41,105. 06 10, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 450.00 30,000.00 91, 834. 52 45, 000.00 505,080.25 '3*867.35 Liabilities other than those above stated Total . 775,782.12 775, 782.12 People's National Bank, Rock Island. Jos. ROSENFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owntd Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2155. $277,104.38 850.59 50,000. 00 C. HELLPENSTELL, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 2,100. 00 National-bank notes outstanding. 4, 500. 00 State-bank notes outstanding 2, 000. 00 Due to other national banks 51, 729. 70 Due to State banks and bankers.. 2, 979. 77 71,958.31 Dividends unpaid 226.46 Individual deposits 2, 535. 00 United States deposits 245.48 DepositsofU.S.disbursingofiicers11,481.40 3, 047. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 483, 008. 09 Total . 60, 000. 00 18,197. 08 44,410. 00 847. 46 288.00 259, 265. 55 483, 008.09 Rock Island National Bank, Rock Island. T. J. ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1889. $284, 568. 88 1,336. 28 30, 000.00 50, 000. 00 6, 000. 00 2,000. 00 4, 700. 00 1,454. 21 3, 393.21 153,690.55 2, 504. 84 3, 340. 00 165. 60 18, 652.70 12,000. 00 J. F. ROBINSON, Cashier. Capital stock paid in . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75,000.00 Due to other national banks Due to State banks and bankers.. 2,827.22 4, 719.90 27, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursmgoftieers 320,610. 97 4, 663. 23 40, 334.95 Notes and bills rediscounted. Bills payable 1,350. 00 Liabilities other than those above 575,156. 27 Total . 575,156. 27 166 REPORT OF THE COMPT&OLLEft OF THE CURRENCY. ILLINOIS. Salem National Bank, Salem. No. 1715. JAS. S. MAETIN, President. THOS. S. MARSHALL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits •U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghou8e,furniture,and fixtures Other real estate and mortg's owned Due from other national banks . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash itenus Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $146,116.05 1, 818. 44 25, 000. 00 2, 640. 62 12, 493. 37 11, 500. 00 17,116. 90 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 20, 976.18 ! Dividends unpaid 566.54 .;! Individual deposits 5, 545. 00 United States deposits. 204.04 Deposits of U.S.disbursing officers.' 9, 680. 20 6,011.00 Notes and bills rediscounted. I! Bills payable 1,125.00 ' Liabilities other than those above stated Total . 260, 793. 34 42, 000. 00 793.12 22, 500. 00 145, 500. 22 260, 793. 34 First National Bank, Shawneetown. THOS. S. RIDGWAY, President. W. D. PHILE, Cashier. No. 9] 5. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalToanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $145, 585. 39 2,304.71 12, 500.00 1, 000. 00 14,653.06 71.28 38, 567. 99 1, 5J4. 34 i, 588. 00 131.39 20, 603. 90 5, 000. 00 10, 000. 00 562. 50 400. 00 Capital stock paid in . $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 4,172. 43 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 164,090.13 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 254, 512. 56 254,512.56 First National Bank, Shelbyville. A. MIDDLESWORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. W. POWERS, Cashier. No. 2128. $180, 954. 00 1.821.88 18,750. 00 Capital stock paid in. $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18, 000. 00 Due to other national banks 59, 426. 36 Due to State banks and bankers.. 2, 356.49 36, 807.04 Dividends unpaid 4, 423. 95 Individual deposits 2,661.00 United States deposits 146.11 Deposits of U.S. disbursing officers. 31,465. 90 9, 500.00 Notes and bills rediscounted. Billspayable 843. 75 Liabilities other than those above stated , 342. 70 248. 55 1,000.00 5,138.40 18,150. 00 373,444. 88 Total. 7,169. 69 16, 875.00 255, 808.94 373, 444. 83 REPORT OF THE COMPTROLLER OF TEtE CURRENCY, 167 ILLINOIS. First National Bank, Springfield. FRANK "W". TRACY, President. No. 205. HOWARD K. WEBER, Cashier. Resources. L6ans and discounts ---. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $799,450. 47 32, 955. 33 75, 000. 00 75, 000.00 9,000. 00 52. 400. 00 30, 000. 00 15, 300. 00 5, 606. 29 20, 355. 60 45, 097. 38 1, 209.59 2, 032. 00 19.51 22, 000. 00 23, 000. 00 3, 375. 00 Capital stock paid in . $250,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...<. 50,000.00 105, 558. 07 67, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 36,403.57 110, 443. 66 Individual deposits United States deposits Depositsof U. S.disbursingomcers. 482, 953.97 30, 061.90 37,538.10 Notes and bills rediscounted. Bills payable 1,341.00 40, 000.00 Liabilities other than those above stated 1,211,801.17 Total . 1, 211,801.17 Farmers' National Bank, Springfield. BEN. F . CALDWBLL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2688. $627, 943.75 26, 962. 33 50,000.00 4, 000. 00 52,450.00 30, 000. 00 9,131. 05 2,054. 75 25, 252. 67 11, 419. 04 13, 236. 00 127. 96 32,162. 25 8, 500. 00 1,800.00 EDW'D D. KEYS, Cashier. Capital stock paid in . $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000. 00 27, 963. 00 44, 550. 00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 20,439. 03 41, 727. 09 Individual deposits United States deposits Depositsof U.S.disbursingotiicers 485,120. 63 240.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 895, 039. 80 Total . 895,039. 80 Illinois National Bank, Springfield. FRANK REISCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3548. $368,563. 04 9, 635. 84 50, 000.00 75, 000. 00 I2, ooo'bb" 58,195. 60 135, 537. 50 35,112. 92 10,438. 50 11, 015. 73 85, 340. 30 3, 708. 29 2, 401.00 394.37 12,979.60 20, 000. 00 2, 250. 00 892,572.69 B. R. HIERONYMUS, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 554. 69 45, 000. 00 Due to other national banks Due to State banks and bankers. 18,015.34 66,163. 78 Dividends unpaid * Individual deposits United States deposits Depositsof U.S.disbursingotncers. 15, 000.00 370. 00 376, 230. 39 54, 790. '49 12,448. 10 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 892, 572. 69 168 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Ridgely National Bank, Springfield. No. 1662. ¥ M . RIDGELY, President. EDWARD RIDGELY, Cashier. Liabilities. Resources. Loafls and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $494,769.91 13,350. 84 50, 000.00 2,375.00 22, 346.85 3, 345. 36 1,131. 26 38, 777.47 10, 271. 26 2, 000.00 152.87 40.129.46 14, 028.00 2, 250.00 694, 928.28 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100,000.00 4,780.73 44, 040.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6,202.96 22,482. 30 Individual deposits United States deposits Deposits of U.S.disbursing officers. 417,422.29 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 694, 928. 28 State National Bank, Springfield. R. D. LAWRENCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1733. $451, 289.18 26,097. 85 50, 000.00 85, 000.00 J . F . BUNN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 400.00 30, 000. 00 42, 325.18 | Due to other national banks 32.29 2, 342. 22 I Due to State banks and bankers.. 12,788. 28 6, 085. 58 Dividends unpaid 93L 66 22, 855.42 40,000.00 2, 250.00 2.50 777,399.50 Individual deposits Unitpd States deposits Deposits of U.S.disbursingoffioers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $200,000.00 16, 948.86 45, 000.00 5, 985. 70 9, 439.17 405,468.05 68, 050.47 1,368.51 25,138. 74 777,399.50 Spring Valley National Bank, Spring Valley. C. J . DEVLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures; Other real estate and mortg's owned' Due from other national banks I Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Dank s Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 3465. M. BARTON, Cashier. $136,963.22 Capital stock paid in. $50,000. 00 349.14 12, 500.00 Surplus fund 25,000. 00 Undivided profits, less current expenses and taxes paid 2, 478.95 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding 1, 578. 20 Due to other national banks 600.66 Due to State banks and bankers. 8, 741.93 Dividends unpaid 842. 73 Individual deposits 74, 630.80 2, 660.00 United States deposits 86.52 Deposits of U. S. disbursing officers. 5, 311. 85 2, 663. 00 Notes and bills rediscounted 9, 500. 00 Bills payable 562. 50 Liabilities other than those above stated 172, 859.75 Total. 172,859.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 169 ILLINOIS. First National Bank, Sterling. No. 1717. J. S. MILLER, President Resources. Loans and discounts Overdrafts TJ. S. bonds to securecirculation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional mirrency, nickels, cents. Specie Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer TJ. S $352, 817.46 5, 397.76 50,000.00 Capital stock paid in . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000.00 Due to other national banks Due to State banks and bankers.. 83, 967. 94 Dividends unpaid 644.82 Individual deposits 7, 746. 00 United States deposits 250. 64 Deposits of U.S.disbursing officei s. 694.25 65, 886.00 17,700. 00 525. 00 32,206.11 1,000.00 2, 250.00 620, 391. 73 Total. TV. A. SANBORN, Cashier. Liabilities. 9, 227. 96 45, 000.00 440, 409. 52 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 620, 391. 73 Sterling National Bank, Sterling. No. 2709. JAMES It. BELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc : Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $204, 599. 07 514. 96 18,750.00 1, 500. 00 *io,'o66'o6" J. H. LAWRENCE, Cashier. Capital stock paid in $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 18, 940. 49 Dividends unpaid 512.10 Individual deposits * 5, 570. 66 United States deposits 105.00 Deposits of U.S.disbursing officers. 24,066.15 Notes and bills rediscounted Bills payable 843. 75 Liabilities other than those above stated 292,156.02 Total. 15,000.00 8,118.30 16,875. 00 6, 495. 00 259.50 177,162.72 292,156. 02 City National Bank, Streator. JOHN C. AMES, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total.. -No. 4476. $161, 007.23 2, 734. 52 25,000.00 2,500.00 2.923.40 6, 800. 00 9.173.41 3, 000. 00 21, 325. 61 2,088.07 "i'585.'oo" 387.40 10, 222.75 12, 535. 00 1,125. 00 262,407.39 ELMER E. AMES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 6,000. 00 7,775.26 22, 200,00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers 126,432.13 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 262,407.39 170 REPORT OF THE COMPTROLLER OF THE ILLINOIS. Streator National Bank, Streator. No. 2681. F . PLUMB, President. HARRY W. LUKINS, Cashier. Keaourcea. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estaie and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fond with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $90, 800.17 1,471. 52 12, 500. 00 1, 250.00 21,841.46 1,779.00 9, 238.46 752. 33 175.00 202.69 6,795.40 11,124. 00 562.50 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 10,000. 00 18,417. 74 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individ'ial deposits United States deposits Deposits of U.S.disbursingofficers. 68, 824.79 Notes and bills rediscounted. Bills payable , Liabilities other than those above stated Total. 158,492. 53 158, 492.53 Union National Bank, Streator. L. SWIFT, President. Loans and discounts Overdrafts TJ. S. bond s to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gh«>use,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. E. H. BAILEY, Cashier. No. 2176. $293,722.15 Capital stock paid in . $100,000. 00 1, 595.17 25, 000. 00 Surplus fund 35, 000. 00 Undivided profits, less current 26, 772. 45 expenses and taxes paid 22, 500.00 National-bank notes outstanding. 9, 904. 78 State-bank notes outs' anding 20, 000.00 Due to other national banks Due to State banks and bankers. 61,860.10 Dividends unpaid 2, 616. 58 277, 631.53 Individual deposits 8, 205. 00 United States deposits 293. 25 Depos its of U.S. disbursing officers 17, 581. i)5 20, 000. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated 461,903. 98 Total. 461,903.98 Sycamore National Bank, Sycamore. E. F . DUTTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... V. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. N o . 1896. $182,480.17 1, 603. 86 20,000. 00 7, 050.00 6, 000.00 8, 584. 89 114. 50 1, 517. 00 74.79 3,081.00 3, 500. 00 900. 00 234,906.21 CHAS. E. WALKER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding-.... $50,000.00 10, 000.00 11,223.77 18, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 145,682.44 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 234,906.21 REPORT OF THE COMPTROLLER OP THE CURRENCY. 171 First National Bank, Taylorville. F. W. ANDERSON, President. No. 3579. E.B.WRIGHT, Cathier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S $225,427. 54 6, 556.17 38,750.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1,800. 00 National-bank notes outstanding 22, 000. 00 State-bank notes outstanding 25, 000. 00 22,463. 40 16, 870.00 2, 950.00 Due to other national banks 2, 692.58 421.20 Due to State banks and bankers.. 14,914.75 Dividends unpaid 95.19 1, 517.02 Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 161,467.00 1, 000. 00 133.24 14, 733. 25 5, 000. 00 843.50 317,317.42 Total. $75,000.00 15,000.00 317, 317.42 First National Bank, Toluca. C. J. DEVLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premium on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4371. D.M. WOOD, Cashier. $ioo7ooo7oo Capital stock paid in. Surplus fund 3,10D. 00 Undivided profits, less current 2, 70D. 33 expenses and taxes paid 22, 500.00 National-bank notes outstanding. Slate-bank notes outstanding 8,299.19 Due to other national banks 166.66 Due to State banks and bankers.. 9, 919. 68 Dividends unpaid $150,650.47 64.76 25, 000. 00 1, 953. 01 490. 00 60.79 4,953. 65 4,700.00 1,125.00 Individual deposits 66,582.22 United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 12, 500.00 Liabilities other than those above stated 207, 382.55 Total . 207, 382. 55 First National Bank, Tuscola. H . T . CARAWAY, President Loans and discounts... { Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1723. $273,021.44 9, 542. 78 15,000.00 16, 502. 65 7, 000.00 187.58 9, 671.89 2,200. 66 2,072.00 61.05 38, 224.35 2, 000. 00 675. 00 376,159.40 W. H. LAMB, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... $60, 000.00 Due to other national banks Due to State \>anks and bankers.. Dividends unpaid 2,189.52 772.35 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 236, 839. 48 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 20, 200. 00 40,000.00 2, 658.05 13, 500. 00 376,159.40 172 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Urbana. A. F. FAY, Oashier. No. 2915. P. RICHARDS, President.. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redejnptionfund with Treas. U. S.j Due from Treasurer TJ. S Total - $188,250.99 6, 824.62 12, 500. 00 1, 275.45 1, 288.35 2, 700.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 5,140.00 United States deposits 47.16 Deposits of U.S.disbursingomcers. 10,322. 65 2,000.00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 252, 274.32 Total. 50, 000.00 3, 249. 53 11, 250.00 1,191.26 137. 03 19,966.96 67.35 137, 774.79 252, 274. 32 First National Bank, Vandalia. "WILLIAM M. FOOLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4994. $58, 348.95 59.07 12, 500. 00 GEO. W. BROWN, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits, less current 25, 000. 00 expenses and taxes paid 4, 453.13 National-bank notes outstanding. State-bank notes outstanding 331.84 11, 250 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. Notes and bills rediscounted. Bills payable 113, 736. 37 2, 200. 00 19, 996. 39 907. 94 16,197.46 12, 021. 00 563. 00 7,100. 00 50.27 15,183.50 175.00 562. 50 Liabilities other than those above stated 175, 318. 21 175,318.21 Total. . First National Bank, Vienna. P. T. CHAPMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other.real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4433. $116, 356. 21 2,547. 35 15,000.00 D. W. WHITTENBERG, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 2, 634. 80 State-bank notes outstanding $50,000.00 11,000.00 2, 664.33 13,500. 00 7,000.00 Due to other national banks Due to State banks and bankers 2, 272. 29 Dividends unpaid 302.94 224.49 54.35 5, 421.70 1, 500.00 675.00 153, 989.13 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills pay able Liabilities other than those above stated Total 150.00 64,174. 80 12,500. 00 153, 989.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 173 ILLINOIS. Centennial National Bank, Virginia. WILLIAM EPLEB, President. No. 2330. JAMES B. BLACK, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national bauks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Dae from Treasurer TJ. S Total. Liabilities. $107,112.99 6, 927. 64 12, 500.00 1, 500.00 5, 500.00 3, 854.95 1, 007.73 7,458.47 2, 786.85 425.00 10.78 3, 365. 00 960. 00 562. 50 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills redis counted Bills payable 6,000. 00 1, 061.14 11, 250. 00 2, 315.61 18, 345.16 10, 000. 00 5,000.00 Liabilities other than those above stated Total - 153,971.91 153,971. 91 Farmers' National Bank, Virginia. No. 1471. GEOEGE VIRGIN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $154, 382. 25 13,678.61 J 5, 000. 00 5, 500. 00 7, 001). 00 1,511.77 2. 447.79 139.72 200.00 116.39 3, 860. 00 1, 200.00 J. T. KOBEETSON, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $50, 000. 00 8,000.00 5, 017. 39 13, 500.00 8,472. 25 120,051.89 Notes and bills rediscounted. Bills payable 5.00 Liabilities other than those Above stated Total. 205,041. 53 205, 041. 53 First National Bank, Watseka. DAVID MCGILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, «tc Bank'g house,furniture,and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1721. $130,487.47 2, 817. 40 50,000.00 3,000. 00 1, 323.46 6, 800. 00 1, 693. 33 49, 309.70 1,912. 54 1, 321. 00 23.68 3, 900.00 1,000.00 2,250.00 600.00 256,438.58 GrEO. C. HAEEINGTON, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 20,000.00 7,938.01 45, 000.00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 133, 500. 57 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 256,438.58 174 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Waukegan. NELSON A. STEELE, President. No. 945. CHARLES F. WIARD, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items l Exchanges for clearing h house. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $393, 534. 21 503.06 13, 000. 00 63,100.00 1, 250. 00 50,494. 33 702. 88 6,174. 00 325.45 19, 975.00 10, 000. 00 585. 00 Capital stock paid in. 10, 000. 00 86,190. 41 11, 700. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 401,553. 52 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 559,443.93 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 559,443.93 First National Bank, Wenona. J. W. H. HODGE, Cashier. No. 3620. LEWIS J. HODGE, President. Loans and discounts Overdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $83, 230. 30 8.37 12, 500.00 1,250. 00 *4'930*93' 198. 70 11,979.27 541. 06 61.49 4, 502. 50 7,125.00 562.50 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 10,000.00 1,310.15 11, 250. 00 60.00 54, 269. 97 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 126, 890.12 126, 890.12 First National Bank, Wilmington. J. W. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Doe from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 177. $152, 752. 65 866. 55 25,000. 00 11, 395. 36 "i6i,O65.*6i 84,927. 08 1, 000.00 208.36 56, 359.50 1, 000.00 JAMES WHITTEN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid , National-bank notes outstanding. State-bank notes outstanding . . $100,000.00 68,853. 48 9,744. 33 22, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 234, 601.70 Notes and bills rediscounted " i," i'25." 66" Bills payable " Liabilities other than those above stated 435, 699. 51 Total. 435, 699.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 175 ILLINOIS. Commercial National Bank, Wilmington. B. ~W. FELTON, President. No. 1964. W J I . H. ODELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g kouse,furniture, andfixturea Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $156, 232.47 13.24 12,500. 00 36, 905.02 2, 000. 00 1,120.42 4,482. 28 55, 471. 25 312.00 71.57 11, 034. 25 4, 000. 00 562. 50 284, 705.00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 50,000.00 5, 723. 85 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 107,731.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 284, 705. 00 176 REPORT OP THE COMPTROLLER OF THE CURRENCY. INDIANA. Alexandria National Bank, Alexandria. S. E. YOUNG, President. No. 4835. S. G-. PHILLIPS, Cashier. Resources. Loans and discounts I Overdrafts ! TJ. S. bonds to secure circulation... • TJ. S. bonds to secure deposits ! U. S. bonds on hand Premiums on TJ. S. bonds | Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. j Due from approved reserve agents. j Checks and other cash items j Exchanges for clearing house | Bills of other national banks i Fractional currency, nickels, cents. Specie Legal-tender notes ; TJ. S. certificates of deposit ' Redemption fund with Treas. TJ. S. j Due from Treasurer TJ. S Liabilities. $50,000.00 133, 331.38 Total. $79,396.01 Capital stock paid in . 329.57 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 943.75 National-bank notes outstanding. State-bank notes outstanding 1,324. 75 Due to other national banks 2,442.06 Dae to State banks and bankers. 10,744.03 Dividends unpaid 443.67 Individual deposits 1,590.00 United States deposits 47.49 Deposits of U.S.disbursing officers. 5, 735. 05 2, 210. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 133,331.38 Total. 700. 00 4,097. 74 22, 500. 00 56,033. 64 National Exchange Bank, Anderson. T. J . MCMAHAN, President. No. 4685. Loans and discounts I Overdrafts TJ. S. bonds to secure circulation.. .U. S. bonds to secure deposits ! U. S. bonds on hand . Premiums on TJ. S. bonds j Stocks, securities, etc ; Bank'ghouse^urniture^ndfixtures Other real estate and mortg's owned . Due from other national banks i Due from State banks and bankers, j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national juanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J N O . L. FORKNER, Cashier. $197,275.33 j Capital stock paid in . 925.47 25, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 800. 00 National-bank notes outstanding. 11, 700. 00 State-bank notes outstanding $100,000.00 7,000.00 3, 812. 22 22, 500. 00 1, 500. 00 20, 052.17 8,170. 56 21, 759. 93 7, 928.04 3, 500.00 220. 06 19, 506. 60 13, 000.00 1,125. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers.! 640.00 200, 510. 94 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 334,463.16 334,463.16 Citizens' National Bank, Attica. JACOB P. ISLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furuiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3755. $72,144.10 6, 027.40 12, 500.00 1,250.00 6, 890. 03 9,384. 05 21,276.07 811.80 2,935.15 139.15 630. 00 89.47 5, 073. 00 995. 00 J . W. BROOKE, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, oooToo 4, 500.00 1,166.39 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8.55 6,921.77 Individual deposits United States deposits Deposits of U.S.disbursing officers. 61,861.21 Notes and bills rediscounted. Bills payable 562. 50 5, 000.00 Liabilities other than those above stated 140, 707. 72 Total. 140,707.72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 177 INDUNA, First National Bank, Auburn. CHAS. A. O. MCCLELLAN, President. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits. TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer X . S T No. 2238. Liabilities. $117,081.01 | Capital stock paid in. 988.28 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. C, 016. 27 State-bank notes outstanding 6, 500. 00 Due to other national banks 13, 077. 68 Due to State banks and bankers. 2, 578. 85 12,121. 70 Dividends unpaid 828.94 Individual deposits 1, 750.00 United States deposits 100. 00 Depositsof U.S.disbursingomcers. 1, 350.00 6,000. 00 Notes and bills rediscounted. 562. 50 181,455. 23 Total, CHARLES MCCLELLAN, Cashier. $50,000.00 10,000.00 1, 745.93 9, 450.00 110, 259.30 Bills payable Liabilities other than those above stated Total. 181,455. 23 First National Bank, Aurora, No. C99. H. W. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits XJ. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and banker; Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cent*. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. XJ. S Due from Treasurer XJ. S $282, 238. 38 1, 973.16 200, 000. 00 150. 00 7,370. 24 6, 000. 00 13, 000. 00 17, 628. 00 78.73 1,806.23 1,064. 00 190. 53 18, 228. 00 1, 500. 00 9,000. 00 560, 227. 27 Total. E. H. DAVIS, Cashier. Capital stock paid in . Surplus fund XJndivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $200, 000. 00 40,000.00 1, 874.43 180, 000. 00 108,892.04 29,460. 80 560, 227.27 Aurora National Bank, Aurora. WILL F. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XJ. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ^Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. pue from Treasurer U. S Total. CUB, FT 2 — 1 2 ALEX. B. PATTISON, Cashier, No. 2963. $100,000.00 Capital stock paid in. Surplus fund 4, 400.00 Undivided profits, less current 1, 683.24 expenses and taxes paid 3,000. 00 National-bank notes outstanding. 22, 500. 00 15,850.00 State-bank notes outstanding $147,045.44 1,008. 69 25, 000. 00 2, 500. 00 6, 372.79 1, 329.92 3, 055.50 5,138.99 369.18 765.00 122. 65 15,472. 00 1, 000. 00 1,125. 00 229,155.16 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 87, 967.86 12, 604. 06 229,155.16 178 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Bloomington. No. 1888. NAT. TJ. HILL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture-i Other real estate and mortg 's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national/banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S3. certificates of deposit ^Redemption fund with Treas. U. S. Due from Treasurer U. S $221,188. 39 28, 445. 82 30, 000. 00 45, 343. 09 2, 594. 00 12, 0(55. 26 18, 067. 63 10,362. 76 71,420.29 $120, 000.00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 33, 000. 00 21, 463.49 27,000.00 Due to other national banks Due to State banks and b a n k e r s . Dividends unpaid Individual deposits 1,400.00 |i United States deposits 462. 01 j DepositsofU.S.disbursingofficers. 37,300.00 6,000.00 jj Notes and bills rediscoun t e d . 281, 535. 76 j Bills payable 1, 350. 00 Liabilities other than those above stated 485, 999. 25 Total . W. E. WOODBURN, Cashier. Liabilities. Total. 485, 999.25 Boonville National Bank, Boonville. No. 2207. L. J . MILLER, President. Loans and discounts: ! $120, 230.97 Overdrafts j 510.66 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds ' Stocks, securities, etc ' 11, 500.00 Bank'gbouse,furniture,and fixtures 4, 000. 00 Other real estate and mortg's owned Due from other national banks 10, 952. 50 Due from State banks and bankers Due from approved reserve agents. 24, 788. 28 Checks and other cash items 774. 51 Exchanges for clearing house Bills of other national banks 1, 000.00 Fractional currency, nickels, cents. 54.38 Specie 15,913.95 Legal-tender notes 5, 596. 00 U. S. certificates of deposit Redemption fund with Treas. U . S . 2, 250. 00 Due from Treasurer U. S $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000. 00 7, 030. 97 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 130,540.28 Notes and bills rediscoun ted. Bills payable Liabilities other than those above stated 247, 571. 25 Total. J . P. WEYERBACHER, Cashier. Capital stock paid in. Total. 247, 571. 25 First National Bank, Brazil. E. F . LAWRENCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Bedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3583. $169, 360. 52 1, 497. 60 12, 500. 00 C. S. ANDREWS, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 16, 687. 01 Due to State banks and bankers.. 49,134. 75 Dividends unpaid 466. 28 Individual deposits "i4,"835."66" United States deposits 39.08 Deposits of U.S. disbursing officers . 7, 560. 00 10, 000. 00 562. 50 282, 642. 74 $50, 000.00 8, 500.00 1, 819. 37 11, 250. 00 1,497.12 209, 576. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 282,642.74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 179 INDIANA. First National Bank, Cambridge City. No. 2734. JOHN JACKSON, President. CHARLES W. D. JONES, Cashier. Besources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $286,164. 85 25,666.66 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 4, 092.43 22,500. 00 2, 500. 00 211.14 6,166. 67 342.10 700.00 23. 54 8,175. 00 6, 500. 00 1,125. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing oflicers 160, 315. 87 Notes and bills rediscounted Bills payable Liabilities other than those above stated 336, 908. 30 Total. $100,000.00 Capital stock paid in. 336, 908. 30 Total. First National Bank, Columbus. No. 1066. W . J . LUCAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bank Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $264, 248. 27 2,384. 30 50, 000. 00 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid Nntional-bank notes outstanding. 12, 329. 62 State-bank notes outstanding 12, 000. 00 3, 500. 00 Due to other national banks 5, 849. 20 Due to State banks and bankers. 30,901. 85 Dividends unpaid 1, 034. 61 Individual deposits 300.00 United States deposits 140. 67 Deposits of U. S.disbursing oflicers. 16, 738. 25 21,185. 00 Notes and bills rediscounted .. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 422, 861. 77 Total. L. K. ONG, Cashier. Capital stock paid in. 20, 000. 00 4,140. 70 45, 000. 00 253,721. 07 422,861 77 First National Bank, Connersville. CHARLES MOUNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1034. $202, 549. 22 2, 217.17 25, 000.00 Q. A. MOUNT, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 1, 278. 59 National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 1, 000. 00 Due to other national banks 9.10 Due to State banks and bankers.. 36, 574.36 Dividends unpaid 517. 96 Individual deposits 6, 800. 00 United States deposits 292.10 Deposits of U. S.disbursing oflicers. 7, 800. 00 10, 000. 00 Notes and bills rediscounted. Bills payable " "i, 120. 00 Liabilities other than those above stated 324, 658.50 Total. $100, 000. 00 30,000. 00 2, 573.25 22, 500. 00 1,997.58 167, 587. 67 324, 658. 50 180 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Crawfordsville. W. P. HERRON, President. No. 571. JAMES E . EVANS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank 'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Dae from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $298,748.40 360. 36 25,000.00 Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 24,098. 86 State-bank notes outstanding 3, 694. 25 5,437.14 Due to other national banks 24, 770. 37 Due to State banks and bankers.. 2, 301. 23 26, 005. 03 Dividends unpaid 5, 772. 67 Individual deposits 3, 975.00 United States deposits 133. 71 Deposits of U.S. disbursingofficers. 22,123. 00 23. 000.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 469, 051.02 Total . 50, 000. 00 27, 597. 83 22, 500. 00 7,468.29 261, 484. 90 469, 051. 02 Citizens' National Bank, Crawfordsville. No. 2533. A. F . RAMSEY, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. GOLTRA, Cashier. Capital stock paid in. 2,000. 00 105,409. 09 3, 000. 00 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 14, 302. 49 Due to State banks and bankers.. 663.29 21, 337. 76 Dividends unpaid 1, 312. 63 Individual deposits 7, 530. 00 United States deposits 405. 50 DepositsofU.S.disbursingoflicers. 28, 057. 30 20, 000. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated. Total. 503, 951.21 50, 000. 00 6, 057. 62 22, 500.00 70.56 325, 317.03 503,951.21 First National Bank, Crown Point. JOHN BROWN, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of d e p o s i t . . . . . . . . . Redemption fund with Treas. U. S. Due from Treasurer TJ. § TotaJ . No. 2183. $219, 602. 65 718.33 20, 000. 00 W. C. MURPHEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 50,000.00 2,986.20 18, 000. 00 7, 000.00 Due to other national banks 46,077. 09 Due to State banks and bankers. 5, 249. 32 41, 722. 25 Dividends unpaid 602. 25 Individual deposits 8, 060.00 United States deposits 114. 84 Deposits of U.S.disbursingoflicers. 18,978. 75 8, 000. 00 Notes and bills rediscounted Bills payable......... 900.00 Liabilities other tb.an those above stated 377,025.48 Total. 256, 039. 28 377,025.43 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 181 INDIANA. First National Bank, Danville. No. 152, J. L. MCCOUN, President, Resources* Loans and discounts i.a Overdrafts — TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds i<;i.. Stocks, securities, etc Bank1ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $205, 901.14 9, 919. 23 25,000.00 1, 500. 00 9, 296. 00 1, 000. 00 5, 438.75 31, 534. 93 Capital stock paid in. $100, 000. 00 Surplus fund , -.. Undivided profits, less current expenses and taxes paid . National-bank notes outstanding. State-bank notes outstanding 4,000.00 2, 111. 67 22, 500. 00 Due to other national banks Due to State banks and bankers. 45, 315. 53 Dividends unpaid **. 987. 56 1,100. 00 65.26 13, 531. 05 1,150.00 1,125. 00 352,814.45 Total. MORD CARTER, Cashier. Liabilities. Individual deposits United States deposits Deposits of U.S.disbursingofficers. 224, 202.78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 352,814.45 Decatur National Bank, Decatur. No. 3028. P. W. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $175,162. 64 513. 78 35,000. 00 5,762.50 10, 000. 00 1, 890. 00 749. 83 11,600.96 8,668.67 880. 74 275.00 133.25 5, 557.35 6,135. 00 1,575. 00 2.50 263,907. 22 Total. C. A. DUGAN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 205. 55 65.07 Individual deposits United States deposits Deposits ofU.S.disbursing officers. Notes and bills rediscounted. Bills payable 127,173. 95 Liabilities other than those above stated Total. 3, 000. 00 1, 962. 65 31,500. 00 263, 907. 22 First National Bank, Dunkirk. E. W. MERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other ca items Cs cash ts Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4888. $72,742.62 686. 52 12,500. 00 MYRON L. CASE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 300. 00 National-bank notes outstanding. 19,339. 97 State-bank notes outstanding $50,000.00 2, 500. 00 1,008.11 11, 250.00 8,673.17 Due to other national banks .. Due to State banks and bankers.. 17, 906. 31 Dividends unpaid 11.24 418. 61 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 19, 998.77 5, 592. 01 2, 805. 59 1, 810.00 113.29 15,182.25 6,000.00 562.50 2.50 30.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 165, 216. 73 Total. 165,216.73 182 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Elkhart. No. 206. C. H . WINCHESTER, President. W. H. KNICKERBOCKER, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'g house, furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Liabilities. $217,147. 63 459.14 47,000. 00 8, 000. 00 9, 300. 00 6, 000. 00 11,896.15 1, 003. 91 ""5,855.00 22. 69 16,945. 00 10, 000. 00 1,455.00 Capital stock paid in. 40,000. 00 11,567.70 42, 300. 00 Due to other national banks Due to Stat e banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 141,216.82 Notes and bills rediscounted Bills payable Liabilities other than those above stated 335, 084. 52 Total. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 335,084. 52 Elkhart National Bank, Elkbart. No. 2502. ABRUM U P P , President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. C Checks and other cash items Exchanges for clearing house h Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . $67,171.60 5, 244. 08 12, 500. 00 800. 00 4,705. 00 21,439.00 320. 23 5, 305. 34 769. 78 598. 00 1.20 4, 335. 25 11, 000.00 562. 50 E D R. KERSTETTER, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 10, 000. 00 2, 824. 05 11, 250. 00 521. 70 60,156. 23 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 134, 751. 98 134, 751.98 Indiana National Bank, Elkhart. J . L. BRODRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure depos&ts U. S. bonds on hand .Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4841. $240,450. 34 3, 968. 08 25,000.00 3, 000. 00 388.91 2, 000. 00 23, 615.53 7,093. 58 20, 830.23 S, 141. 50 5,300.00 106. 73 12, 591.70 14, 760.00 565. 00 500. 00 368,311.60 W. L. COLLINS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 2,100. 00 268. 36 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 242,443.24 1, 000.00 368, 311. 60 KEPOET OF THE COMPTROLLER OF THE CURRENCY. 183 INDIANA. First National Bank, Elwood. JAMES H. DEHORITT, President. No. 4675. J". A. DEHOEITY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. " " Due from Treasurer TJ. S Liabilities. $96, 630. 23 2, 900. 50 35, 000. 00 $50, 000.00 18, 095.84 145.97 4, 207. 00 135. 51 8, 427. 50 8, 000.00 Surplus fund "Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 250. 40 31,500.00 Due to other national banks Due to State banks and bankers.. 3, 675. 00 35, 425.37 1,149.90 1,468.94 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 1*575 ."66" 10.00 Liabilities other than those above 215, 377.82 Total Capital stock paid in stated Total 3, 000.00 240.00 126, 843.48 75.00 215, 377.82 First National Bank, Evansville. F. J. KEITZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. * U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ,. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. S-pecie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total S. P. GILLETT, President. 2,097,527.72 Total..., 2,097,527.72 Citizens' National Bank, Evansville. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. L. COOK, Cashier. No. 2692. , 338,767. 94 Capital stock paid in. $500, 000.00 4, 026. 23 50, 000.00 Surplus fund 150,000.00 Undivided profits, less current expenses and taxes paid 21, 797. 08 6, 000.00 National-bank [notes outstanding. 45, 000.00 5, 000. 00 State-bank notes outstanding 42,993.00 105, 900. 00 Due to other national banks 66,494.08 99, 256. 77 Due to State banks and bankers.. 72, 043.37 28, 004. 65 118,539.39 Dividends unpaid 3, 699.13 Individual deposits 1, 242,193.19 "75*100 "66 United States deposits 70.61 Deposits of U.S.disbursingofficers. 127, 920.00 90, 000.00 Notes and bills rediscounted Bills payable 2,250.00 Liabilities other than those above stated No. 2188. W. L. SWORMSTEDT, Cashier. $506, 027.45 Capital stock paid in. $200, 000.00 7, 251.14 50,000.00 Surplus fund 40, 000. 00 Undivided profits, less current expenses and taxes paid 4,420. 84 National-bank notes outstanding. 43, 700. 00 1, 000. 00 State-bank notes outstanding 2, 977. 81 Due to other national banks 26, 705. 98 2, 759. 55 Due to State banks and bankers.. 47, 853. 39 1, 025. 98 28,535.46 Dividend sunpaid 1,361.85 112.16 Individual deposits 280,922.49 4, 000. 00 United States deposits 225.00 DepositsofU.S.disbursingofficers15, 500. 00 24, 000. 00 Notes and bills rediscounted. Bills payable 1, 550. 00 Liabilities other than those above stated 644,964.55 Total. 644,964.55 184 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Old National Bank, Evansville. No. 3281. SAMUEL BAYARD, President HENRY REIS, Cashier. Liabilities. Resources* Loans and discounts . < -;. ;. $1, 304, 508. 95 Capital stock paid in . Overdrafts 250,000. 00 Surplus fund XT. S. bonds to secure circulation... TJ. S. bonds to secure deposits .m. 50, 000.00 Undivided profits, less current expenses and taxes paid U. S. bonds on hand Premiums on II. S. bonds 30, 000. 00 National-bank notes outstanding. 146,300.00 State-bank notes outstanding Stocks, securities, etc 28, 000. 00 feank'g house,furniture,and fixture 1,140. 00 Due to other national banks Other real estate and mortg's owned 301,943.33 Due to State banks and bankers. Due from other national banks 107,913.08 Due from State banks and bankers. Due from approved reserve agents 129,172. 87 Dividends unpaid 17,719. 79 Checks and other cash items Exchanges for clearing house Individual deposits 227, 989. 00 United States deposits Bills of other national banks 472.13 DepositsofU.S.disbursingofficers Fractional currency, nickels, cents. 436, 561.00 Specie Legal-tender notes 10, 000. 00 Notes and bills rediscounted. TJ. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 11,250. 00 Due from Treasurer TJ. S Liabilities other than those above stated 3, 052, 970.15 Total. Total. $500,000.00 250, 000.00 11,192. 69 225, 000. 00 134, 730. 67 409, 604. 55 1, 478,706.77 43, 641. 77 93.70 3, 052, 970.15 First National Bank, Port Wayne. No. 2701. J. H. BASS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and niortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $747,166.70 39, 893. 87 50, 000.00 1,330. 71 11,780. 89 LEM. R. HARTMAN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 137, 594.81 Dividends unpaid 31, 554. 29 Individual deposits 18, 010. 00 United States deposits 1, 077. 89 Deposits of U.S.disbursingofficers. 74, 059. 37 50, 000. 00 Notes and bills rediscounted 2, 250. 00 Bills payable 4,000.00 Liabilities other than those above stated 1,169,085.01 Total. 366. 48 $300,000.00 150,000.00 43, 924. 85 45,000.00 55,155.74 49, 765. 73 125. 00 525,113. 69 1,169, 085.01 Hamilton National Bank, Fort Wayne. CHARLES MCCULLOCH, President. Loans and discounts Overdrafts U.S.bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andtixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U. S Total. No. 2439. $905,627.32 8, 973. 94 200, 000.00 53,480.90 3, 986. 57 45, 500.00 120, 991. 65 720. 75 28,062. 76 7,051. 51 40, 915. 00 256.49 114,576.65 25,000.00 6,900. 00 1, 562, 043.54 JOHN MOHR, JR., Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers $200,000.00 250,000.00 14, 088. 59 180, 000. 00 15,713. 29 20, 950. 62 3, 554.00 877,737.04 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 562, 043.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 185 INDIANA, Old National Bank, Port "Wayne. No. 3285. S. B. BOND, President. J. D. BOND, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer TJ. S . . . . . . . . Total. Liabilities. $827, 919. 63 17, 995. 53 50, 000. 00 550. 00 7, 552. 46 61, 227. 83 7, 048. 57 2, 781.34 154,593.41 7, 223. 76 37, 297. 00 365. 51 99, 980. 25 35, 722. 00 2, 250. 00 1, 095. 00 Capital stock paid in. $350, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 125, 000. 00 Due to other national banks Due to State banks and bankers . 22, 704. 75 19, 111. 60 Dividends unpaid 29, 312. 72 41, 295. 00 3, 160. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 723, 018. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,313,602.29 Total . 1. 313, 602. 29 White National Bank, Port "Wayne. No. 4725. J. W. WHITE, President H. A. KEPLINGER, Cashier, , $485,117.83 Loans and discounts Capital stock paid in ! $200, 000.00 678. 35 Overdrafts 50, 000. 00 U.S. bonds to secure circulation... Surplus fund J 30, 000. 00 U. S. bonds to secure deposits, Undivided profits, less current j U. S. bonds on hand I 6, 543. 97 expenses and taxes paid j 6,000. 00 National-bank notes outstanding.!. Premiums on U. S. bonds j Stocks, securities, etc ! 45,000. 00 State-bank notes outstanding. i 'Bank'g house, furniture,and fixtures} 56, 987. 56 31,031.31 Other real estate and mortg's owned Due to other national banks | 12,400. 36 Due to State banks and bankers .. I 52, 918. 76 Due from other national banks . 1, 343.37 Due from State banks and bankers. I 59, 399. 04 Due from approved reserve agents. 60.00 | 8,111.19 Dividends unpaid Checks and other cash items 438,039. 05 Exchanges for clearing house Individual deposits i 24, 730. 00 United States deposits Bills of other nationaljbanks |. 537. 59 J DepositsofU.S.disbursingofficers.!. Fractional currency, nickels, cents. 56, 037. 80 Specie 40, 000. 00 Notes and bills rediscounted. Legal-tender notes Bills payable * U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated Total . Total . 803,593. 09 803, 593. 09 First National Bank, Frankfort. JAMES W. COULTER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S Total. No. 1854. $380, 980.35 1,718.84 200,000. 00 WILLIAM P . SIDWELL, Cashier. Capital stock paid in. 18, 437. 50 36, 679. 34 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 1, 000. 00 23,148. 36 Due to other national banks Due to State banks and bankers . 13, 863.15 2, 606.95 $200, 000. 00 Dividends unpaid 7, 941. 00 59.91 7,117. 00 10,100.00 9, 000. 00 712,652.40 jl Individual deposits United States deposits Deposits of U.S.disbursingofiicers- 40, 000.00 12, 287.16 180, 000. 00 280, 365. 24 Notes and bills rediscounted. Bills paya ble Liabilities other than those above stated Total. 712,652.40 186 REPORT OF THE COMPTROLLER OF THE CURRENCY, I H D I A N A. T Citizens' National Bank, Franklin. No. 3967. T. W. WOOLLEN, President. O. C. DUNN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand J Premiums on U. S. bonds j Stocks, securities, etc J Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national T)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $99,172.17 1, 007. 05 12,500.00 Capital stock paid in $50, 000.00 4, 000. 00 2, 926.46 11, 250. 00 7,676.72 \ Due to other national banks 5,351.69 i Due to State banks aud bankers. 3,477.29 i 20, 069. 76 ! Dividends unpaid 8,103.20 i i Individual deposits 1,900.00 i United States deposits 92. 82 I Deposits of U.S.disbursingoiiicers. 14, 569. 50 3, 530. 00 Notes and bills rediscounted. Bills payable 562.50 i Liabilities other than those above stated 178,012.70 | Total. | Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Total . 109, 836. 24 178,012. 70 Franklin National Bank, Franklin. No. 3338. JNO. CLARKE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. I Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 377,877.06 Total. E. C. MILLER, Cashier. $246, 918. 61 I Capital sto<jk paid in. 3, 692. 97 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . 11, 444. 68 State-bank notes outstanding 7,000. 00 Due to other national banks 22,131.10 Due to State banks and bankers.. 2,641.45 19, 514. 77 Dividends unpaid 3, 045.12 Individual deposits ! 1, 000. 00 United States deposits •, 72.36 Deposits ofU.S.disbursing officers. 33,691. 00 600. 00 Notes and bills rediscounted . Bills payable 1,125. 00 Liabilities other than those above stated Total. $100, 000. 00 25, 000. 00 2, 505. 02 22,500.00 226, 936. 00 377, 877.06 First National Bank, Gas City. J . M. MARING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixturesI Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4825. $63, 534.65 543. 32 12,500. 00 1,468.75 18,881.67 2,566.15 11,893. 77 880. 00 10, 746. 76 3,314.37 B. F. BARZE, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits "'i,*i95.*oo" United States deposits 27.35 Deposits of U.S.disbursing officers. 4, 259. 30 5, 220. 00 1 Notes and bills rediscounted. 1 j| Bills payable 12.50 I Liabilities other than those above stated 137,593.59 5, 600. 00 3,834.11 11, 250. 00 Total . 66, 909. 48 , 137,593. 59 REPORT OF THE COMPTROLLER. OF THE CURRENCY. 187 INDIANA. City National Bank, Goshen. No. 2067. J. M. LATTA, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $171, 676. 45 533.00 20, 000.00 1, 800. 00 10, 084. 00 2, 060. 61 12, 022.10 Capital stock paid in. $77, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 34, 000.00 3,119.13 18,000.00 Due to other national banks Due to State banks and bankers. 31, 218. 52 Dividends unpaid 1, 474. 43 4, 692. 00 240. 73 10,845. 50 10, 000. 00 900. 00 277, 547.34 Total. C. J. GARVIN, Cashier. Liabilities. Individual deposits United States deposits DepositsofU.S.disbursingofficers. 145,428.21 Notes and bills rediscounted., Bills payable Liabilities other than those above stated.... Total . 277,547.34 First National Bank, Greencastle. THOS. C. HAMMOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, centa. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 219. $165, 912. 76 4, 392. 72 31, 500. 00 JEROME ALLEN, Cashier. Capital stock paid in. $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 700. 00 National-bank notes outstanding. 50, 772. 98 State-bank notes outstanding.. 40, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 7, 500. 00 United (States deposits 258. 37 Deposits of U.S. disbursing officers . 92.02 1,139. 36 28, 350. 00 26, 734.18 4,551.47 15, 242. 93 32, 927. 87 6, 855. 00 2, 667.00 203, 317.90 36, 800. 00 11,000.00 Notes and bills rediscounted. Bills payable 1,417. 50 .50 Liabilities other than those above 400,566.28 stated Total. 400, 566.28 Central National Bank, Greencastle. R. L. O'HAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bancte on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2896. $218, 513.17 2,184.99 25, 000. 00 2, 500.00 71, 624.53 22,159. 35 7, 373. 75 15,405. 77 M.D. BRIDGES, Cashier. Capital stock paid in.. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to oth er national banks Due to State banks and bankers.. 22, 356. 05 Dividends unpaid 2,246.18 4,463. 00 91.60 25,128.00 3, 000. 00 1,125.00 423,171. 39 Individual deposits United States deposits Deposits of U. S. disbursingofiicers. $100,000.00 18,750.00 4, 200. 64 22, 500.00 23, 373.16 254, 347. 59 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 423,171. 39 188 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Greensburg* W. M. HAMILTON, President. N o . 356. E. K. FORSYTH, Cashier. Liabilities. Resources. Loans and discounts... ^ Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $185, 477. 33 5, 358. 89 30,000.00 Capital stock paid i n . Surplus fund Undivided profits^ less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $120, 000.00 4,200. 00 324.47 27, 000. 00 14, 33G. 95 19,493. 91 Due to other national banks 1,175. 76 Due to State banks and bankers. 4, 482.05 Dividends unpaid * 987. 00 Individual deposits 568. 66 United States deposits 36.72 Deposits of U.S.disbursing officers. 5,245. 00 3, 000. 00 Notes and bills rediscounted 1, 350. 00 116,487.14 3,500. 00 Bills payable , Liabilities other than those above stated Total . 271, 511.61 271, 511. 61 Third National Bank, G-reensburg. JOHN E . ROBBINS, President. Loans and discounts No. 2844. , Overdrafts U. S. bonds to secure circulation.. ^ U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,andfixtures Other real estate and ruortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Snecie Legal-tender notes U S. certificates of deposit . Redemption fund with Treas. U. S. Due from Treasurer U. S Total $204,261.97 6, 321. 40 20, 000. 00 40, 000. 00 8, 400. 00 100. C O 2, 700. 00 2, 002. 51 7, 365. 04 33,973.74 I, 468. 94 1, 071. 00 345. 69 10 655 20 9,165. 00 900. 66 W A L T E R "W. BONSER, Cashier. Capital stock paid in. Surplus fund...** Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75,000.00 13,000. 00 4, 487. 65 18, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 82.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 238,160.84 Notes and bills rediscounted Bills payable . . . . . Liabilities other than those above 348, 730.49 stated Total 348,730.49 Citizens' National Bank, Greensburg. WILLIAM CUMBACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1890. $158, 400. 24 194.45 100, 000. 00 300.00 20, 000. 00 23, 700. 00 3, 500. 00 2, 551. 57 626.59 32,498.06 2, 311. 50 2, 000. 00 130. 00 11, 930. 00 14, 000. 00 4, 500. 00 376, 642. 41 Louis E. LATHROP, Cashier' Capital s t o c k p a i d i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 20,000. 00 2,013.94 90, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 164, 628.47 Notes a n d bills r e d i s c o u n t e d . Bills p a y a b l e Liabilities other than those above stated Total . 376, 642.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 189 IN D I A N A . First National Bank, Hammond. No. 3478. M. M. TOWLE, President. EDWARD E. TOWLE, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... * TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $100,815.05 332. 53 12, 500. 00 1, 300. 00 27, 000. 00 1, 200. 00 10,513.12 2, 042. 65 206. 67 9, 687.90 5,911.00 562.50 Capital stock paid in. State-bank notes outstanding 10, 000. 00 10, 037. 32 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 78, 784.10 Notes and bills rediscounted Bills payable Liabilities other than those above stated 12, 000.00 Total. 172,071.42 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 172, 071.42 First National Bank, Huntington. WILLIAM MCGREW, President. Loans and discounts Overdrafts U. S. bouds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankei s. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2508. $222,110. 54 25,666.66 300. 00 21,560.66 2, 306.17 1, 742.75 42.12 7, 094.66 152. 93 47, 500. 00 39, 076. 00 1,125. 00 1, 000. 00 SAEAH F. DICK, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 35, 000.00 3, 442. 49 22,500. 00 Due to other national banks Due to State banks and bankers. 4, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 204,007. 02 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 18, 949.51 18, 949. 51 Capital National Bank, Indianapolis. M. B. WILSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. TotaJ . No. 4158. $842,476. 75 1,865.07 50, 000. 00 10, 050. 00 7, 839. 65 27, 579.12 8, 000. 00 18, 317. 74 14, 821. 39 162, 329. 81 20, 319. 59 32. 724. 36 17, 837. 00 777.74 70, 241. 50 43, 500. 00 2, 250. 00 1,330, 929.72 "W. F. CHURCHMAN, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. $300, 000. 00 36, 000. 00 6, 988. 28 45, 000.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 183, 203.11 131,445.19 Individual deposits United States deposits. Deposits ofU.S.disbursing officers 628, 293.14 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. , 1, 330, 929. 72 190 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Indiana National Bank, Indianapolis. V. T. MALOTT, President. No. 984. EDWARD B. PORTER, Cashier. Liabilities. Resources. $2, 022, 395. 29 Loans and discounts 56.03 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... 150,000. 00 TJ. S. bonds to secure deposits 21G, 000.00 U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc 162, 500. 00 Bank'g bouse ,furniture,and fixtures1 Other real estate and mortg's owned 110, 601. 66 Due from other national banks ' 13, 359. 21 Due from State banks and bankers. Due from approved reserve agents. 429,166. 98 Checks and other cash items 115. 53 Exchanges for clearing house 79, 501.85 Bills of other national banks 158,000. 00 Fractional currency, nickels, cents. 1,109. 79 Specie 1, 005, 000. 00 Legal-tender notes 50, 000. 00 U. S. certificates of deposit Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer U. S 22, 673. 81 Total 4,472,730.15 Capital stock paid in. $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 600,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 388, 693. 42 373,197. 68 60,172. 90 45, 000. 00 Individual deposits 2, 587, 631. 84 United States deposits Deposits of U.S.disbursingofficers. *"ii8*634.~3i Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 4,472, 730.15 Merchants' National Bank, Indianapolis. O. N. FRENZEL, Cashier. No. i Loans and discounts $1,154, 792.11 Capital stock paid in. $1, 000,000.00 Overdrafts 547. 38 U. S. bonds to secure circulation... 250, 000. 00 Surplus fund 66, 500.00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand 300,000.00 expenses and taxes paid 15, 931.75 Premiums on U. S. bonds 49, 000. 00 National-bank notes outstanding. 225, 000. 00 Stocks, securities, etc 754, 329. 59 State-bank notes outstanding Bank'g house,furniture,and fixtures 25, 000. 00 Other real estate and mortg's owned Due to other national banks 247, 200. 90 Due from other national banks 179, 202. 89 16,447. 92 Due to State banks and bankers.. Due from State banks and bankers. 107, 524. 23 Due from approved reserve agents. Dividends unpaid 194,163.93 Checks and other cash items 11,425.48 Exchanges for clearing house 46, 245. 62 Individual deposits 1,860, 279.01 Bills of other national banks 65, 865. 00 United States deposits Fractional currency, nickels, cents. 539. 35 Deposits of U.S.disbursing officers. Specie 400, 214. 00 Legal-tender notes 85, 000.00 Notes and bills rediscounted U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. " 7, 510. 66 " Due from Treasurer U. S Liabilities other than those above stated J OHN P . FRENZEL, President. Total Total 3,431,359.58 3,431,359.58 First National Bank, Jeffersonville. No. 956. S. C. TAGGART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $274, 664. 22 428. 53 52, 300.00 57, 25. 5, 13, 4, 21, 939.30 000. 00 000. 00 472. 59 293. 92 070. 72 1, 673. 00 71.61 18, 017. 00 4, 000. 00 2, 353. 50 523. 00 480, 807. 39 H.E. HEATON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150, 000. 00 33,100.00 36, 567. 59 47, 070. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 304. 01 10, 589. 64 Individual deposits United States deposits Deposits of U.S. disbursing officers. 199, 945.15 231. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 480, 807. 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 191 INDIAN A. Citizens' National Bank, Jeffersonville. E D J . HOWARD, President. No. 1466. C. E. POINDEXTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate andmortg's owned Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $315,472.53 680.95 40, 000.00 7, 049.13 12, 900. 00 16,551.00 41, 753. 98 450.00 32.25 21,322.50 4, 025. 00 1, 800. 00 462,037. 34 Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 32,000.00 25,467, 04 36, 000.00 4, 693. 79 14,045. 27 20.00 199, 811. 24 462,037. 34 First National Bank, Knightstown. No. 872. C. D. MORGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes*. U. S. certificates of deposit Redemption fund with Treas. U. S. I)ue from Treasurer U. S $161, 978. 00 1, 650. 75 12, 500.00 4,100. 00 13, 789. 08 3, 406.11 14,266. 68 272. 35 3, 000. 00 201. 58 40, 400. 00 2, 925. 00 562.50 Total. TV. P . HILL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $50, 000.00 50, 000. 00 20, 205. 04 1], 250. 00 525.00 127,072. 01 259,052.05 Citizens' National Bank, Kokomo. E . RUDDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and. bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractiom 1 currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4121. $213,141.27 1,371.85 25, 000.00 27, 597. 46 27, 750. 21 44,166. 70 331. 45 18, 948. 24 12, 536. 90 4, 438. 00 183. 24 22, 925.10 15, 000. 00 1,125. 00 414, 515.42 G. E. BRUNER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 15, 000. 00 5, 221. 87 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable 271, 793. 55 Liabilities other than those above stated Total. 414,515.42 192 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Howard National Bank, Eokomo. NATHAN PICKETT, President. No. 2375. JOHN A. JAY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $299,186.20 1,112. 55 25, 000. 00 16,280.10 14, 300.00 475. 00 7, 073. 42 74,192. 20 4,930.47 6, 537.00 685. 71 29,142. 30 25, 500.00 825. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 5, 257. 60 22, 500. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 327, 482. 35 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 505, 239.95 Total. $100,000.00 Capital stock paid in. 505,239.95 Total . First National Bank, La Fayette. No. 2717. R. W. SAMPLE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixturesj Other real estate and mortg's owned1 Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $547, 746.42 2,197. 24 121, 250.00 H. W. MOORE, Cashier. Capital stock paid in. Surplus fund Undivided profits, loss current 100.00 expenses and taxes paid 10, 000. 00 National-bank notes outstanding. 6, 860.00 State-bank notes outstanding 35, 000.00 Due to other national banks 77, 450. 89 Due lo State banks and bankers.. 12,686.14 99, 569. 54 Dividends unpaid . 7, 760. 07 Individual deposits 6,807.00 United States deposits 150. 23 Deposits of U. S.disbursing officers 58, 640. 00 10, 000. 00 Notes and bills rediscounted. Bills payable 4, 806. 25 Liabilities other than those above stated 1,001,023.78 $125, 000. 00 65,000. 00 12, 700. 86 109,125. 00 6, 118. 26 48, 808. 67 634, 270. 99 1,001,023.78 Total. Fowler National Bank, La Fayette. J . M. FOWLER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3280. $374,927. 57 160. 23 40,000. 00 14, 650.00 4, 377.80 162,336. 62 30, 500.00 47,191. 23 190,307.65 7, 267. 93 15, 496.00 95.90 60, 660.00 5, 000.00 1, 800. 00 954, 770. 93 BROWN BROCKBNBROUGH, Cashier. Capital stock paid in. $100,000.00 Surplus fund ...,., Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000. 00 65,615.80 36, 000,00 Due to other national banks Due to State banks and bankers.. Dividends unpaid , 6,030.11 45,421.94 Individual deposits ,.. , United States deposits Deposits of U.S.disbursingofficers. 601,703.08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 954,770.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 193 INDIANA, Merchants7 National Bank, La Fayette, JAMES MURDOCK, President. No. 4468. C. MURDOCK, Cashier. Liabilities Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousc^furniture^ndnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit lledemption fund with Treas. U. S Due from Treasurer U. S $577, 248. 74 928.75 25, 000. 00 24, 000. 00 3, 000. 00 72, 073. 25 11, 000. 00 94, 057. 23 15, 239.12 110, 277.36 8, 286. 47 10, 000.00 279.19 59, 559. 50 8,000.00 1,125. 00 9.13 Capital stock paid in. 50, 000. 00 1,811.72 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 50,172. 22 43, 543. 53 Individual deposits United States deposits Depositsof U.S.disbursingofficer.s 752, 056. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1, 020, 083. 74 Total. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding... 1, 020, 083. 74 Total. Perrin National Bank, La Fayette. No. 4656. J. J. PEEBIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and niortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $308, 035. 82 394. 22 100, 000. 00 27, 000. 00 3, 766. 25 4, 260. 00 28, 000.00 39, 097. 30 110.25 41, 349. 45 2, 097. 23 2, 520. 00 65.69 16, 740. 50 10, 000. 00 4, 500.00 W. H. PERRIN, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 16,000. 00 4, 956. 75 90,000,00 21, 683.20 10, 272. 94 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingolncers 345, 023. 82 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 587, 936.71 587, 936.71 Total. National Bank, La Grange. SOLOMON ROSE, President. $114,045.56 12,500.00 796. 88 1, 313.09 2, 236.49 154.16 1,366.00 11.35 8,160. 25 1, 500. 00 562.50 142, 646.28 Total. CUR, PT 2 J . I. NORRIS, Cashier. No. 4972. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cen ts. Specie Legal-tender notes U. S. certificates of deposit lledemption fund with Treas. U . S . Due from Treasurer U. S 13 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 4, 096. 81 9, 250. 00 Due to other national banks Due to State banks and bankers ' Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 79, 299.47 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total. 112, 646. 28 194 REPORT OF THE COMPTROLLER OF THE CURRENCY. IN D I A N A , First National Bank, La Porte. WILLIAM NILES, President N o . 377. R. E. MOBBISON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks .j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $245, 027. 27 1,186. 76 25, 000. 00 10,000. 00 1,175. 62 1, 291.54 12, 598. 91 622.15 1, 200.00 198. 45 31,538.55 1, 440. 00 1,125. 00 Capital stock paid in. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 25,000.00 805. 86 21, 677. 50 2, 730. 53 182.190. 36 Notes and bills rediscounted Bills payable Liabilities other than those above stated 332,404.25 Total . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. Total 332, 404.25 Citizens' National Bank, Lawrenceburg. EDWARD D. MOORE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures dther real estate and mortg's owned' Due from other national banks j Due from State banks and bankers. • Due from approved reserve agents. i Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total. No. 4281. $93, 844. 78 183. 30 12, 500. 00 1, GOO. 00 1, 500. 00 1, 977.90 4, 790.18 32,985. 77 2, 300. 00 116.00 11, 423. 68 3, 216.00 562. 50 167, 000.11 WILLIAM D. H. HUNTEE, Cashier. Capital stock paid in Surplus fund Undivided profits, less currer.t ! expenses and taxes paid I National-bank notes outstanding.! State-bank notes outstanding.. $50,000.00 8,500.00 2, 395.06 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 94, 855.05 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 167,000.11 People's National Bank, Lawrenceburg. ¥ M . PROBASCO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g L.ouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S Total. No. 2612. $92,137. 65 217.10 37, 500.00 P. BRAUN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current 1, 000. 00 expenses and taxes paid 3, 609. 79 National-bank notes outstanding. 44, 650. 00 State-bank notes outstanding $100,000.00 10,156.00 3, 208. 83 33, 750.00 4,645.63 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 3, 000. 00 United States deposits 98.81 Deposits of U.S.disbursing officers. 34,891.13 6, 000. 00 31, 546. 39 332. 06 10, 095. 00 4,500.00 1,687.50 275,911.06 894.43 127,901. 80 Notes and bills rediscountedBills payable Liabilities other than those above stated Total. 275, 911.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 195 INDIANA. First National Bank, Lebanon. No. 2057. G. W. BAIRD, President Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bilisfof other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $138,616. 83 7, 03(5. 66 50, 000. 00 6, 775. 00 504.55 7, 038. 74 21,814.80 2,199.54 3, 740. 00 151.66 18, 004.45 6, 000. 00 2, 250. 00 40.00 Capital stock paid in. $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 26,000.00 4, 096.53 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 114, 075. 70 Liabilities other than those above stated 264,172.23 Total. WES LANB, Cathier. Liabilities. Total. 264,172.23 Lebanon National Bank, Lebanon. A. C. DAILY, President. No. 2660. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $170, 514.70 3,514. 62 30, 000. 00 40, 500.00 3, 000. 00 35, 586. 33 $75,000.00 20,000.00 6,911.94 27, 000. 00 14,100.00 24, 400.02 3,746. 97 26, 580. 29 5, 736. 59 Due to other national banks Du© t© State banks and bankers. Dividends unpaid Individual deposits 3, 530.00 United States deposits 204.15 Depositsof U.S.disbursingoflicers. 22,992. 55 2, 000.00 Notes and bills rediscounted. Bills payable 1, 350. 00 Liabilities other than those above stated 387,756. 22 Total. E. T. LANE, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 258, 844.28 387, 756. 22 Union County National Bank, Liberty. J. E. MOEBIS, President. Loans and discounts. Overdrafts U. S. bonds to seoure circulation .«. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,»nd fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2007. H. HUSTBD, Cashier. $148,104.35 Capital stock paid in . $50,000.00 78.27 25, 000. 00 Surplus fund 30,000.00 Undivided profits, less current expenses and taxes paid 4, 643. 30 National-bank notes outstanding. 22, 500. 00 5,192. 20 State-bank notes outstanding 6, 500.00 Due to other national banks Due to State banks and bankers. 8,517.63 Dividends unpaid 525.27 Individual deposits 1, 650. 00 United States deposits 31.89 Depositsof U.S.disbursingofficers. 13, 645. 00 4,000. 00 Notes and bills rediscounted. Bills payable 1,125.00 244, 369. 61 Liabilities other than those above stated Total. 137,226.31 244, 369. 61 196 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Logan sport. No. 3084. A. J. MURDOCH, President. W. W. Ross, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. 2,456. (56 50,000.00 23, 456. 77 13, 000. 00 8,424.58 65,139.20 1, 850. 23 "io'666'oo" 368.94 70, 383.00 2,100. 00 $250, 000. 00 Capitalatock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14, 750.64 6,188. 03 41,850, 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 223,599. 79 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 536, 388. 46 536, 388.46 State National Bank, Logansport. No. 2596. JNO.F.JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtnres Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $523, 800. 73 3,895. 21 50, 000. 00 10,000.00 12, 600. 00 8, 594.47 11,311.98 48, 766.79 4,235. 66 25, 743. 00 600. 92 56, 256.00 45,997. 00 2, 250. 00 3,300.00 H. J . HEITBRINK, Cashier. Capital stock paid in $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40,415,41 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 670. 29 55, 000. 00 Individual deposits United States deposits Deposits of II.S.disbursing officers. Notes and bills rediscounted. Bills payable 462, 266. 06 I Liabilities other than those above stated 807, 351.76 Total . 807, 351.76 First National Bank, Madison. RICHARD JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 111. $254, 816.61 811.72 25, 000. 00 1.900.00 3, 081. 70 37, 691, 92 9,000. 00 5, 378. 71 29, 803. 06 1, 658.06 45, 669. 08 607. 44 "i,576.66' 111,06 40, 261.20 22,108. 00 THOS. A. POGUE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100,000.00 20,000.00 9,252.07 22,500. 00 2,168. 65 Dividends unpaid Individual deposits United States deposits Deposits 01 U.S.disbursing officers. 326, 672. 84 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 480, 593. 56 Total. 480, 593. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 197 INDIANA, National Branch Bank, Madison. No. 1457. FRANK L. POWELL, President. DAVID G-. PHILLIPS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasury TJ. S Total. $482, 835. 50 8, 286. 56 50, 000. 00 Capital stock paid in. ;15O, ooo. oo Surplusfund Undivided profits, less current 550.00 expenses and taxes paid National-bank notes outstanding. 38, 323. 05 State-bank notes outstanding 80, 000. 00 48, 949.11 45, 000. 00 7, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 4, 500. 00 United States deposits 53.55 DepositsofU.S.disbursingonicers. 6,817. 68 356. 76 12, 405. 60 5. 00 81, 752. 80 4,271.00 2, 250. 00 1,000. 00 700,467.51 1,513.46 1,833.86 373, 071. 08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 700,467.51 First National Bank, Marion. No. 4189. H. D. REASONER, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $305, 060. 38 12, 323. 45 25,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 30,000.00 10, 971. 99 22,500.00 600. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 19,706. 00 United States deposits 350. 32 Deposits of U.S.disbursing officers 837.16 9,244.80 30, 720. 38 9,280.08 257, 614.52 25, 000. 00 3,125.00 400. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 430, 367.49 Total. A. B. MORRISON, Cashier. Capital stock paid in. Total. 430, 367. 49 First National Bank, Martinsville. A. E. GRAHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 794. $109, 922.62 489. 62 30,000. 00 8, 267. 33 3, 000. 00 10, 533. 00 8,133. 77 4,488. 63 16,159. 20 1, 500.00 185. 32 14,700. 00 5, 000. 00 1, 350. 00 213, 729.49 C. A, MCCRACKEN, Cashier. Capital stock paid in. Surplusfund Undivided profits, loss current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. $70,000.00 15, 000.00 1,365.03 27, 000.00 1, 556.95 8,806.91 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 213,729. 49 198 BEPORT OF THE COMPTROLLER OP THE CURRENCY. INDIANA. Citizens' National Bank, Martinsville. J . T . C U N N I N G H A M , President. No. 4964. W I L L I A M D. FRAZEB, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other real estate and mortis ownoi! Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items.". Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of depoait Redemption fund with Treas.U. S. Due from Treasurer U. S 17, 758. 21 15, 000. 00 12, 060. 00 1, 047. 39 4, 979. 42 10.00 14, 273. 34 600. 07 560. 97. 9, 651. 9, 895. 00 22 45 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes j>aid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 1, 500. 00 1, 265. 55 13, 240. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,311.37 1, 927. 70 Individual deposits United States deposits Deposits of U.S. disbursing officers 97, 950. 58 Notes and bills rediscounted. Bills payable 662.00 Liabilities other than those above stated Total Total. 167,195. 20 First National Bank, Michigan City. WALTER YAIL, President. No. 2747. Loans and discounts Overdrafts U. S. bonds to secure circulation... IJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $469, 870.26 274.16 50, 000. 00 3, 000. 00 22, 599. 78 2, 289. 43 38, 925.19 190.13 75.00 613.87 33, 756.25 6, 662. 00 2, 250. 00 W. H. SCHOENEMANN, Cashier. Capital stock paid in. Surplus fund Undivided profits, le«s current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $250,000.00 50, 000. 00 4, 656.71 44,120.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,158. 66 697. 70 Individual deposits United States deposits Depositsof U.S.disbursingofficers - 279,873.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 630, 506. 07 630, 506. 07 First National Bank, Mount Vernon. A. C. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gfcouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 366. $149, 002.59 9, 890. 00 100,000. 00 36,523.45 10, 000. 00 22, 782. 83 4, 000. 00 322. 48 2, 555. 02 110.21 "3," 855." 66' 42.75 11, 000. 00 5,000. 00 E. W. ROSENKRANS, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding $100,000.00 30,000.00 12, 738. 52 90, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 510. 36 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 99, 364. 81 Notes and bills rediscounted. Bills payable 529.36 Liabilities other than those above stated 335, 613.69 Total. 335,613. 69 REPORT OP THE COMPTROLLER OF THE CURRENCY. 199 INDIANA. Farmers' National Bank, Mulberry. No. 4801. HENRY C. HARRIS, President. J. M. SIMS, Cashier. Liabilities. -tlesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $78, 673. 49 14.10 50, 000.00 Capital stock paid in. $50,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid 6,200.00 ! National-bank notes outstanding. State-bank notes outstanding 1, 500.00 3,264. 78 45, 000. 00 8,592.55 Due to other national banks '7*757." is" Due to State banks and bankers. 2,201.14 1,465.00 107.13 3, 812.50 1, 000. 00 2, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers . Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 1C2, 073.06 62, 294.18 14.10 162, 073. 06 Citizens' National Bank, Muncie. No. 2234. G-. W. H. KEMPER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds* Stocks, securities, etc Bank'g house,furniture, and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agenta>. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $286, 870. 40 2, 744. 79 50,000. 00 3, 250. 00 7, 885.0G 755. 32 2, 874. 81 11,145. 57 48,859.19 869. 26 3, 094. 77 1,010. 00 55.11 30,844. 60 3, 000. 00 "*2," 250." bo" C. M. TURNER, Cashier. Capital stock paid in. $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 12, 555. 82 3,491. 77 43, 980. 00 56.00 195,425. 23 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 455, 508. 82 455, 508. 82 Delaware County National Bank, Muncie. EMMET M. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and naortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 4809. $318,323. 94 2,267.12 25, 000.00 1, 4 ' 4, 10, 26, 5, 750. 00 290. 00 785.00 400. 00 412. 65 539.18 424. 39 228. 20 4,334. 00 616.12 17,176. 00 17, 000.00 1,125. 00 400.00 440,081.60 C. H. CHURCH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 7,000.00 10, 892. 86 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 999. 25 13,731.23 Individual deposits United States deposits Deposits of U.S. disbursing officers. 284, 958. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 440.081. 60 200 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Farmers' National Bank, Muncie. No. 4674. GEO. "W. SPILKEB, President EDWARD OLCOTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghou8e,furniture,andfixturea Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $239, 622. 64 86.92 26, 000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 16, 000. 00 5, 550.99 22, 940. 66 3,500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 27. 25 3,613.14 7,156. 00 112. 67 19, 071. 25 15, 000. 00 1,147.00 I i Individual deposits I j United States deposits Deposits of U.S.disbursing officers 234,154.90 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 378, 645. 89 Total. 378,645.89 Merchants' National Bank, Muncie. HARDIN EOADS, President. No. 4852. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on h a n d P r e m i u m s on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtu res Other real estate and mortg's owned D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house Bills of other national banks Fractional currency, n i c k e l s , c e n t s . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund w i t h Treas. U. S. D u e from T r e a s u r e r U. S Total. FRANK A. BROWN, Cashier. $224,118.45 Capital stock paid in 392.59 ! 25,000.00 ! Surplus fund 2, 500. 00 24, 59J. 30 3, U00. 00 11,674.68 9, 591. 73 27, 648.47 1,031.05 4,000.16 6,100. 00 $100, 000.00 10,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits 450. 58 Deposits of U.S. disbursing officers.; 13, 908. 50 9, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 700. 00 Liabilities other than those above stated 364, 832. 51 6, 320. 32 22, 500. 00 6,511.15 219, 501.04 364, 832.51 Total. First National Bank, New Albany. S. A. CULBERTSON, President. Loans and discounts Overdrafts X . S. bonds to secure circulation... T TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furn iture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 701. $318, 268. 32 589. 29 52, 000. 00 88,107. 40 17, 000. 00 10, 298. 01 19, 767. 94 5,554. 51 85,188. 04 579. 00 " -i,666.66 19.43 16, 821.00 6, 305. 00 2, 292. 50 630, 790.44 J . A. HUTTON, Cashier. Capital stock paid in.. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 21,000 00 8, 724.64 45,850. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 166.07 5,403.43 Individual deposits United States deposits Depositsof U.S.disbursing officers. 348, 890. 30 756.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 630,790.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 201 INDIANA. Second National Bank, New Albany. LAWRENCE BRADLEY, President. No. 216G. EDWARD B. LAPPING, Cashier. Kesources. Liabilities. Loans and discounts $145, 737. 72 Capital stock paid in Overdrafts ! U. S. bonds to secure circulation... 25, 000. 00 j Surplus fund fund. U. S. bonds to secure deposits j Undivided profits, less current TJ. S. bonds on hand j expenses and taxes paid Premiums on TJ. S. bonds ; National-bank notes outstanding. Stocks, securities, etc ' 12, 750. 00 j State-bank notes outstanding Bank'ghouse,furniture, and fixtures 8,819.35 j Other real estate and mortg's owned Due to other national banks Due from other national banks Due to State banks and b a n k e r s . . Due from State banks and bankers. 45. 41 Due from approved reserve agents. 107, 500.41 Dividends unpaid Checks and other cash items 102.50 Exchanges for clearing house Individual deposits Bills of other national banks 1, 602. 00 United States deposits Fractional currency, nickels, cents. Deposits of U.S.disbursing officers.1 Specie 5, 679. 00 Legal-tender notes 13, 340. 00 Notes and bills rediscounted. U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 1,125. 00 Due from Treasurer U. S 2. 50 Liabilities other than those above stated 321, 704. 87 Total. $100, 000. 00 20, 000.00 2,187.45 22,500. 00 2,127. 09 174, 890. 33 321, 704. 87 Total. Merchants' National Bank, New Albany. N. T. D E PAUW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'guouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S No. 965. ;2G2, 321.76 51.48 25,000. 00 10, 000. 00 10, 000. 00 23, 530.95 9, 050. 78 81,111.39 260. 61 4, 225. 00 609. 40 14, 565. 00 2, 035. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100,000.00 50, 000. 00 53, 975. 43 22, 500. 00 8, 780. 89 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 208, 630.05 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 443, 886. 37 Total. J . H. FAWCETT, Cashier. Capital stock paid in.. 443, 886. 37 Total. New Albany National Bank, New Albany. J . F. MCCULLOCH, President. Loans and discountsOverdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixture? Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificate* of deposit Redemption fund with Treaa. U. S Due from Treasurer U. S Total. No. 775. $293, 473. 50 689.80 50, 000. 00 38, 025. 00 15, 000.00 11,660.04 2, 787. 95 26, 330.30 387.41 580.00 155.49 8, 315. 50 7, 879. 00 GrEO. BORGERDING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $200, 000. 00 40,000.00 9,191. 65 45, 000. 00 1,560. 73 193.13 100. 00 162, 088.48 Notes and bills rediscounted. Billspayable 2, 250. 00 Liabilities other than those above stated 458,133.99 Total. 458,133. 99 202 REPOET OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Newcastle. W. F. BOOR, President. No. 804. E. B. PHILLIPS, Oashisr. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds $248, 289. 65 326. 66 25,000.00 I I Stocks, securities, etc | Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national jbauks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S 18, 760. 00 6, 300. 00 859. 58 15, 594.09 17, 048. 54 1,586. 72 3, 667. 00 251.18 5, 354.00 12, 000. 00 1,125.00 Capital stock paid in. 40, 000.00 17,117.36 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 176, 545.06 Notes and bills rediscounted Bills payable Liabilities other than those above stated 356,162. 42 Total . $100,000.00 Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 356,162.42 Total . First National Bank, Noblesville. MARION ALDRED, No. 4882. President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds $94, 897. 28 1,676.45 12,500.00 j I Stocks, securities, etc | Bank'g house,furniture,and fixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S 1,284.38 15, 805.20 3, 605. 78 12, 209.44 3,064.15 1, 072. 89 800. 00 48.02 10,157. 05 6, 500. 00 $50, 000.00 Surp] us fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,000. 00 1, 255. 73 11, 250. 00 Due to other national banks Due to State banks and b a n k e r s . 244.50 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 9,432.91 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 164,183.14 Total. GEO. S. CHRISTIAN, Cashier. Capital stock paid in . 164,183.14 Total. Lawrence National Bank, North Manchester. AUG. C. MILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned i Due from other national banks i Due from. State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3474. J. W. MILLS, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3,386.96 !; State-bank notes outstanding 10,000.00 !| 1,262.00 I Due to other national banks 5,1(16.48 !j Due to State banks and b a n k e r s . . 3,824.65 i| 1,490.57 ! Dividends unpaid l 785.60 !| Individual deposits 1, 776. 00 United States deposits 855.94 Deposits of U.S. dibursing officers.! 6, 324. 00 9,000. 00 Notes and bills rediscounted Bills payable 10, 000. 00 $153, 465. 93 11,337.06 20, 000. U0 966.66 1, 586. 06 18, 000. 00 900.47 132, 088. 66 6, 000. 00 11, 000.00 Liabilities other than those above stated 229, 575.19 Total . 229, 575.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 203 INDIANA. First; National Bank, North Vernon. J O H N OVERMYER, President. N o . 4678. Resources, Loans and discounts Overdrafts TJ. S. bonds to secure circulation.... U. S. bonds to secure deposits - - TJ. S. bonds on hand Premiums on U. S. bonds Stock s, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. A L B E R T A . T R I P P , Cashier. Liabilities. $106,485.29 Capital stock paid in 155.68 1 15, 000. 00 j Surplus fund Undivided profits, less current expenses and taxes paid 1, 800. 00 National-bank notes outstanding. 17, 971. 54 State-bank notes outstanding $60,000. 00 2, 200.00 1, 782. 81 13, 500. 00 5, 000. 00 Due to other national banks 150.60 6,127. 24 Due to State banks and bankers.. 4, 994. 35 Dividends unpaid 1, 879. 33 Individ ual deposits 2, 865. 00 United States deposits 115.29 Depositsof U .S.disbursing officers. 7, 743. 40 2, 594. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 173, 556. 72 Total. 403.75 90, 670.16 5, 000. 00 G75. 00 173, 556.72 First National Bank, Peru. No. 363. M. SHIRK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtuies Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agent s. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. 8. Due from Treasurer U. S $911,253. 09 8, 850. 99 25, 000. 00 7, 388. 52 44, 541. 55 27, 333.94 88, 343. 81 4, 815. 04 10,773. 1,495. 62,191. 20, 000. 00 00 00 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers $100,000. 00 95, 745.58 16,119.20 22, 500.00 29, 842. 02 949,604.14 Notes and bills rediscounted 1,125. 6o" Bills payable 700.00 1, 213, 810. 94 Total. R. A. EDWARDS, Ca$hi$r. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Liabilities other than those above stated Total..'. 1, 213,810. 94 Citizens' National Bank, Peru. C. H . BROWNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks aod other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. 3. Due from Treasurer U.S Total No. 1879. Capital stock paid in $148, 008. 50 1, 576. 93 25, 000. 00 :: 0,665. 78 17, 000. 00 39, 73$. 42 6, 688.45 19,323. 53 3, 530. 59 1,696." 66 545.03 24, 350. 00 3,500. 00 575. 00 M. S. ROBINSON, Cashier. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 20, 000.00 7,448. 09 19, 440. 00 Dae to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. 50.00 184, 260.14 Notes and bills rediscounted Bills pay able Liabilities other than those above stated Total 331,198. 23 331,198.23 204 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank of Marshall County, Plymouth. M. A. 0. PACKAED, President. No. 2119. JAS. A. GILMORK, Cashier. Resources. Loans and discounts O verdrai ts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums onU S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other ci:sh items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notevS U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $186,912.41 7, 965. 88 12, 500.00 6,270.69 5, 793. 60 9, 923. 89 4, 243.99 5, 965.' 00 376. 58 21, 210. 00 562. 50 Capital stock paid in. Dae to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 15,000.00 7, 509. 47 11, 250. 00 250. 00 177, 715. 07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 261, 724. 54 Total. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 261, 724.54 People's National Bank, Princeton. W. P. WELBORN, Cashier. No. 2180. W. L. EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house...... Bills of other national banks Fractional currency, nickels, cents. Specie Legil-tender notes U. S. cer? ificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. $193,730.91 330.14 25, 000. 00 16,654. 00 12, 500. 00 19, 695.42 3,951.41 10, 616.10 1,767.81 3, 800. 00 198. 20 21,722.45 5,150. 00 1,125. 00 1,000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 6, 297. 46 22,400. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 436. 06 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 163,107.92 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 317,241.44 317, 241.44 First National Bank, Richmond. JAMES E. REEVES, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'u house furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. ichecks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 2680. $495, 209.54 11, 019. 04 50,000. 00 5, 500. 00 10, 000.00 25, 000. 00 45, 043. 60 3, 354. 90 1,089.78 13,308.28 2,104. 75 15, 000. 00 442. 78 21, 000. 00 97,500. 00 2, 250.00 797, 822. 67 J. F. REEVES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank no'es outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $200, 000. 00 50,000.00 53, 959.47 44, 550.00 2, 063. 38 447, 249.82 Notes an d bills rediscounted Bills payable Liabilities other than those above stated Total. 797,822.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 205 INDIANA. Second National Bank, Richmond. No. 1988. W M . G-. SCOTT, President. Resources. Loans and discounts Overdrafts U. S.bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bond% on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer TJ. S $647, 975.10 2, 634. 37 37, 500.00 Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 79, 000.00 22, 300. 00 6, 200. 00 Due to other national banks 9, 633.19 Due to State banks and bankers. 1, 223.42 30, 880. 59 Dividends unpaid 508.54 Individual deposits 20,900.66 United States deposits 98.14 Deposits of U.S.disbursing officers 78, 800. 00 90, 000.00 Notes and bills rediscounted. Bills payable 1, 687. 50 26.00 Liabilities other than those above 1, 029, 366.85 Total. JOHN B. DOUGAN, Cashier. Liabilities. stated Total . 135,000.00 4, 288. 32 33, 750.00 3,907. 93 723. 26 701, 697. 34 1, 029, 366. 85 Union National Bank, Richmond. No. 3413. JESSE CATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Spanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. $247,141.51 2,906. 44 25, 000. 00 4, 000, 00 15, 300. 00 18, 596. 04 6,534.13 1, 929. 97 2, 690. 00 72.94 26, 500. 00 12,000. 00 1,125.00 363, 796.03 GrEO. L. CATES, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding.. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits o f U. S.disbursing officers. 16, 000.00 5, 208.43 22, 500. 00 8, 756.09 211,331.51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 363, 796. 03 National Bank, Rising Sun. No. 1959. S. BEYMER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. $144, 426.99 85,666.66" 2, 1, 54, 3, 350. 00 676.25 820.00 900. 00 8, 275. 62 11, 205. 32 205. 77 982. 00 11.82 7,495.00 6,189. 00 2,815. 00 329, 352. 77 J. N. PERKINS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 20,000.00 18, 749. 64 75, 840.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. I 114,763.13 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 329, 352.77 206 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. National Bank, Rockville. No. 2361. S. L. MCCUNB, President. F.H.NICHOLS, Cashier. Resources. Loans and discounts O v^erdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bondson hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg'a owned Due from other national banks Due from State banka and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total . Liabilities. $179, 059. 35 Capital stock paid in | $100, 000. 00 3,fi04.61 50, 000. 00 Surplus fund 19,500.00 Undivided profits, less current # expenses and taxes paid 2, 536. 93 6. 000. 00 National-bank notes outstanding. 44, 000. 00 State-bank notes outstanding 15, 500. 00 1,173. 57 Due to other national banks 12, 955. 88 Due to State banks and bankers. 15,128. 61 Dividends unpaid 840.97 Individual deposits 144, 708.18 3,175. 00 United States deposits 244.87 Deposits of U.S.disbursing officers. |. 10, 982. 25 9, 290. 00 Notes and bills rediscounted. Bills-payable 2, 250.00 Liabilities other than those above 310, 805.11 stated Total. 310, 805.11 Rush County National Bank, Rushville. No. 1869. L. LINK, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,farniture,and fixtures! Other real estate andmortg's owned Due from other national banki Due from State banks and bankers. Due from approved reserve agents. Checks and other cash itemr Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $227,322.12 3,137.65 25, 000. 00 3, 000.00 10, 000.00 33,913.02 1,200.94 5, 235. 00 106. 94 15, 695. 00 1,125. 00 E . D . P U G H , OashUr. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 30, 000. 00 5, 842. 63 22, 200. 00 Due to other national banks Du» to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursin g officers. 167, 693. 04 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 325,735. 67 325, 735. 67 Rushville National Bank, Rushville. GEORGE C. CLABK, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's ownedJ Due from other national banks Due from State banks and bankers.' Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 1456. $233, 068.00 1,181. 53 25,000. 00 346. 00 10, 000. 00 1, 500. 00 11, 634. 38 79, 647.40 4,181. 00 36.37 34,365. 75 1,000.00 1,125.00 310. oe 403, 395.43 E.PAYNE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank note* outstanding. State-bank notes outstanding $100,000.00 35, 000.00 16, 853. 33 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid . Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 229,042.10 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 403, 395.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 207 INDIANA. First National Bank, Seymour. J A S . L. GARDINER, President. No. 1032. Resources. Loans and discounts. Overdrafts U . S. b o n d s t o secure c i r c u l a t i o n . . . U . S. b o n d s t o s e c u r e d e p o s i t s U . S. b o n d s on h a n d P r e m i u m s on U . S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures' Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $166,172.09 1, 004. 32 25, 000.00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 42, 617. 97 8, 700. 00 21, 280. 00 Due to other national banks Due to State banks and bankers. 68, 706.43 Dividends unpaid 809.45 Individual deposits 7, 905. 00 United States deposits 119.78 Deposits of U.S.disbursing officers. 19,835.40 8, 737. 00 Noteg and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above 372, 012.44 Total. GEO. H. MURPHY, Cashier. Liabilities. stated Total . 40,000. 00 5,810.41 21,750.00 204, 452. 03 372,012,44 Seymour National Bank, Seymour. No. 4652. B. F . PRICE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andflxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. E. D. BROWN, Cashier. $152, 959. 69 101.43 25, 000.00 Capital stock paid in.. Surplus fund Undivided profits, less current expenses and taxes paid 2, 805. 00 National-bank notes outstanding. 9, 481. 49 State-bank notes outstanding $100, 000.00 2,900. 00 1, 365. 77 22, 500. 00 3, 775. 00 13, 384. 23 492. 22 Due to other national banks Due to State bankg and bankers. 10,120.27 Dividends unpaid 413. 46 Individual deposits 1, 845. 00 United States deposits 21.79 Depositsof U.S.disbursingofncers. 7, 545.30 1, 000. 00 Notes and bills rediscounted. Bills payabl e 1,125.00 Liabilities other than those above 400.00 stated 230,469. 88 Total. 103, 704.11 230,469. 88 First National Bank, Shelbyville. JOHN MESSICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchange* for clearing house Bills of other nationalbanks Fractional currenoy, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1263. $350,223. 83 3.150. 54 25, 000. 00 JOHN A. YOUNG, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 2, 500. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 3, 600.00 United States deposits 1, 262. 97 Depositsof U.S.disbursingofficers. 9,977. 77 7,898.47 48, 888.45 1, 318. 92 38, 800.00 2,100. 00 1,125. 00 495, 845.95 $100,000.00 50,000.00 23,312. 60 22, QOO. 00 1, 659. 96 298, 873. 39 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 495,845.95 208 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Farmers' National Bank, Shelbyville. JAMES S. JEFFERS, President. No. 4800. S. P. MCCREA, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums OH U. S. bonds Stocks, securities, etc Ban'k'ghouse,furniture,and fixtures, Other real estate and inortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . Liabilities. $144,988.12 2, 720. 78 25, 000. 00 3, 000. 00 3*666.66 3, 510. 94 7, 688.16 925.43 5, 040.00 106. 98 8, 610. 00 2, 700. 00 1,125. 00 Capital stock paid in. $100,000.00 Surplus fund Onciivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Duo to other national banks Du© to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 3, 500. 00 3, 903. 56 22, 500. 00 242. 00 78, 269.85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 208, 415. 41 208, 415.41 Total . First National Bank, South Bend. Lucius HUBBARD, President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation.. . TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 126. $304, 514. 66 608. 04 40,000. 00 6, 400. 16, 382. 3, 600. 8, 336. 00 00 00 29 29, 204. 01 2, 348. 08 6, 428.00 336. 59 27, 298. 80 8, 000. 00 1,800.00 $105, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 52, 000. 00 16, 457.17 35, 350. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of CJ. S.disbursing officers. 246, 539. 30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 455, 346. 47 Total. C. A. KIMBALL, Cashier. Capital stock paid in. 455, 346.47 Citizens' National Bank, South Bend. GEO. W. LEWIS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures1 Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4764. $148, 221. 39 1, 249.91 50,000. 00 6, 050. 00 22, 560.00 9,131.35 2, 244.55 7, 984.47 433. 29 3, 083. 00 75.85 13, 708. 65 C. T. LINDSEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 10, 000. 00 3, 437.11 43, 700. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 107,378. 00 2,477.35 2, 250. 00 Liabilities other than those above stated 266,992.46 Total. 266, 992.46 REPORT OP THE COMPTROLLER OF THE CURRENCY. 209 I N D I A H A. T South Bend National Bank, South Bend. W M . MILLER, President. No. 1739. MYRON CAMPBELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $194,944. 53 2, 775.95 100,000.00 17, 674. 86 31, 848. 43 1, 600. 25 20, 014. 45 877.09, 2, 980. 00 250. 09 23, 389.00 2, 000.00 Capital stock paid in 25,000.«e 11,821.58 90, 000. 00 Due to other national banks Due to State banks and bankers. Dividends u n p a i d Individual deposits United States deposits Deposits of U.S.disbursingoflicers.! 173, 589.17 Notes and bills rediscounted. Bills payable- 2, 055.50 Liabilities other than those above stated Total. 400,410.75 Total. $100,000.00 Surplus fund Undivided p t s , less current profits, l s expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 400,410.75 First National Bank, Terre Haute. D. DEMING, No. 2742. President. Loans and discounts Overdrafts • U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonda on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickeLs, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total $1,110,298.70 2,233.14 50,000.00 BERTIS MCCORMACK Cashier. Capital stock paid in. $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 46, 826. 54 State-bank notes outstanding 46,189. 22 Due to other national banks 41,882. 24 Due to State banks and bankers.. 14, 906.72 152, 861.49 Dividends unpaid 1, 306.79 Individual deposits 11, 280. 00 United States deposits 208. 73 DepositsofU.S.disbursingofficers. 167,203. 50 10, 000.00 Notes and bills rediscounted Bills payable 2,250. 00 Liabilities other than those above stated 1,656,947.07 Total . 300,000.00 207, 805. 33 44, 300. 00 20, 668.74 3, 665. 33 780, 507. 67 1, 656, 947.07 National State Bank, Terre Haute. PRESTON HUSSEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallmnks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUB, PT 2 14 No. 1103. $425,971.45 3, 902.20 100, 000. 00 40, 000. 00 18, 000. 00 7, 000. 00 18, 653. 07 6, 764.40 28, 439.74 3, 841.06 8,153.00 495. 85 24,145.25 42, 000. 00 "W. E. DONAGHOB, Cashier. Capital stock paid in $200,000.00 Surplus fund Undivided profits, leas current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40,000.00 Due to other national banks Due to State banks and bankers.. 258. 22 «, 124.61 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofncers. 41,653.84 87,350.00 69.50 352,159.85 Notes and bills rediscounted. Bills payable 250. 00 Liabilities other than those above stated 727, 616. 02 Total. 727,«16.02 210 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Vigo County National Bank, Terre Haute. B. G. HUDNUT, President. No. 3929. G-USTAVE A. CONZMAN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate andraortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $398, 252.15 4,389.91 37, 500. 00 900. 00 3, 867. 00 Capital stock paid in. 3, 000. 00 1, 760. 35 Due to other national banks 28. 024. 00 Due to State banks and bankers. 202.93 27, 823. 02 Dividends unpaid 18, 771. 64 Individual deposits 10, 085. 00 United States deposits 97.25 Deposits of U.S.disbursing officers 35, 500. 00 19, 500. 00 Notes and bills rediscounted Billspavable 1, 687. 50 Liabilities other than those above 30, 000. 00 11,527.34 33, 450. 00 4, 643. 31 34, 820.11 45.00 313, 874. 99 13, 000. 00 stated Total. 591, 360.75 i Total. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 591,300.75 First National Bank of Porter County, Valparaiso. No. 2704. D E FOREST F . SKINNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fnrniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total - $151, 574. 64 1,154.11 100, 000. 00 5, 812. 50 72, 500.00 11,000.00 55.00 404.83 46, 005. 06 848. 52 "2,246.66 115.15 22, 609.25 11, 500. 00 4, 500. 00 430, 325. 06 E. BALL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. $100, 000. 00 20, 000.00 8,910.62 90,000.00 364. 93 211, 049. 51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 430, 325. 06 Farmers' National Bank, Valparaiso. JOSEPH GARDNER, President. Loans and discounts f Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'g house, furniture, andfixti ires Other real estate and mortg'a owned! Due from other national banks Due f <om State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2403. $81, 769. 74 Capital stock 609.11 12,500.00 Surplus fund 13, 3, 134, 2, 850. 00 500. 00 716.46 823. 00 42,821.69 956.49 810. 00 207.96 19, 751. 50 6, 000. 00 212. 50 320, 528. 45 G. F. BARTHOLOMEW, Cashier, paid in. $50, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000.00 6, 817.19 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 153. 63 20,443. 08 Individual deposits United States deposits Deposits of U.S.disbursing officers. 211, 864. 55 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 320,528.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 211 INDIANA. First National Bank, Vernon. No. 4688. J. W. HILL, President. JOHN S. MORRIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $53,165. 87 38.71 12, 500. 00 Capital stock paid in. 2,125. 00 1,160. 92 11, 250. 00 7, 048. 90 5, 208. 71 Due to other national banks Due to State banks and bankers. 24, 209. 09 Dividends unpaid 72.82 Individual deposits United States deposits 128. 24 DepositsofU.S.disbuTsingoiiicers.! 4, 739.80 i 5, 380. 00 Notes and bills rediscouuted Bills payable 562. 50 Liabilities other than those above stated 119,731.14 Total . $50,000.00 Surplus fund Undivided profits, less current 4, 000. 00 expenses and taxes paid 1,810. 00 National-bank notes outstanding 866. 50 State-bank notes outstanding Total. 102.00 55, 093. 22 119,731.14 First National Bank, Vevay. C. S. TANDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andiixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ALBERT G. CRAIG, Cashier. No. 346. $50, 000.00 Capital stock paid in. Surplus fund , 20, 000.00 Undivided profits, less current 60, 000. 00 expenses and taxes paid 17,886. 64 National-bank notes outstanding. 45, 000. 00 16,121. 75 State-bank notes outstanding $67, 742. 70 1,180. 86 50, 000. 00 5, 000. 00 9,011.52 21.63 170.00 36.57 5, 559. 50 700. 00 2, 250. 00 217, 794.53 Total. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 490. 92 75.00 84, 341. 97 217, 794. 53 First National Bank, Vincennes. J. H. RABB, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ". S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1873. $495, 392. 76 14, 382. 50 50, 000.00 3, 000. 00 2, 200. 00 10, 000. 00 101,825.71 11, 781. 75 62, 374.90 1,199. 38 11, 000. 00 270.70 21, 002. 00 46, 500. 00 2, 250. 00 833,179. 70 J. L.BAYARD, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 20, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 009. 09 17, 986. 31 State-bank notes outstanding Individn al deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 29, 344. 47 45, 000. 00 617, 749. S 833,179.70 212 REPORT OF THE COMPTROLLER OF THE CURRENCY. Second National Bank, Vincennea. GEO. FENDRICH, President. No. 4901. G. W. DONALDSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU.S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit •Redemption fund with Treas.U. S. Due from Treasurer TJ. S $155, 826. 84 957.18 50, 000.00 6, 093. 00 1, 745. 65 15, 454. 00 3, 500. 90 17,429. 42 1, 442. 26 2,160.00 13.73 811. 60 12, 000. 00 !j '! 2, 250. 00 Capital stock paid in. 1, 245.43 45, 000. 00 Due to other national banks Due t© State banks and bankers.. 1,233. 63 1,100.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 111, 085.52 10, 000.00 Liabilities other than those above stated 269, 664. 58 Total. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 269, 664. 58 Total. German National Bank, Vincennes. N o . 3864. ¥ M . BAKBR, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousejfurniturejand fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $325, 661. 02 1,447. 32 50, 000. 00 3, 475. 00 11, 200.00 800. 00 30, 944. 38 38, 735. 61 2, 749. 76 3, 810. 00 236. 58 11, 429. 75 23, 500.00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 500. 00 12,444. 40 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5,450. 04 46.48 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 334, 070. 50 1, 728. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 506, 239. 42 Total. GEO. R. ALSOP, Cashier. Capital stock paid in. 506, 239. 42 Total. First National Bank, Wabash. J . S. DAUGHERTY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund "with Treas.U. S. Duo from Treasurer U. S Total. No. 129. $327,146.87 9, 992. 21 75,000. 00 100. 00 11, 843. 75 8,103. 85 11, 237. 22 012. 26 19, 929. 89 7, 743. 31 25, 354.15 2, 597.48 562.00 539. 63 25, 612. 00 5, 000. 00 3, 375. 00 534, 749.62 F. W. MORSE, Cashier. Capital stock paid i n . $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60,000. 00 Due to other national banks Due to State banks and bankers.. 2, 035. 84 7,012. 50 8, 625. 67 66, 580. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 315, 495. 61 Notes and bills rediscounted. Bills paj'able Liabilities other than those above stated Total. 534,749. 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 213 ITVDIAI\ A . Wabash National Bank, Wabash. No. 3935. J. W. BUSICK, President. J". I. ROBEBTSON, Cashier Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ...Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $242, 785. 40 1, 958. 06 30,000. 00 18,594. 42 8, 800. 00 1, 562. 85 8, 226. 38 16, 713. 53 775.38 "i'ieb.oo 213. 94 17, 970. 95 8, 840. 00 ""i*35'6."66" 6, 700.00 C, 380. 25 27, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 640.56 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 198, 230.10 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 358, 950. 91 Total. $120,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 358,950.91 People's National Bank, Washington. No. 3842. HUGH BAER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $174, 720.66 2, 262. 89 12, 500. 00 1,500.00 39, 811.10 370. 00 3, 293. 02 13,906.64 539.47 870.66 203.05 11, 209. 35 15, 000. 00 ""*562.~56 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 239. 60 9, 882. 94 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 182,120.78 3,255. 36 11, 250.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 276,748. 68 Total. R. C. DAVIS, Cashier. Capital stock paid in. 276, 748.68 Total . Washington National Bank, Washington. E. W. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2043. $134, 579. 83 137.61 30,000.00 22, 081. 07 6, 000.00 W. M. HAYES, Cashier. Capital stock paidin Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 9, 423. 29 Due to State banks and bankers 4, 970. 69 31, 986. 62 Dividends unpaid 1, 398.90 Individual deposits United States deposits 94^96 Deposits of U.S.disbursing officers. 21, 793. 00 35, 000.00 Notes and bills rediscounted Bills payable 1,350.00 Liabilities other than those above stated 302,915.77 Total $50,000.00 30,000.00 5, 878.46 27, 000. 00 460. 00 189, 577. 31 302,915.77 214 REPORT OF THE COMPTROLLER OF THE CURRENCY INDIAN TERRITORY. First National Bank, Ardmore. No. 4393. L. P . ANDERSON, President. C. L. ANDERSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Premiums on U. S. bonds Stocks securities etc - .-- .Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other ca^h items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $143,394.21 111, 190. 37 15, 000. 00 8,339. 00 5,117. 00 6, 245.48 912. 56 4, 920.13 619. 06 98.00 764.10 4, 322. 00 3, 000. 00 675.00 304, 596.91 Total Capital stock paid in $60, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 27, 600.00 Due to other national banks Due to State banks and bankers.. 9, 820. 28 4, 780. S>6 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable 3, 412. 57 13, 500. 00 135, 483.10 50, 000. 00 Liabilities other than those above stated Total 304, 596. 91 City National Bank, Ardmore. No. 4723. A. J . WOLVERTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,f umiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $93, 797. 74 34, 269. 26 12, 500.00 1,400. 00 8, 000. 00 1,000.00 584. 09 2, 266. 27 5,149. 67 1, 570. 00 100. 00 674.00 3,000. 00 562. 50 DON LACY, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000. 00 1,968. 21 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 17,452. 98 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 64, 202. 34 Notes and bills rediscounted. Bills payable 15,000. 00 Liabilities other than those above stated Total. 164, 873. 53 164, 873.53 First National Bank, Claremore. W. E. HALSELL, President. Loans and discounts. Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. No. 4987. $55, 600. 50 .13 13, 000. 00 C. F . GODBEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outst:inding. State-bank notes outstanding $50,000.00 1,000.00 2, 085. 00 11, 450.00 1, 502. 75 1, 226. 22 132.00 35, 641.41 59.93 405.66 91.49 2, 960. 75 1, 374. 00 572.50 i 112,566.68 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursingoiHcers. 48, 031. 68 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 112, 566.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 215 IAN T E R R I T O R Y . First National Bank, Muscogee. No. 4385. ROBERT L. OWEN, President. C. H. WARTH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $178, 82.1. 88 5, 813. 04 25, 000. 00 3, 000. 00 Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000.00 3,407. 61 22, 500. 00 1, 549. 48 10,173. 00 12, 373. 01 27, 914.19 3,517.17 100. 00 371.08 6, 326. 80 5,000. 00 Due to other national banks Due to State banks and bankers.. 2, 025. 79 73.57 Dividend s unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers 133, 077. 68 Notes and bills rediscounted. Billspayable 1,125.00 Liabilities other than those above stated Total. 281, 084. 65 281, 084. 65 Chickasaw National Bank, Purcell. ROBERT J. LOVE, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S- A. D. HAWK, Cashier. No. 4756. $50,000.00 Capital stock paid in. Surplusfund 10, 000. 00 Undivided profits, less current expenses and taxes paid 5, 867. 62 1,500.00 10,850.00 National-bank notes outstanding. State-bank notes outstanding $129,176.39 81. 92 12,500.00 1, 500, 00 9,917.16 780. 97 21,484. 02 1,706.68 135. 00 172. 21 11, 076. 00 4, 000.00 562. 50 Due from Treasurer U. S Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Billspayable Liabilities other than those above stated 194, 592.85 Total. Total . 1, 325.10 760.16 115, 789. 97 194, 592. 85 Purcell National Bank, Purcell. S. L. "WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc j Bank'gliouse,furniture,andfixturos Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers .1 Due from approved reserve agents -1 Checks and other cash i t e m s . . . . . . . Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4636. $91, 373. 95 412. 80 12,500.00 "W. M. TOMLIN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 8, 085. 96 Dne to other national banks Due to State banks and bankers.. 3, 068. 38 1,995.46 7, 838. 53 1, 257.85 Dividends unpaid 9,000. 00 450. 00 83.94 6,14G. 00 1,600. 00 562. 50 Individual deposits United States deposits Depositsof U.S. disbursingofficers. 801. 79 11,250. 00 40.00 62,155.90 Notes and bills rediscounted. Billspayable Liabilities other than those above stated 139, 311. 53 Total. 139, 311. 53 216 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIAN TERRITORY. First National Bank, Vinita. OLIVER BJLGBY, President. No. 4704. H. C. COOK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, »ecurities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. SDue from Treasurer IT. S Total. Liabilities. $116,780.16 M Capital stock paid in. 1,036.69 ;| 12, 500. 00 Surplusfund Undivided profits, less current expenses and taxes paid 450.00 National-bank notes outstanding. State-bank notes outstanding Due to other national banks 6, 885.73 Due to State banks and bankers. 445.71 74, 220. 44 Dividends unpaid 295. 01 Individual deposits iob'bb" United States deposits 67.24 Deposits of U.S.disbursing officers. 2, 275. 00 3, 795. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 221, 213.48 Total. $50, 000. 00 25,000.00 4, 598. 49 11, 250. 00 130, 364.99 221,213.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 217 IOWA. First National Bank, Albia. No. 1799. J. H. DRAKE, President. TOM D. LOCKMAN, Cashier. Eesources. Liabilities. Loans and discounts Overdrafts U.S. bonds to secure circulation... XT. S. bonds to secure deposits U.S.bondson hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghou8e,furnitare,andflxtures Other real estate andmortg's owned Due from other national banks Dae from State banks *nd bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house , Bills of other nationaibanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer XJ. S $88, 671. 55 1, 259. 26 50,000.00 45, 007. 04 10, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,472.92 9,281.70 $50, 000. 00 25, 000.00 5,482. 02 44, 550. 00 Due to other national bank? Due to State banks and bankers. Dividends unpaid 1,119.00 183. 00 12, 700. 00 7, 000. 00 2,227.50 228,921. 97 Total. Capital stock paid i n . Individual deposits United States deposits Deposits of U.S.disbursing officers. 103, 889. £ Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 228,921.97 First National Bank, Algona. AMBROSE A. CALL, President Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks fractional <rarrency,nick©U, centa. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. No. 3197. WM. K. FERGUSON, Cashier. $100,961.56 I Capital stock paid in $50,000.00 1,713.70 I 13,000.00 Surplus fund 7,100.00 Undivided profits, less current expenses and taxes paid 1, 367. 94 1, 690.00 National-bank notes outstanding. 11, 700.00 State-bank notes outstanding "7,690." 66' Due to other national banks 2, 852.47 Due to State banks and bankers.. 408.13 18, 583. 55 Dividends unpaid 758.85 Individual deposits 90, 805. 32 "*6,*7O3.'oo" United States deposits 47.00 Deposit* ofU.S.disbursing officers.! 1, 980. 00 I 4, 000. 00 Notes and bills rediscounted. Bills payable. 585. 00 Liabilities other than those above stated 160,973. 26 Total. 160, 973. 26 Union National Bank, Ames. W. M. GBEELEY, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. DUG from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks [Fractional currency,nickels, cents. Specie — Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. HENRY WILSON, Cashier. No. 3017. $116,588.51 I Capital stock paid in . $50, 000.00 1,441.54 I 12,500.00 ! Surplus fund 10, 000.00 Undivided profits, less current expenses and taxes paid 18,964.10 National-bank notes outstanding. 11, 250. 00 State-bank notes outstanding 9, 000. 00 Due to other national banks Due to State banks and bankers. ] 3, 635. 63 Dividends unpaid 256.16 Individual deposits " 4 " 576.'66 United States deposits 29.65 Deposits ofU.S.disbursing officers. 4, 061. 00 2, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 164, 700. 99 Total. 74,486. J 164,700.! 218 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Anamosa National Bank, Anamosa. CHAS. H. LULL, President. No. 4693. CHAS. S. MILLARD, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furni1flire,andfixturcs Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $106,127.09 j Capital stock paid in. 3,637.37 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 625. 00 National-bank notes outstanding. 200. 00 State-bank notes outstanding 1, 609. 60 Due to other national banks 4, 859, 61 Due to State banks and bankers. 2, 257. 41 Dividends unpaid 343. 00 Individual deposits 45.00 United States deposits 48. 68 Deposits of U.S. disbursing officers. 6, 226. 30 1, 780. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total. 141, 821. 56 $50, 000. 00 1,250.00 389. 55 11, 250. 00 45.00 78,887.01 141, 821. 56 Atlantic National Bank, Atlantic. J . A. MCWATD, No. 2762. President. Loans and discounts Overdrafts U. S. bonds to secure circulation. - TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. !157, 783. 91 4, 271.19 12, 500.00 1, 052. 79 7,000.00 7, 500. 00 11,171.70 18, 564.12 3, 561. 79 3, 850. 00 98.79 9, 472. 00 6,441. 00 562. 50 T. G. TURNER, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding 20, 000.00 3, 285. 66 11, 250. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 139, 294.13 Notes and bills rediscounted Bills payable Liabilities other than those above stated 20, 000. 00 243, 829. 79 Total. 243, 829. 79 First National Bank, Audubon. CHARLES VAN (BORDER, President. Loan and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures; Other real estate and mortg's owned • Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. Certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4891. $108,409. 97 1, 026. 76 12, 500.00 1,459.96 "i6,'666."66" 388." 53 3,117. 59 23, 510.19 500.00 41.68 7,399.00 3,000.00 562.56 2.50 171, 918.68 F . S. WATTS, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less currant expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 736. 26 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 6,070.31 Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable 8, 000. 00 2.11 5, 000.00 Liabilities other than those above stated Total. 171, 918. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 219 IOWA, First National Bank, Belle Plaine. No. 2012. S. S. SWEET, President. L. T. SWEET, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on band Premiums on 0". S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer TJ. S $157, 223. 74 2, 471. 66 12, 500.00 4, 000.00 10, 641. 50 Capital stock paid in 2,141. 65 7,763.84 531. 69 Dividends unpaid 25, 000.00 17,178.17 11, 250. 00 Due to other national banks Due to State banks and bankers.. 2,415.00 21.91 5, 553. 90 5,260.00 562.50 . .... Individual deposits United States deposits Depositsof U.S.disbursingofficers . Notes and bills rediscounted Bills payable 100,159. 22 5, 000. 00 2, 500. 00 Liabilities other than those above stated 211, 087. 39 Total $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 211, 087. 39 Citizens' National Bank, Belle Plaine. No. 4754. E. E. HUGHES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtmes Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $90,343.99 832.93 12, 500.00 1, 375. 00 iijob.iio 12.18 846.12 2,110. 02 1,224.71 230.00 131. 20 8,564. 25 1, 681. 00 562. 50 CHAS. A. BLOSSOM, Cashier. Capital stock paid in. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,750.00 419. 39 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursingofficers. GO, 694. 51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 132,113.90 Total . 132,113.90 First National Bank, Blanchard. CHAS. Gr. ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures; Other real estate and mortg's owned Due fiom other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4902. $85,985.50 852. 57 12, 500. 00 1,100.00 *4,8o6.66 3.086.17 5.053.18 566. 21 20.00 53.97 1, 545. 35 262. 50 115,825.45 FRANK HOOKER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable $50, 000. 00 2, 500.00 742. 09 11, 250. 00 8.00 46, 325.36 5, 000. (X Liabilities other than those above stated Total. 115,825.4: 220 REPORT OF THE COMPTROLLER OF THE CURRENCY, IOWA. First National Bank, Boone. N o . 3273. S. L. MOORE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie 'Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S W. T. HOLMES, President. 562.50 50,000. 00 2, 041.92 11, 250. 00 $104,846.07 247. 66 14, 500.00 800. 00 5,000. 00 800.00 12,220.63 1,967. 85 11,175. 99 168.84 535.00 17.25 4.036.00 500.00 652.50 ;203, 768.78 965. 44 50, 000. 00 50, 000. 00 146, 805. 07 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total. 260,156. 99 B. M. TALBOTT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted . Bills payable 28.43 Liabilities other than those above atated Total. First National Bank, Burlington. No. 351. Loans and discounts Overdrafts : U. S. bonds to secure circulation.. .1 U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . * Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa.U. S. Due from Treasurer U. S Total. 12. 797. 50 300. 00 157, 467. 79 Total. LYMAN COOK, President. Due to other national banks Du« to State banks and bankers. 15,797.74 Dividends unpaid 3, 008. 21 Individual deposits 3o6."66' United States deposits 132.11 Depositsof U.S.disbursing officers. First National Bank, Brooklyn. No. 3284. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S $50,000.00 2,490. 00 8, 500. 00 260,156.99 Total. . J.H.HERMAN, Cashier. Liabilities. $192, 400.93 Capital stock paid in. 769. 26 12,500. 00 Surplusfund Undivided profits, less current 500.00 expenses and taxes paid 1, 560. 00 National-bank notes outstanding. 8, 538.74 State-bank notes outstanding 8, 000. 00 574.19 13, 050.00 85, 815.17 157,467. 79 WM, P. FOSTER, Cashier, Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks 8, 304. 99 I Due to State banks and bankers. 2, 985. 29 8, 295. 27 12, 000. 00 2, 400. 00 3, 302. 38 53, 585. 53 4,281.94 Dividends unpaid Individual deposits 3,000.00 United States deposits 43.42 Deposits of U.S.disbursing officers. 50, 918. 00 5,000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 449,820.4S 3, 332. 36 38, 300.00 Liabilities other than those above stated Total. 231, 907. 56 28, 957. 33 16, 042. 67 449, 820.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 221 IOWA. Merchants' National Bank, Burlington. T. W. BARHTDT, President. No. 1744. H. C. GTARRETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg s owned 3 !ue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer IT. S $365, 341. 24 534. 86 25, 000.00 53, 948.01 20,023. 00 17, 500. 00 6, 920. 29 4,636.14 83,355. 28 1, 509.58 "3,"i3O."66" 114. 89 44, 459. 00 10, 000. 00 Capital stock paid in. Due to other national banks Due to State bank* and bankers.. Dividends unpaid 35,000.00 31, 037.31 22, 050. 00 24, 278. 05 40, 755. 51 804.00 Individual deposits United States deposits Deposits ofU.S.disbureing officers. | 283, 672. 42 Notes and bills rediscounted... Bills payable 1,125. 00 Liabilities other than those above stated 637, 597. 29 Total. $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 637, 597. 29 Total. National State Bank, Burlington. No. 751. JOHN T. REMBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiumson U. S.bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg'» owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Cheeks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $613, 344. 88 1, 934. 83 37, 500. 00 3, 750. 00 15, 540. 00 50, 000. 00 1, 540.00 8, 533. 78 1,177. 08 74, 587. 86 7, 514.40 3,070. 00 80.75 53,724.75 7,207. 00 1, 687. 50 2, 000. 00 "$150,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. 25,282. 45 99, 931. 66 61,892.24 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable 362, 336.48 50, 000.00 Liabilities other than those above stated , 883,192. 83 Total. JNO. J . FLEMING, Cashier. Capital stock paid in. 883,192. 83 Total. First National Bank, Carroll. W. L. CULBERTSON, President Loans and discounts Overdrafts U. S. bonds t© secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. E. COBUEN, Cashier. No. 3969. $249,051.32 2, 371. 68 25, 000. 00 3, 000. 00 2, 425. 00 2, 200. 00 32,109.42 45.99 25, 887. 98 275.71 340.00 64.46 8, 600. 00 6, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State b&nks and bankers.. $100, 000. 00 8,000.00 1,356.95 22, 500. 00 1, 625. 24 12, 634. 28 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing ofiicersNotes and bills rediscounted. Bills payable 187, 380.09 25,000. 00 1,125. 00 Liabilities other than those above stated 358, 496. 56 Total. 358,496.56 222 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Cedar Falls National Bank, Cedar Falls. JAMBS MILLER, President. No. 3871. EOGER LEAVITT, Cashier. Resources. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures: Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $236,106.57 2, 389. 83 18, 750. 00 859.37 "16," 666.'66" 7, 957.37 28.00 28, 473.46 504.74 285. 00 79.52 6,228. 90 9, 610. 00 843.75 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 30, 000. 00 8, 491. 79 16, 875. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits , Deposits of U.S.disbursing officers.! Notes and bills rediscounted. Bills payable 181, 749. 72 10,000.00 Liabilities other than those above stated 322,116. 51 Total . $75,000.00 Capital stock paid in. 322,116.51 Total. Cedar Rapids National Bank, Cedar Rapids. A. T. AVERILL, President. No. 3643. Loans and discounts Overdrafts U. S. bonds to. secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of otherjnational panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $388, 042. 69 727. 81 25, 000. 00 100. 00 53, 610.46 5, 450. 00 11, 323. 41 10,904. 74 66, 436. 81 14,438. 04 3, 978.00 219. 39 57, 035. 50 5, 000. 00 1,125.00 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 14,430. 03 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 16,914.10 196, 978. 28 Individual deposits United States deposits DepositsofU.S.dfsbursingonicers 212, 469. 44 Notes and bills rediscounted. Bills payable 100. 00 60, 000. 00 Liabilities other than thosi above stated 643, 391. 85 Total. R. V A N VECHTEN, Cashier. Capital stock paid in 643, 391. 85 Total. City National Bank, Cedar Rapids. JAS. L. BEVER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghou8e,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JOHN B. BEVER, Cashier. No. 483. $316, 021. 69 4, 616. 50 30, 000. 00 13, 11, 2, 25, 2, 33, 6, 927. 50 000. 00 300. 00 379. 34 051. 97 645. 50 909. 95 9, 301. 00 270. 00 21, 980. 75 15, 000. 00 Capital stock paid in. Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $ioo,ooo7o6 50, 000. 00 .5,190.41 27, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10, 924. 34 26, 019. 45 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 274, 390. 00 230.00 Notes and bills rediscounted. Bills payable 1, 350.00 Liabilities other than those above stated 493,754.20 Total . 493, 754. 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 223 IOWA, Merchants' National Bank, Cedar Rapids. M. A . H I G L E Y , President. ISTo. 2513. CHARLES E . PUTNAM, Resources. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U . S . bonds to secure deposits TJ. S. bonds on hand P r e m i u m s on U. S. bonds Stocks, securities, e t c , B a n k ' g house,furniture,and fixtures Other real estate a n d m o r t g ' s owned D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit Redemption fund w i t h T r e a s . TJ. S. D u e from T r e a s u r e r TJ. S 5256, 958. 73 Ou. 85 25, 000. 00 2, 000. 00 7,*840. 00 4, 082. 05 4, 253. 86 5, 569.93 32. 683. 37 12, 951. 71 7,776. 00 317.36 21, 352. 25 13, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . $100,000.00 50,000.00 3, 234.44 22, 500.00 4, 758.16 25, 033.09 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 189,479.92 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 395, 005. 61 Total. Cashier. Liabilities. Total . 395, 005. 61 First National Bank, Centerville. W M . BRADLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S J . A. BRADLEY, Cashier. No. 337. $218, 287. 59 Capital stock paid in. $50, 000. 00 111.73 12, 500. 00 Surplus fund 10, 000. 00 Undivided profits, less current expenses and taxes paid 6,122. 05 National-bank notes outstanding. 11, 250. 00 State-bank notes outstanding...'.. 11,500.00 Due to other national banks 22, 534. 90 Due to State banks and bankers . 11, 297. 20 Dividends unpaid 1, 996.35 Individual deposits 249,968. 79 2,460.00 United States deposits 51.57 Deposits of U.S.disbursingofficers. 29, 539.00 16,500.00 562. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 327,340. 84 Total. 327, 340.84 Total. Centerville National Bank, Centerville. F . M. DRAKE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds. Stocks, securities, etc Bank'g house,furniture, andfixturos Other real estate and mortg's owned • Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S . . . . .&. Total. No. 2841. $106, 977. 67 234.89 12, 500. 00 1,743.62 8, 279.01 4, 690. 85 3, 363.11 1, 252. 89 803. 00 47.90 9, 039. 60 1, 000. 00 562. 50 150, 495. 04 GEO. M. BARNETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10,000. 00 2, 724. 64 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU. S.disbursingofficers. Notes and bills rediscounted. Bills payable 70, 520.40 6, 000.00 Liabilities other than those above stated Total. 150,495.04 224 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Chariton. No. 1724. S. H . MALLORY, President. F . E. CEOCKBB, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U . S . b o n d s on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gboiise, furniture, and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $233, 341. 58 i Capital stock in paid. 5,275.05 | 12,500.00 ! Surplusfund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-banknotes outstanding 26,460. 54 State-bank notes outstanding 3, 300. 00 8, 800. 00 Due to other national banks 24, 639. 54 Due to State banks and bankers.. 12,297.34 6, 806.21 Dividends unpaid 1, 323. 00 Individual deposits 2, 000. 00 United States deposits 175.08 Deposits of U.S.disbursing officers. 13, 980. 00 10, 000.00 Notes and bills rediscounted... Bills payable ""'562.'50' 362,460.84 Total . Liabilities other than those above stated Total . $50,000.00 30,000. 00 9, 049.38 11, 250.00 17, 897. 35 244, 2G4.11 362,460. 84 First National Bank, Charles City. No. 1810. A. G-. CASE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bo use, furniture, and fixturesj Other real estate and mortg'sownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S $239, 657.89 1,166.61 12, 500. 00 1, 000. 00 24, 4, 25, 1, 642. 726. 355. 342. 36 39 45 60 71. 51 10, 380. 00 6, 000.00 562.50 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank note* outstanding State-bank notes outstanding 10,000.00 12, 390. 58 9,460. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 247,155. 73 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 329, 006. 31 Total . S. B . HALL, Cashier. Capital stock paid in. Total . 329, 006. 31 Charles City National Bank, Charles City. J . H . OWEN, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2579. $184,120. 32 2, 504. 37 25, 000. 00 1, 000. 00 6, 367. 52 10,145. 00 2,100. 00 1,940. 51 1, 738. 60 436. 95 335. 00 174. 08 1,520. 00 2, 000. 00 185. 00 239,567. 35 GEO. E. MAY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national bankg Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . $100,000.00 11, 000.00 22, 500. 00 690. 95 80, 376.40 25, 000. 00 239, 567.35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 225 IOWA. Citizens' National Bank, Charles City. No. 4677. H. C. BALDWIN, President. F . B. MINER, Cashier. Resources. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total Liabilities. $212, 206.98 2, 344.10 12, 500.00 3, 400. 00 1, 000.00 24,114. 09 1, 607. 00 30,215.88 1, 278. 83 2, 035. 00 62.09 22, 890. 75 4, 500. 00 562.50 Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 500.00 10, 992. 27 5,400.00 Due to other national banks Due to State banks and bankers.. 440. 00 Individual deposits United States deposits Deposits of US.disbursing officers. 249,384. 95 Notes and bills rediscounted Liabilities other than those above Total 318, 717.22 318, 717.22 First National Bank, Charter Oak. - , President. N o . 4376. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ... Fractional currency, nickels, cents. Specie Legal-tender notes . U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $100,481.27 i2,5uo. bo' 2, 000. 00 1, 797.55 13, 391.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 237. 36 6, 438.11 542.26 $50,000.00 5, 500.00 674.58 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 200.00 40.52 3, 496.10 500. 00 562. 50 143,186. 67 Total. J. G-. SHUMAKER, Cashier. Capital stock paid in Individual deposits United States deposits Deposits of U.S.disbursingofficers. 48, 249. 09 Notes and bills rediscounted Bills payable 18, 513.00 9, 000. 00 Liabilities other than those above stated Total. 143,186.67 First National Bank, Cherokee. N. T. BURROUGHS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, PT 2 No. 3049. R. H. SCRIBNER, Cashier. $50, 000. 00 Capital stock paid in. Surplusfund 25,000. 00 Undivided profits, less current expenses and taxes paid 9, 652 26 National-bank notes outstanding. 11, 250. 00 3, 000. 00 State-bank notes outstanding $209, 855. 03 3, 951. 64 12, 5U0. 00 12,900. 00 3, 258.11 4, 868.42 7, 852. 74 1,415. 58 685. 00 335. 56 6, 792. 00 2, 500. 00 562. 50 270,476.58 Vi Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 174,574.32 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 270, 476.58 226 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Clarinda National Bank, Clarinda. F. W. PARISH, President. H. R. SPRY, Cashier. No. 3112. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g bouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from Statebanks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $157, 716. 02 1,997.67 12, 500.00 11,800.00 64." 57" 14,325.80 104.27 510. 00 61.51 10, 393. 00 2, 000. 00 562.50 212, 035.34 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable 103. 99 Liabilities other than those above stated Total. 1, 740.70 11, 2oO. 00 118,440. 65 20,000.00 212,035.34 First National Bank, Clarion. No. 3796. G. S. RINGLAND, President. Loans and discounts... .• Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $117,746.65 3, 033. 39 12, 500.00 526. 56 '6 "850." 66 3,118. 58 6, 368.50 2, 043. 54 540. 00 193.74 7, 505.00 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 9,560.00 4, 824. 40 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 85, 354. 06 Notes and bills rediscounted. Bills payable 562.50 160,988.46 Total. U. B. TRACY, Cashier. Capital stock paid in Liabilities other than those above stated Total. 160,988.46 City National Bank, Clinton. A. L. STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from Statebanks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents, Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2469. $443, 808.09 5, 645.22 37, 500.00 2, 600.00 15, 620. 50 1,803.37 3, 220.75 2,107. 07 25, 707.74 677.13 4,868. 00 1,414.24 15, 763.00 1,187.50 561, 922. 61 A. G. SMITH, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid , 19, 027.96 26, 791.85 Individual deposits United States deposits Deposits of U.S. disbursing officers 249,421.83 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 43,072.33 30, 000.00 9, 858. 64 33, 750. 00 561,922.61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 227 IOWA. Clinton National Bank, Clinton. , President. C.C.CoAX,Cashier. No. 994. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... XJ. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. $184,521.00 997. 38 60, 000. 00 Capital stock paid in. $60,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 850. 00 National-bank notes outstanding. 14,426. 98 State-bank notes outstanding 19, 000. 00 Due to other national banks 10,229. 86 Due to State banks and bankers.. 1, 241. 92 65,501.44 Dividends unpaid 2, 024.05 Individual deposits 4, 070.00 United States deposits 156.11 Deposits of U.S.disbursingofficers. 31, 770.00 5, 000. 00 Notes and bills rediscounted Bills payable 12,000.00 274.75 3, 799.90 266,402.04 2, 700. 00 Liabilities other than those above 404,488. 74 Total. 8, 717. 05 53, 295. 00 stated Total . 404,488.74 Merchants' National Bank, Clinton. L. LAMB, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securi ties, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3736. $153,467. 47 462.58 25,000.00 15, 386. 30 22, 495. 80 11, 070. 26 18,227.29 727.18 "2* 749." 66 262.47 14, 420.10 3, 500. 00 1,125. 00 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 13, 500. 00 Due to other national banks Duo to State banks and bankers.. Dividends unpaid 274. 20 1,063. 74 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 111, 056. 88 Notes and bills rediscounted Bills payable Liabilities other than those above stated , 19, 500. 00 268, 893.45 Total. R. C. T A N KURAN, Cashier. Capital stock paid in. Total. 1, 898. 63 21, 600. 00 268,893.45 Louisa County National Bank, Columbus Junction. J . W. GARNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds.... Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks - . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2032. $100, 756. 24 2,150. 03 12, 500. 00 1, 600.00 W. A. COLTON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 145.99 1,102. 36 Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 70, 991.54 10,000.00 4, 585.89 11, 250.00 7,000. 00 453.82 694.85 4,884. 45 3,463. 76 "i* 350. 66 295.13 8,275.00 4,000.00 562.50 90.00 148,075.78 148,075.78 228 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Corning. No. 2936. F . M. "WiDNER, President. CHAS. C. NORTON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $125,086.94 4, 090.75 12, 500.00 11,155.12 10, 000.00 6, 043.93 6, 587.86 8, 054. 92 633. 42 iii.66" 48.10 6,717.70 3, 000.00 562.50 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank note3 outstanding. State-bank notes outstanding 10, 000.00 6,824. 58 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 106, 550. 66 10, 000. 00 Liabilities other than those above stated Total. 194,625.24 194, 625.24 National Bank, Corning. No. 4268. W. S. HEFLING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and raortg's owned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $80,810.38 2,188. 38 12, 500. 00 14,167. 59 13, 000. 00 703. 71 4, 612. 58 37.30 1,455. 00 22. 23 850. 00 3, 585. 00 "*562.'5O' CHAS. T. COLE, Cashier. Capital stock paid i n . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State banknotes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted... Bills payable 10,000. 00 418.57 11, 250. 00 220. 96 570. 00 53, 035.14 9,000. 00 Liabilities other than those above stated 134,494. 67 Total. 134,494.67 First National Bank, Council Bluffs. GrEO. P. SANFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall>anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1479. $260,568. 73 2,313.27 25, 000. 00 2, 500.00 45, 718. 96 2, 500.00 1,492. 63 803.50 1,647.54 39, 945.17 1, 772.47 175.00 85.92 11, 523. 50 9, 241. 00 A. W. RIEKMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100,000.00 2,000.00 4, 313.24 22, 500.00 3, 988. 64 5, 356. 81 Dividends unpaid Indi vidual deposits United States deposits Deposits of U. S.disbursing officers. 268,253.00 Notes and bills rediscounted... Bills payable.., , 1,125.00 Liabilities other than those above stated , 406,412. 69 Total. 406,412.69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 229 IOWA. First National Bank, Cresco. N o . 4897. S. A. CONVERSE, President. C. A. CRAWFORD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks fractional currency,nickels, cents. Specie Legal-tender notes U. 5. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $92,496.64 ** 25," 666 "66" 3, 200.00 ""466" 66' 4, 701. 78 42.17 215. 00 64.20 2, 037.80 1, 810. 00 1,125. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 800. 00 332.99 22, 500.00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 56, 459. 60 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 131,092.59 131,092.59 First National Bank, Creston. N o . 2586. H . S. CLARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $156, 977. 88 3, 341.11 12, 500. 00 1,500.00 96.50 17, 300. 00 5, 694. 99 2, 267.16 16, 760. 36 103. 65 F. W. CLARKE, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 748. 37 7,403.39 Individual deposits 738.00 United States deposits 101. 91 Deposits of U .S.disbursing officers. 27, 524. 75 2, 500. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated , Total. 247, 968.81 6,683. 33 11, 250. 00 151, 883. 72 247, 968. 81 Creston National Bank, Creston. J . B. HARSH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Back'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2833. $162, 824.27 999. 08 25, 000. 00 1, 437.50 5,314.51 14, 000.00 3, 225. 00 508. 66 8, 845. 36 282.44 R. E. BOYER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 7, 700. 00 United States deposits 6.14 Deposits of U.S.disbursing officers. 3, 570.95 14,109. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 248,947. 91 Total. $100,000.00 12,500.00 1, 574.97 22, 500.00 855. 79 101,517.15 10,000.00 248,947.91 230 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Davenport. ANTHONY BUEDICK, President. No. 2695. C. A. MAST, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation...! XJ. S. bonds to secure deposits • U. S. bonds on band | Premiums on TJ. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,and fixtures! Other real estateand mortg's owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Cbecks and other cash items Exchanges for clearing house Bills of other national Tbanks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $544, 371. 44 590.55 50, 000. 00 5, 500. 00 3, 077.97 30, 000. 00 23, 200. 00 15,030.59 9, 229. 80 52, 483. 09 2, 389. 22 1, 216. 00 84.50 36,147.65 Capital stock paid in $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid ^National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers.. 4(5, 475. 59 93,848. 24 25, 766. 37 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 315,480. 61 Notes and bills rediscounted. Bills payable 2, 250. 00 1, 000.00 Liabilities other than those above stated 776. 570. 81 Total. 776,570. 81 Citizens' National Bank, Davenport. F . H . GrRiGGS, E.S.CARL, Cashier. N o . 1671. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and 6xtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas U. S. Due from Treasurer U. S $885, 522. 85 1, 338. 70 100, 000. 00 50, 000. 00 38,116.70 21, 853. 54 17,335.86 55,138. 37 12, 474. 53 26,117. 00 614. 20 29, 288. 55 40, 000. 00 4,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100.000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 130, 460.21 174, 086.52 Individual deposits United States deposits Deposits of U. S.disbursing officers 338, 294. 96 4, 735. 69 35, 292.94 Notes and bills rediscounted Bills payable Liabilities other than those above stated 92, 909.72 Total. 1, 282, 300. 30 Total. $300,000. 00 Capital stock paid in. 16, 520.26 90, 000. 00 1, 282, 300.30 Davenport National Bank, Davenport. W. C. HAYWARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixturesj Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 848. $361,831.17 3,925.84 50,000.00 6,000.00 "26*66o."66' 17, 753.50 7, 711. 25 24,155.96 3, 527. 72 " 3,719.66 269.33 11, 722. 30 10, 000.00 2, 250. 00 S. D. BAWDEN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers .. $200, 000.00 23,771.44 45, 000.00 19,969. 72 28,468.38 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 195,570.52 16, 086.01 Liabilities other than those above stated 528, 866.07 Total. 528,866.07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 231 IOWA. Iowa National Bank, Davenport. CHAS. BEIDERBECKE, President. No. 4022. CHARLES PASCHB, Oashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Otberreal estate and moitg's owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $443, 733.15 3, 325.40 25, 000. 00 3, 000. 00 3,000. 00 5, 000. 00 16, 945. 63 3, 638.18 13,579.81 12, 271. 62 3,427.11 3, 025. 00 350. 86 23, 762. 30 6, 000. 00 1,125.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 Due to other national banks Due to State banks and bankers., Dividends unpaid 9,900.32 116,925.78 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 259, 311. 46 Notes and bills rediscounted Bills payable Liabilities other than those above stated 567,184. 06 Total. Total. 11,000.00 7,546.50 22, 500.00 40, 000.00 567,184.06 First National Bank, Decorah. JAMES H . EASTON, N o . 493. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g bouse, furniture, an d fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fuud with Treas. U. S. Due from TreasurerJU. S Total. $239, 213. 42 759. 67 20,000. 00 92, 418. 00 16, 000. 00 10, 362. 00 9, 370.75 1, 383.37 806. 00 29.62 25,162. 65 8, 000. 00 500.00 424, 005.48 E. R. BAKER, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid , Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable 369. 07 15,000.00 17, 034. 95 18, 000. 00 278,601.46 20,000.00 Liabilities other than those above stated Total. 424,005.48 First National Bank, Denison. W. A. MCHENRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. SEARS MCHENRY, Cashier. No. 4784. $100,000. 00 Capital stock paid in. Surplus fund 25,000.00 Undivided profits, less current expenses and taxes paid 10, 714.77 4, 000. 00 National-bank notes outstanding. 44, 280. 00 6,130. 22 State-bank notes outstanding $283, 037.43 1, 861. 30 50, 000. 00 15,000.00 38.14 22,141. 35 1,994.78 100.00 57.44 2, 321. 95 6, 000.00 2, 250.00 394,932. 61 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing ofiicers. 214,937.84 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 394,932. 61 232 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Citizens' National Bank, Des Moines. No. 1970. J. H. MERRILL, President. J. G. ROUNDS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furuiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $604, 808.66 8, 936.11 102,000.00 135, 626.30 3, 000. 00 24,997.73 25, 039.04 20, 996. 21 52, 670.10 537.11 7,729. 25 6,045.00 37.61 6, 828. 95 30, 378. 00 4, 542.50 1, 034,172.57 Total. Capital stock paid in $200, 000. 00 Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. 119,912.41 351,965.38 9, 410. 61 90,150. 00 Dividends unpaid Individual deposits Certfied checks United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 274,119.17 8,400. 00 80, 215. 00 1, 034,172. 57 Des Moines National Bank, Des Moines. Gr. M. REYNOLDS, President. No. 2583. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban'kg house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $715, 356. 76 10, 768. 82 50, 000. 00 5, 000. 00 26, 082. 01 63, 541. 29 15, 818. -66 24, 737. 04 11, 590. 51 89, 511. 92 3, 935. 64 6, 569. 76 2, 030. 00 353. 97 33, 694. 20 51, 500. 00 2, 250. 00 2, 059. 50 ARTHUR REYNOLDS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 6, 000. 00 Due to other national banks Due to State banks and bankers.. 155, 374.19 169,271.80 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 5, 206.90 45, 000. 00 247. 50 333, 336. 89 362. 80 100, 000. 00 Liabilities other than those above stated Total 1,114, 800. 08 1,114,800. Iowa National Bank, Des Moines. S. A. ROBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Ban k' g house, furniture, andfixt ures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDuefrom TreasurerU. S Total. No. 2307. $288,751.39 5,504. 84 25, 000. 00 GEO. A. DISSMORE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 32, 216. 09 31, 594. 35 Due to other national b a n k s . . 15, 800. 00 8, 827. 03 Due to State banks and bankers.. 18, 391.19 Dividends unpaid 24, 576. 90 862.69 Individual deposits 17,670.18 Certified checks 2,177. 00 United States deposits 318.10 Deposits of U.S.disbursingofficers 26, 899. 55 37, 255. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 539, 969. 31 Total. $100, 000.00 30, 000. 00 914.07 22, 200. 00 59,946. 59 30,125. 31 240. 00 266, 243.84 299.50 30, 000.00 539,969.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 233 IOWA. Valley National Bank, Des Moines. No. 2886. J. J. TOWN, President. R. A. CRAWFORD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonrls on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousejfurniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $676, 829. 37 974.51 100, C O 00 O. 1, 200. 00 5, 500. 00 56, 501. 58 46, 000. 00 24,184. 78 52,141.03 6, 907. 51 53, 348. 34 12, 620. 25 2, 700. 00 257.47 45, 822. 00 22, 915. 00 4, 500. 00 1, 000. 00 Capital stock paid in $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid Nation;*l-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks 82, 773. 44 203,157. 70 Due to State banks and bankers.. 27, 576. 36 90, 000. 00 1, 662. 50 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 342, 758.54 20.00 65,453.30 Liabilities other than those above stated Total. 1,113,401. 84 1,113,401.84 First National Bank, De Witt. No. 3182. N. A. MERRELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixture? Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $147, 097. 77 14.08 12, 500. 00 1, 500. 00 5, 800.00 2,400. 00 21, 598.84 9, 049. 94 1,184.30 3, 609. 00 76.81 6, 855. 45 5, 500. 00 A. M. PRICE, Cashier. Capital stock paid i n . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 10,000.00 6,060.42 10, 950.00 37,151.63 235. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 103,351. 64 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total. 217, 748. 69 217, 748. 69 First National Bank, Dubuque. C. H. EIGHMEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 317. $674, 364.47 2,007. 65 100, 000. 00 O. E. GUERNSEY, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 33, 800.00 Due to other national banks Due to State banks and bankers.. 9,913.31 98, 283.17 Dividends unpaid 11,161.80 3,062. 37 Individual deposits 10,000. 00 United States deposits 73.00 Deposits of U.S.disbursing officers 34,610.92 2, 616. 00 Notes and bills rediscounted Bills payable , 4,500. 00 Liabilities other than those above stated , 55, 607. 35 118, 236. 77 7, 950.00 10, 530.24 29, 042. 00 1,000. 00 4, 269. 28 1,003,384.21 Total 10, 586. 38 89, 980. 00 684. 00 444, 226.46 10, 263. 25 40, 000.00 1,003,384.21 234 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Second National Bank, Dubuque. No. 2327. GrEO. B. BUECH, President. J . K. DEMING, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand , Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of "other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from TreasurerU.S Total. $912,160.16 3, 277.56 50,000.00 Capital stock paid in. $400,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 185, 580.58 State-bank notes outstanding 5, 000. 00 Due to other national banks 4, 552.73 Due to State banks and bankers.. 9,472. 38 144, 734. 93 Dividends unpaid 1,151. 24 3, 212. 07 Individual deposits 7,441. 00 United States deposits 231.05 Deposits of U. S.disbursing officers. 50,114. 50 15, 000. 00 Notes and bills rediscounted Bills payable 60,000.00 19, 862. 07 45, 000.00 70, 719.45 125,843.42 1,170.00 571, 583. 26 100,000.00 2, 250. 00 Liabilities other than those above stated 1,394,178.20 Total. 1, 394,178. 20 Dubuque National Bank, Dubuque. J A S . HARRA0AN, Cashier. No. 3140. D. D. MYERS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bondsonhand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $296,148. 04 502.12 25, 000. 00 3,700. 00 5,000.00 12, 647. 02 30,136. 60 105. 40 3, 853. 03 7,876. 00 105. 55 10, 331. 99 10, 000. 00 1,125.00 ~$ioo7oooToo Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,956. 95 27,148. 09 Individual deposits United States deposits DepositsofU.S.disbursing officers. 204, 568.93 Notes and bills rediscounted Bills payable Liabilities other than those above stated 20,000.00 Total. 406, 530. 75 10, 356.78 22, 500. 00 406, 530.75 First National Bank, Dunlap. T. F. JORDAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds - 4. Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 4139. $76, 551. 81 1, 598. 05 12, 500.00 4,100. 00 4,466.39 31.98 1,120. 00 1, 205.00 562. 50 102,135.73 H. A. MOORE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 3,700.00 3,754.55 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 33,431.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 102,135.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 235 IOWA Merchants' National Bank, Eagle Grove. W. S. "WORTHINGTON, President No. 4694. J . P . CLARK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Liabilities. $60,691.29 641.52 18,750. 00 2,250.00 'l2, Capital stock paid in. 5,600.00 2,152.46 16, 870.00 000." 66 567.12 1,490. 59 217.35 1,041.00 26.83 1,442.60 500.00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 843. 50 22, 839.34 3,000.00 Liabilities other than those above stated Total. 100,461.80 Total. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,461.80 First National Bank, Elkader. No. 1815. W M . LARRABEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture8 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S Total . H. MEYER, Cashier. $78,147.45 Capital stock paid in. "12,500.66 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14, 226. 26 5, 800. 00 2,676.88 833.47 6, 577. 08 180. 20 1,002. 00 4.58 6,924.75 1,000. 00 $50,000.00 11, 000. 00 483.02 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 56,702.15 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated Total . 129,435.17 129,435.17 First National Bank, Emmetsburg. E. S. ORMSBY, President. Loans and discounts Overdrafts .U. S. bonds to secure circulation... U. S. bonds to secure deposits... U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Dae from Treasurer U. S Total. No. 3337. $124,166.44 1, 234.23 20, 000.00 15,000.00 896.88 1, 940.29 11,289.42 2, 659.66 55.00 143. 91 12,214.15 1,000. 00 A. H. KELLER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding $80,000.00 8,500.00 1,099.98 18, 000.00 Due to other national banks Due to State banks and barkers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 83, 900. 00 Notes and bills rediscounted. Bills payable 900.00 Liabilities other than those above stated 191,499.98 Total . 191,499.98 236 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Estherville. No. 4700. P . E. ALLEN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $122,162. 68 1, 252. 43 12, 500. 00 1, 000.00 12,275.00 1,100. 00 1,549. 07 8,510.71 608. 28 95.00 174. 86 4,183. 00 2,980. 00 562. 50 168, 953.53 Total. J. P. KIRBY, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 Due to other national banks Due to State banks and bankers -. Dividends unpaid 847. 01 3, 358.36 Individual deposits United States deposits Deposits of U.S.disbursing oflicers. 86,177.08 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. "10,000.00 2,271.08 11, 250.00 50.00 5,000.00 168, 953.53 First National Bank, Fairfield. No. 1475. B. S. MCELHINNY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house l i Bills of other national banks othe a s Fractional currency, nickels, cents. ikl Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $74, 981. 85 436. 99 35, 000. 00 3, 875. 00 75, 207. 72 15, 000. 00 4, 909.44 8, 711.16 1,207. 33 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 5, 004. 06 30, 880.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits " ioo.'oo" United States deposits 91.16 Deposits of U.S.disbursing officers. 6,332.00 8, 823. 00 Notes and bills rediscounted. Bills payable 1,575.00 Liabilities other than those above 236,250. 65 Total. JOHN D A VIES, Cashier. Capital stock paid in , stated Total. 80, 366. 59 236, 250.65 First National Bank, Forest City. B. A.PLUMMEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits. -. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Kedemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 4889. $144,521. 63 1, 537.14 12, 500. 00 1, 546.87 8,483*50 13, 333.34 17, 615.58 60.00 452.00 124. 22 4,723160 3,000.00 562. 50 208,460.38 W. O. HANSON, Cashier. Capital stock paid in . $50, oooToo Surplus fund „ Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 849. 88 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 405.16 Individual deposits United States deposits Deposits of U.S.disbursing officers . Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 2, 000. 00 123, 955.34 11, 000.00 208,460.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 237 IOWA. Forest City National Bank, Forest City. C. J. THOMPSON, President. No. 5011. G S. GILBERTSON, Cashier. k Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secuie circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $28,194.19 " 12,500.66 1, 578.12 Capital stock paid in $35,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 303.86 11,250.00 "8," 766." 56' 11,452. 50 284.68 320.66 13.07 3, 902. 55 210.00 *"""562*.56" Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 4,137.41 17,092.90 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 67,784.17 67,784.17 First National Bank, Fort Dodge. S. T. MESERVEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national joanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U.S Total. No. 1661. $679,447.06 1, 368.81 60,000. 00 5,800. 00 17, 446. 29 24, 000. 00 4,472.23 19,025. 50 12,923. 83 97,041. 56 338.49 1, 388. 00 348.14 10, 335. 00 20, 000. 00 E . H . R I C H , Cashier. Capital stock paid in. 2007000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 11,971.62 54,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 107, 023. 35 162,299.80 Individual deposits U nited States deposits Deposits ofU.S. disbursing officers. 381, 340.14 Notes and bills rediscounted. Bills payable 2, 700. 00 Liabilities other than those above stated Total. 956, 634. 91 956,634.91 Commercial National Bank, Fort Dodge. S. J . BENNETT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4566. $117, 225.44 130. 71 12, 500. 00 1, 500. 00 4,153. 34 2,000. 00 138.77 2, OOG. 89 4, 655. 26 84.03 J . "W. CAMPBELL, Cashier. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 27,000.00 Due to other national banks Due to State banks and bankers.. 95.01 190.46 Dividends u n p a i d . . . . . . . . . . . . . . . . Individual deposits 375." 66" United States deposits 203. 65 Deposits of U.S.dis bursing officers. 8,161. 75 2, 700. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 156,397.34 1,008.46 11,250.00 Total 61,853.41 5,000.00 156,397.34 238 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Fort Dodge National Bank, Fort Dodge. A. T. GUNTHER, President. J. C. CHENEY, Cashier. No. 2763. Liabilities Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.TJ. S. Due from Treasurer U. S $196, 240.52 849.45 25,0C0.00 3,754.70 6, 699.75 109.32 20,136.04 253.62 Capital stock paid in. 16, 000. 00 Due to other national banks Due to State banks and bankers.. 2,252. 53 17, 986. 65 4, 842. 89 22, 500. 00 Dividends unpaid Individual deposits " "I, O49."66 United States deposits 15.98 Deposits ofU. S. dis bursing officers 9,800.00 4, 000. 00 Notes and bills rediscounted. Bills payable 1,125.00 . Liabilities other than those above I stated 120,451.31 10,000.00 Total 269, 033. 38 Total. $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 269,033.38 First National Bank, Fort Madison. D. A. MORRISON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3974. J . A. S. POLLARD, Cashier. $141, 071. 06 Capital stock paid in $100,000.00 353. 56 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3,599. 59 2, 700. 00 National-bank notes outstanding. 22, 500. 00 28,380.00 State-bank notes outstanding 2, 500.00 4,875.00 Due to other national banks 7,732.29 Due to State banks and bankers.. 101,941.44 49.53 19, 359.12 Dividends unpaid 1,196. 68 Individual deposits 32, 540.24 327. 00 United States deposits 156. 53 Deposits of U.S. disbursing officers. 18, 851.50 6, 904. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 260,581.27 Total. 260, 581.27 First National Bank, Garner. J. M. ELDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ; S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cast items Exchanges for clearing house Bills of other nationall>anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4810. $79, 540.99 1, 334. 03 12, 500. 00 1, 500. 00 155. 00 7,900. 00 2, 348.45 5,104.11 CHAS. W. KNOOP, Cashier. $50,000.0C Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1,765.31 11, 250. 00 2,517.44 6, 542.17 2,222.11 500. 00 16.75 3,805.00 2, 000. 00 562.50 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 55,498.56 Notes and bills rediscounted Bills payable 5, 000. 00 Liabilities other than those above stated 126,031.11 Total , 126,031. XX REPORT OF THE COMPTROLLER OF THE CURRENCY. 239 IOWA. Mills County National Bank, Glenwood. Gfio. MICKELWAIT, President. No. 1862. Resources. Loans and discounts... * * Overdrafts IT. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand * Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $125,514.26 1,438.64 16, 250. 00 2, 000.00 28, 883.40 2, 000.00 2, 667.70 2,923.91 8, 606. 56 472.21 1, 800.00 226.92 10,543. 00 1, 858.00 436.25 205,620.85 Total. A. C. SABIN, Cashier, Liabilities. Capital stock paid in *..... Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.... Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. $65,000.00 39,000.00 4,852. 50 14,625.00 53.51 82, 089.84 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 205, 620. 85 First National Bank, Glidden. No. 4814. S. C. DUNKLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $y9,890. 37 1,681.4212,500. 00 D. E. WALDRON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 2,850.00 1,110.07 11,250.00 * 7,000.00 12,136. 01 571.31 650. 00 13.62 3,114.40 500. 00 562.50 138, 619.63 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Billspayable Liabilities other than those above stated Total. 63,409. 56 10, 000.00 138, 619.63 First National Bank, G-rinnell. H. K. EDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg'a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1629. $222, 609. 82 577.75 25,000.00 2, 800.00 2, 555.84 1, 932. 00 1, 626.87 1, 320. 53 1,467.93 367.94 584.00 301.42 9, 518.00 6,500.00 1,125.00 250. 00 278,537.10 H. C. SPENCER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 Due to other national banks , Duo to State banks and bankers. Dividends unpaid 520.97 20,000.00 2,937.99 22,500.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 112,578.14 Notes and bills rediscounted Billspayable Liabilities other than those above stated Total 15, 000.00 5,000.00 278,537.10 240 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Merchants' National Bank. Grinnell. SAMUEL F . COOPER, President. No. 2953. GEO. H. HAMLIN, Cashu Liabilities. Resources. $211,655.30 Loans and discounts. 1, 281. 85 Overdrafts 30,000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 3, 350. 00 Stocks, securities, etc !Bank'ghouse,furniture,and fixtures "i," 980.'00 Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers. . 3, 870.48 Due from approved reserve agents- j 5,24'd. 47 Checks and other cash items Exchanges for clearing house 710.66 Bills of other national banks , 59.67 Fractional currency, nickels, cents. 4,465.00 Specie 3, 000. 00 Legal-tender notes ! l U. S. certificates of deposit . Redemption fund with Treas. U. S.j 1, 350. 00 Due from Treasurer U. S Capital stock paid in. 10, 000. 00 1, 828. 69 27, 000. 00 Duo to other national banks Due to State banks and bankers . Dividends unpaid 312. 26 Individual deposits United States deposits Deposits of U. S.disbursing officers 108, 000. 96 Notes and bills rediscounted Bills payable 38.50 10, 000. 00 10, 000. 00 Liabilities other than those above stated 267,180.41 Total . $100, OUo. OJ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 267,180.41 First National Bank, Griswold. THEO. H. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fuvniture, and fixtures Other real estate and mortg's owned Due from other national bunks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national T)anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3048. $124, 898. 43 7,721.94 12, 500. 00 1, 000. 00 3, 676.51 8,000.00 3. 469. 67 9, 292.19 1, 005.15 7,475. 50 626.67 6,653.66 139. 46 770.00 7,500. 00 562. 50 R. L. BROWN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 808. 76 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 195, 291. 02 Total . 108,107.48 14, 918. 66 195, 291. 02 First National Bank, Grandy Center. GEORGE WELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. R. M. FINLAYSON, Cashier. No. 3225. $81,414.57 | Capital stock paid in. 44.13 12,500.00 Surplus fund Undivided profits, less current I expenses and taxes paid 1,200. t)0 National-bank notes outstanding. State-bank notes outstanding 10, 000.00 7, 296. 84 Due to other national banks 270. 55 Due to State banks and bankers. 4, 684.40 Dividends unpaid $50,000. 00 3, 500.00 369. 31 11, 250. 00 203. 46 Individual deposits 190.00 [ United States deposits 108. 83 | DepositsofU.S.disbursingofficers. 3, 525. 00 4,266. 00 Notes and bills rediscounted.-. Bills payable 61,146. 97 662.50 Liabilities other than those above stated 126, 266.28 Total . 126,266. 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 241 IOWA. Grundy County National Bank, Grundy Center. S. R. RAYMOND, President. No. 3396. H. S. BECKMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes X S. certificates of deposit L Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $222, 854. 22 Capital stock paid in. .60 12, 500. 00 i j Surplus fund | Undivided profits, less current I expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 800. 00 Due to other national banks " 1,528*78 Due to State banks and bankers.. 25,312.39 100. 80 111.27 5, 375. 30 5,125. 00 562. 50 275,270.86 $50, 000.00 25,000.00 19, 580. 07 11,250.00 12.10 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 169,428.69 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 275, 270.86 First National Bank, Hartley. J . P. GROSS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. E. E. HALL, Cashier. No. 4881. $85, 577. 94 Capital stock paid in. 6, 399. 63 12,500. 00 Surplus fund. 6, 000.00 urplus Undivided profits, less current 1, 316. 55 expenses and taxes paid 1, 531.25 National-bank notes outstanding. 11, 250. 00 267.50 State-bank notes outstanding 5, 919. 64 210.89 Due to other national banks 3, 831. 77 Due to State banks and bankers.. 4,154. 98 Dividends unpaid 351. 97 Individual deposits 56, 791.02 565. 00 United States deposits 6.99 Deposits of U.S.disbursing officers. 3, 825. 00 2,946. 00 Notes and bills rediscounted 2, 871. 71 Bills payable 562. 50 Liabilities other than those above stated 128, 440.17 Total. 128,440.17 First National Bank, Ha war den. ¥ M . W. HALL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer TJ.S Total. http://fraser.stlouisfed.org/ PT 2 CUR, Federal Reserve Bank of St. Louis F. E. WATKINS, Cashier. No. 4594. $130,532.05 Capital stock paid in. $75,000.00 1, 761. 53 19, 000. 00 Surplus fund 15, 000.00 Undivided profits, less current expenses and taxes paid 5, 688.63 17,100.00 1, 600. 00 National-banknotes outstanding St ate- bank notes outstanding 8, 234.19 13, 070. 23 Due to other national banks 1, 916. 01 Due to State banks and bankers. 5, 653. 55 1. 460. 25 Dividends unpaid 103.51 Individual deposits 67, 636.68 United States deposits 17.87 Deposits ofU.S.disbursing officers. 3,700. 65 5,310.00 Notes and bills rediscounted 6, 789. 53 6, 000.00 Bills payable 855.00 Liabilities other than those above stated 193, 214. 84 16 Total. 193,214.84 242 REPORT OF THE COMPTROLLER OF THE CURRENCY. IO W A . First National Bank, Holstein. No. 4553. F . S. MANSON, President. E. H. MCCUTCHEN, Cashier. Resources. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits I TJ. S. bonds on hand ! Premiums on U.S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures! Other real estate and rnortg's owned! Due from other national banks ! Due from State banks and bankers. I Due from approved reserve agents.! Checks and other cash items I Exchanges for clearing house I Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer U. S Liabilities. $84. 093. 00 3, 767. 30 12,500. 00 1,875. 00 1, 454. 00 28, 962. 77 2, 250.00 6, 801.15 2, 352. 37 20.85 1,179. 44 3, 405. 00 562. 50 390.00 Capital stock paid in. 6, 500. 00 40.53 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 66, 822.85 15, 000. 00 Liabilities other than those above stated 149, 613. 38 Total . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 149, 613. 38 Total . First National Bank, Independence. RICHARD CAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g ho use, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 559, 787. 01 Total . "W. W. DONNAN, Cashier. No. 3263. $329,671.16 Capital stock paid in. 2,052.79 I 25,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 758. 41 State-bank notes outstanding 17, 500. 00 6, 000. 00 Due to other national banks 72,498.11 Due to State banks and bankers. 4, 982. 25 45, 277. 06 Dividends unpaid 2, 900. 00 Individual deposits "2,315.00 United States deposits 973. 03 Deposits of U.S. disbursing officers. 21, 875. 20 20,859.00 I Notes and bills rediscounted Bills payable Liabilities other than those above stated $100, 000.00 20, 000. 00 73,166. 92 22, 500.00 344,120. 09 559,787.01 Total. People's National Bank, Independence. THOMAS EDWARDS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers, j Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. J. F. COY, Cashier. No. 2187. $151, 804. 09 1, 807. 65 20, 000. 00 2, 500. 00 "2," 500." 66' "2," 008*68" 2,127. 46 2,198.19 508. 00 209. 31 13,168.19 507. 00 900. 00 200, 238. 57 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75,000.00 15, 000, 00 5, 088. 87 18, 000. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 87,149. 70 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 200,238.57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 243 IOWA. First National Bank, Indianola. No. 1811. J . Gr. SANDY, President. Gr. A. WORTH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank 'g house, furniture, andfixturesi Other real estate andmortg's owned: Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . . . Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $116, 217.12 2,617.47 12, 500. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 9, 300. 00 'i," 170." 66 13,292.51 2, 063. 83 3, 548. 00 280.30 10, 950. 00 7, 500. 00 562. 50 300. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers . Notes and bills rediscounted Bills payable Liabilities other than those above stated 180, 302. 39 Total . 79, 535. 78 Total . 180, 302. 39 First National Bank, Iowa City. PETER A. DEY, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal- tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2738. LOVELL SWISHEK, Cashier. $248, 278. 78 Capital stock paid in $100, 000. 00 11,517.00 25,000. 00 Surplus fund 30, 000. 00 Undivided profits less current expenses and taxes paid 12, 284. 61 2, 250. 00 National-bank notes outstanding. 22, 500. 00 550.00 State-bank notes outstanding.. 13, 500. 00 12, 838. 37 Due to other national banks 1, 422. 79 Due to State banks and bankers.. 113.09 752. 95 14,457.47 Dividends unpaid 208. 00 5, 309. 82 Individual deposits 200,164. 33 3,105. 00 United States deposits 89.10 Deposits of U.S.disbursing officers. 24, 667. 75 15, 406. 00 Notes and bills rediscounted 15, 000. 00 Bills payable 1,125. 00 Liabilities other than those above stated 380, 270. 03 Total. 380, 270. 03 First National Bank, Iowa Falls. J . H . CARLETON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Sx>ecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3252. $139, 677. 48 3,162. 94 12, 500. 00 55.55 9, 740. 00 1,000.00 2,174. 92 9, 364. 82 9.56 W. H. WOODS, Cashier. Capital stock paid in. • Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits "l," 970." 66' United States deposits 70.17 Deposit s of U.S.disbursing officers4, 457. 00 642.00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 185, 386. 94 Total. j $50, 000. 00 25, 000. 00 32, 521. 90 11, 250. 00 10,715.83 52, 899.21 3, 000.00 185, 386. 94 244 REPORT OF TBE COMPTROLLER OF THE CURRENCY. IOWA. Keokuk National Bank, Keokuk. No. 1992. S. P. POND, President. E. F. BROWNELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits— TJ. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $202, 607. 75 3,900. 26 65,000. 00 Capital stock paid in 17, 300. 00 Due to other national banks j Due to State banks and bankers.. j Dividends u n p a i d 1 1, 273. 02 16, 706.53 j Individual deposits j 668. 00 | United States deposits 46. 56 Deposits of U.S.disbursing officers. 23,810.00 14,000.00 i Notes and bills rediscounted Bills payable 157, 360. 53 7,129. 28 1, 000. 00 4,465.00 8, 000. 00 1,044.46 816. 75 35,846.35 1, 006.69 •2, 925. bo 888.52 58, 500. 00 .1 j 237.50 ! Liabilities other than those above stated 352,266.10 Total . 352, 266.10 Total . $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Citizens' National Bank, Knoxville. S. L. COLLINS, President. No. 4633. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits TT. S. bonds on hand , j Premiums on U. S. bonds ! Stocks, securities, etc j Bank'g bouse, furniture,aiicl fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $97, 622.03 2,909.17 35, 500. 00 $50, 000. 00 Surplus fund | Undivided profits, less current expenses and taxes paid 2, 0.00 National-bank notes outstanding. State-bank notes outstanding 11, 953. 66 I Due to other national banks. 417. 38 Due to State banks and bankers. 4, 673. 75 5, 307. 67 Dividends unpaid 1, 938. 46 Individual deposits 307. 00 United States deposits 167. 60 DepositsofU.S.disbursingofficers. 1, 373. 00 5, 800. 00 Notes and bills rediscounted. Bills payable 1, 596. 50 Liabilities other than those above stated 172, 395. 56 Total . LAFE S. COLLINS, Cashier. Capital stock paid in. 5,000. 00 10,174.13 31, 930. 00 284. 00 70, 007. 43 5, 000.00 172, 395. 56 Total Knoxville National Bank, Knoxville. E. £L AMOS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 1871. $205,125. 23 6,136. 56 25,000.00 10, 550. 00 2, 970. 90 6, 695. 38 1,785.28 J. B. ELLIOTT, Cashier. Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22, 000. 00 4,969. 55 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. j Notes and bills rediscounted j "i," 125." bo" Bills payable ! 200.00 Liabilities other than those above stated 475. 00 115. 64 9, 802. 70 6, 000. 00 275, 981.69 $ 100,000.00 Total . 30.00 116,482.14 10, 000.00 275,981.69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 245 IOWA. Marion County National Bank, Knoxville. O. P . WRIGHT, President. No. 1986. O. L. WRIGHT, Cashier. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sownedl Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $157, 257. 39 3,182. 51 15,000.00 Capital stock paid in. 12, 000. 00 41.22 13, 500. 00 Due to other national banks Due to State banks and bankers.. . 6,212.70 | Dividends unpaid. 42.23 264.91 I 05.00 92.13 9,435. 00 5,000. 00 675.00 Individual deposits ' United States deposits J. Depositsof U.S.disbursingofficers j - 111,540.91 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 197,226.87 Total. $60,000. 00 Snrpl usfund Undivided profits, Jess current expenses and taxes paid National-bank notes outstanding State bank notes outstanding Total . 197, 226. 87 First National Bank, Lake City. No. 4966. S. T. HUTCHISON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $66, 813. 86 16. 34 13, 000. 00 325. 00 G. B. WHEELER, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 946. 35 565. 52 11,700.00 ! Due to other national banks j Due to State banks and bankers. 3, 796. 30 Dividends unpaid 302.23 I ! Individual deposits i ! 40.00 United States deposits 24.10 j DepositsofU.S.disbursingofficers5,279.10 2,455.00 Notes and bills rediscounted. Bills payable 585.00 Liabilities other than those above stated 109, 216.86 Total. 36, 004. 99 10, 000. 00 109,216.86 First National Bank, La Porte City. R. A. PERKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4114. $120,918. 39 2, 971.14 12, 500. 00 F . E. WETTSTEIN, Cashier. Capital stock paid in Surplusfund. .*. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 18,000.00 773.23 11,250.00 2,450.00 2, 062. 28 341. 85 3,172.14 231. 84 Due to other national banks Due to State banks and bankers..! Dividends unpaid j Individual deposits 308.* 66 United States deposits 60.23 Deposits of U. S.disbursing officers. 5, 530. 65 2, 000. 00 Notes and bills rediscounted. Bills pa37able 562.50 300.00 Liabilities other than those above j stated i. 153, 409. 02 Total . 63, 385. 79 10, 000.00 153,409.02 246 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Laurens. F . H. HELSELL, President. No. 4795. W. A. M C N E E , Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand j Premiums on I). S. bonds ! Stocks, securities, etc ! Bank'ghouse,furniture,andnxturesj Other real estate and mortefs owned Due from other national banks ! Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. Capital stock paid in. 2, 500. 00 1, 355.18 7, 752. 53 199. 63 " **40.'66 12.61 550. 85 670. 00 2, 700. 00 1, 222. 31 11,250.00 D u e to o t h e r national b a n k s D u e to State b a n k s a n d b a n k e r s . Dividends unpaid 29, 613.81 I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 562." 50 Liabilities other than those above stated Total . 94, 786.12 Total . $50,000. 00 Surplus fund Undivided profits, less c u r r e n t expenses a n d taxes paid N a t i o n a l - b a n k notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 94, 786.12 First National Bank, Le Mars. No. 2728. P. F . DALTON, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits . TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing houso Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $409, 575. 35 12, 002. 99 30, 000. 00 I $100, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid j National-bank notes outstanding8, 500. 00 State-bank notes outstanding 15, 600. 00 Due to other national banks 33, 562.11 30, 616. 51 Due to State banks and bankers.. j 43, 844.12 ! 1,048.31 Dividends unpaid 50, 000.00 "i,725" 00' 69. 62 19, 013. 50 3,898. 00 850. 00 Individual deposits I United States deposits ! Depositsof U.S.disbursing officers.! Notes and bills rediscounted Bills payable Liabilities other than those above i stated « Total . 610,305.51 Total . G. L. WEKNLI, Cashier. Capital stock paid in 35, 470. 94 27,000. 00 21, 098.06 376, 736. 51 610,305.51 Le Mars National Bank, Le Mars. WILLIAM H. DENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks ! Due from State banks and bankers. j Due from approved reserve agents. j Checks and other cash items ! Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2818. G. C. MACLAGAN, Cashier. $163,270.35 I Capital stock paid in 8,574.40 ! 25, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 14,000.00 ! State-bank notes outstanding 63,300.00 I 5,100.00 Due to other national banks Due to State banks and bankers.. 1,129.98 || 4,110.87 || Dividends unpaid 2,121.55 Individual deposits 950.00 United States deposits 38.13 Deposits of U.S. disbursing officers.! $100, 000.00 12, 000. 00 1, 206.15 22, 500. 00 8,173. 74 97, 350. 69 3, 903.30 6, 507. 00 1,125. 00 299,130. 58 Notes and bills rediscounted Bills payable 16, 400. 00 16, 500. 00 Liabilities other than those above j stated ! Total I 25, 000. 00 299,130.58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 247 IOWA. First National Bank. Lyons. No. 2733. D. J . BATCHELDER, President. WILLIAM HOLMES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other realestate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU, S $500,275. 65 1, 269. 68 80, 000. 00 Capital stock paid in. 50, 000. 00 8, 043. 31 2, 669. 68 41, 351.11 Due to other national banks Due to State banks and bankers.. 4, 226. 37 12, 323.13 64, 852.10 Dividends unpaid 3,064.00 135.15 22, 837. 30 10, 000. 00 Individual d posits < United States deposits Deposits of U.S.disbursing officers. 9, 223.02 58,497. 50 503,827. 96 Notes and bills rediscounted. Bills payable 3, 600. 00 Liabilities other than those above stated Total. 738, 097.98 Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 738, 097. 98 Citizens' National Bank, Lyons. No. 4536. L. B. WADLEIGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'glioase,furniture,andfixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. $230, 834. 61 316.36 25, 000. 00 3, 250.00 3, 736.12 593.04 2,919.78 16, 404. 29 339. 75 " i , 3o6.66 88.81 23, 083.05 1,000.00 1,125. 00 309, 990. 81 VIRTUS LUND, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 018. 58 22,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 139.47 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2, 675.00 180, 657. 76 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 309, 990. 81 First National Bank, Malvern. «T. M. STRAHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Total JAMES J. WILSON, Cashier No. 2247. Capital stock paid in $50, 000.00 $129, 452. 24 649. 02 12, 500. 00 1, 675.00 1,190.06 10, 777.02 1,185. 61 6, 621.98 1, 057.01 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1, 666. 93 11, 250. 00 11.74 Dividends unpaid Individual deposits United States deposits 9." i7" Deposits of U.S.disbursingofficers. 6, 259.15 900.00 Notes and bills rediscounted Bills pay able 562. 50 Liabilities other than those above stated 172, 838. 76 20, 000. 00 Total 81, 215.14 8, 694.95 172, 838.76 248 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Farmers' National Bank, Malvern. No. 4834. A. J. CHANTRY, President W. M. EVANS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ' Bank'gbouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items | Exchanges Exchanges for clearing h house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer U, S Liabilities. $79,060.15 595.89 12,500.00 5,500.00 1,266.17 3, 548. 92 23.61 525. 00 19.05 3, 405.00 1,000. 00 Total. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 2,250. 00 571.52 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoffieers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 44, 234.77 108, 306. 29 First National Bank, Manchester. No. 4221. A . R. LdOMts, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S $131, 786. 35 1, 845. 22 12,500.00 9,200.00 2, 381. 66 3, 797.98 1, 803. 55 32.68 8, 593. 35 12, 000. 00 562. 00 350.00 187, 557. 79 Total. M. F . L E ROY, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 5,000.00 4, 064. 00 11, 240. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers 117, 253.79 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 187,557.79 First National Bank, Manning. D. W. SUTHERLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 3455. Capital stock paid in. $147,895.16 162.00 12, 500.00 O. E. DUTTON, Cashier. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 9, 000. 00 19, 641.43 298. 42 1, 065.00 1.17 7,200. 00 562. 50 198, 325.68 $50,000. 00 10,000.00 1,217. 28 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 125,858. 40 Notes und bills rediscounted. Bills payable Liabilities other than those above stated Total. 198,325.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 249 IOWA. First National Bank, Maquoketa. No. 999. J. E. SQUIERS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total C. VON SCHRADER, Cashier. Liabilities. $196, 377. 62 |l Capital stock paid in 624.00 12,500.00 Jj Surplus fund $50, 000. 00 jj Undivided profits, less current ji expenses and taxes paid 1, 580. 00 I National-bank notes outstanding. I 9, 023. 96 State-bank notes outstanding 8, 000. 00 2. 759. 30 27,212.14 5,000. 00 17, 781.40 i,'326." 66 48.02 12,047.00 5, 000.00 562. 50 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 15, 000. 00 4,711.56 11, 250. 00 169.16 218, 715.22 Notes and bills rediscounted. Bills payable Liabilities other than those above 299,845.94 stated Total . 299, 845.94 First National Bank, Marathon. No. 4789. J. P. FARMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . S. T. GOLTRY, Cashier. $102,031.42 Capital stock paid in. 1, 910. 62 12, 500. 00 Surplus fund 98.07 5, 000. 00 4, 932. 36 117.25 6,360. 45 273. 63 35. 00 15.28 4,419. 70 583.00 562.50 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000.00 2, 097. 71 10,900.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 67, 841. 57 5, 000.00 Liabilities other than those above stated 138,839.28 Total . 138, 839. 28 First National Bank, Marengo. J. H. BRANCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total No. 2484. $84, 663. 27 1,137.69 12,500.00 1,341.32 11, 000. 00 300. 00 2,833. 59 4.59 5,483. 93 57.76 Q. P. RENO, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits i,'845.*o6' United States deposits 35.41 Deposits of U.S.disbursingofficers. 8, 987.85 1, 885. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above 132,637. 91 stated Total $50, 000. 00 8, 509. 68 888. 52 9, 930.00 550. 78 17, 653.55 100. 00 40, 005. 38 5,000.00 132, 637.91 250 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Marion. No. 2753. J A Y J . SMYTH, President. J. S. ALEXANDER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. 5162, 810. 02 3,514.64 12, 500. 00 Capital stock paid in. 96.66 2, 400. 00 88.15 4, 535. 00 1,565. 00 562.50 Individual deposits United States deposits Deposits of U.S.disbursing officer^. Notes and bills rediscounted Bills payable 25, 000. 00 2,048.69 11, 250. 00 923/00 12, 052.01 101, 582.15 10,581.11 Liabilities other than those above stated Total . 213, 436.96 Total. $50, 000.00 I Surplus fund urplus Undivided profits, less current Fndivid expenses and taxes paid 1, 625. 00 National-bank notes outstanding. State-bank notes outstanding 18, 614. 62 Due to other national banks 632. 91 Due to State banks and bankers.. I 402. 84 4, 089. 62 Dividends unpaid. 213,436.96 First National Bank, Marshalltown. No. 411. J . P . WOODBURY, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $377,172. 76 4,454.70 25, 000. 00 T. J. FLETCHER, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,159.23 17, 500. 00 12,783.03 Due to other national banks 3, 054. 92 Due to State banks and b a n k e r s . . . 5, 668. 58 10,681.53 Dividends unpaid 1,918.49 Individual deposits 2,127.00 United States deposits 106. 98 Deposits of U.S disbursing officers. 26,086. 25 4, 390. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated Total . 494, 228.47 25, 000. 00 1, 572. 31 22, 050. 00 958.12 16, 477.53 319,170. 51 9, 000. 00 494,228. 47 City National Bank, Marshalltown. No. 4359. D. T. DENMEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc | Bank'ghouse,furniture.and fixtures! Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers . Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $140, 214. 31 2, 439. 78 25, 000. 00 23, 50, 16, 2, 641.08 000. 00 452. 24 293. 08 8, 356. 46 1, 277. 60 C. C. ST. CLAIR, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid I Individual deposits 5, 980. 00 United States deposits 70.68 Deposits of U.S. disbursing officers 7,191.75 7, 976. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 292, 017.98 Total . $100,000.00 15, 000. 00 2, 409.17 22,100.00 3, 000. 00 149, 508. 81 292,017.98 BEPORT OF THE COMPTROLLER OF THE CUREEtfO?. 251 IOWA . First National Bank, Mason City. No. 2574. H. I. SMITH, President. C. H. MCNIDER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bondson hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniture,and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels cents. Specie Legal-tender notes I TJ. S. certificates of deposit ! [Redemption fund with Treas U. S.i Due from Treasurer U. S I I Total. $305,645. 92 Capital stock paid in. 2, 585.44 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 900. 00 I Due to other national banks 13,606.49 Due to State banks and bankers.. 886.13 26,492. 65 Dividends unpaid 2,513.51 i Individual deposits 6,191. 00 j United States deposits 356. 80 i Deposits of U.S.disbiirsingofficers 22, 083. 00 14,000. 00 Notes and bills rediscounted. Bills payable 562.50 ! Liabilities other than those above stated 411,383.44 Total. $50, 000. 00 15, 000.00 35, 354.12 11, 250. 00 13, 659. 25 16; 169.65 269, 950. 42 411,383.44 City National Bank, Mason City. No. 4587. JAMES RULE, President. A. H. GALE, Cashier, $175, 579.10 j Capital stock paid in i Loans and discounts. 3,258.84 [ I Overdrafts 12, 500. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits. Undivided profits, less current U. S. bonds on hand !. .. expenses and taxes paid Premiums on U. S. bonds I 1, 500.00 National-bank notes outstanding. Stocks, securities, etc j... State-bank notes outstanding Bank'ghouse,furniture,and fixtures I 2, 000. 00 Other real estate and mortg'sownedi. Due to other national banks ' 8,171.59 Due to State banks and bankers.. • Due from other national banks 341. 65 Due from State banks and bankers. 21,590.35 Dividends unpaid ' Due from approved reserve agents. 1, 288. 65 Checks and other cash items Individual deposits j Exchanges for clearing house "17*520." 66' United States deposits i. Bills of other national Danks Fractional currency, nickels, cents. 371.70 Deposits of Q.S.disbursingofficers J. Specie 1, 934. 00 Legal-tender notes 15, 000. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 562.50 Due from Treasurer U. S Liabilities other than those above stated 261, 618. 38 Total. Total. $50., 000.00 15, 000. 00 12,150. 26 11,250. 00 5,183. 60 7, 732.46 , 150, 302. 06 10, 000. 00 261,618.38 First National Bank, McGregor. FRANK LARRABEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. R. KINNAIRD, Cashier. No. 323. $174, 897. 35 Capital stock paid in $100,000.00 380. 20 25, 000. 00 Surplus fund 25, 000.00 Undivided profits, less current 1, 524. 04 expenses and taxes paid 22, 000. 00 National-bank notes outstanding. 42, 572. 45 State-bank notes outstanding 8, 700. 00 Due to other national banks 1, 656. 66 Due to State banks and bankers.. 9, 710.10 1, 487. 36 24, 730. 34 Dividends unpaid 2, 273. 00 672. 69 Individual deposits 146, 992. 32 5,420.00 j United States deposits J 70.76 l| Deposits of U.S.disbursingofficers-: 16,655.65 I I 4,131.00 ii Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 307, 499. 46 Total. 307, 499.46 252 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Missouri Valley. No. 3189. L. M. KELLOGG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $145 632.09 i Capital stock paid in „ 5,814.75 17, 000. 00 Surplus fund Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6,165. 00 Due to other national banks 3.203.37 Due to State banks and bankers. 35.00 2, 806. 99 Dividends unpaid 1,141.04 Individual deposits 2, 085.00 United States deposits 34.47 Deposits of U.S.disbursingoflicers. 8, 743. 30 2, 700. 00 Notes and bills rediscounted. Bills payable 765. 00 I Liabilities other than those above I stated Total. 196,126. 01 Total . JNO. S. McGrAVREN, Cashier. j! Resources. $50, 000. 00 46, 000. 00 2, 938. 90 15,300.00 81, 887.11 196,12£. 01 First National Bank, Montezuma. N o . 2961. JOHN HALL, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. 6.03 606.95 12, 500. 00 386. 35 4,043.19 G-. W. KIERULFF, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. " 7," 687." 94' Dividends unpaid 5, 980.00 11, 250. 00 348. 07 Individual deposits U nited States deposits 2.45 I Depositsof U.S.disbursingofficers. 3, 496. 65 301.00 Notes and bills rediscounted. Bills payable ""562.50 Liabilities other than those above stated Total . 114,801.13 225.00 43, 346.13 4,000.00 114,801.13 First National Bank, Mount Pleasant. "W. G-. SAUNDERS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, fnrniture,and fixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . T. J. VAN HON, Cashier. No. 299. $135, 689. 64 224. 72 25,000.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,500. 00 National-bank notes outstanding. 21,148. 79 State-bank notes outstanding 791. 08 22, 500. 00 Due to State banks and bankers.. 15, 864. 41 12, 000. 00 9, 963. 57 Due to other national banks 9, 564. 59 16, 204. 50 Dividends unpaid 6, 713. 94 Individual deposits 110. 00 United States deposits 96.48 Depositsof U.S.disbursingoflicers. 12,672.15 5,192. 00 Notes and bills rediscounted. Bills payable 1,125.00 25, 000.00 30.00 94,019.89 Liabilities other than those above stated 258,205.38 1 Total. 258,205.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 253 IOW A. National State Bank, Mount Pleasant. ROBT. S. GiLLis, President. No. 922. J AS. T. WHITING, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank1ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $244. 572.45 209. 76 25, 000. 00 1, 050. 00 16, 559. 22 13, 000. 00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding I Due to other national banks 6,636.20 lj Due to State banks and bankers.. 122. 35 32, 244. 26 Dividends unpaid 7,365. 01 Individual deposits 295.00 United States deposits 92.47 Deposits of U.S.disbursing officers. 29, 364. 60 10, 081. 00 Notes and bills rediscounted. Bills payable 1,125. 00 i Liabilities other than those above stated 387, 717. 32 Total . $100,000. 00 50, 000. 00 43, 527. 57 22;500.00 17, 363. 39 154, 326. 36 387, 717.32 First National Bank, Muscatine. No. 1577. S. G. STEIN. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to sec ure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S S.M.HUGHES, Cashier. $163, 246. 51 Capital stock paid in. ! 5,587.19 i 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 025.00 National-bank notes outstanding. 16, 752.51 State-bank notes outstanding ia, BOO. oo 1, 900. 00 Due to other national banks 3, 469. 14 4, 233. 24 Due to State banks and bankers.. 2, 574. 99 Dividends unpaid 1,769.83 Individual deposits 2, 655. 00 United States deposits 66.13 Deposits of U.S. disbursing officers. 19, 504. 00 6, 000. 00 1,125. 00 $50, 000. 00 50, 000.00 3, 663. 30 22, 500. 00 217. 29 1,838.76 1,452.00 139, 737.19 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 269,408. 54 Total 269, 408. 54 First National Bank, Nevada. R. J . SlLLlMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures! Other real estate and mortg's owned: Due from other national banks Due from State banks and baDkers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks , Fractional currency, nickels, cents.! Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total No. 2555. $164,144.35 8,011.69 12, 500. 00 W. F. SWAYZE, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 192.72 I National-bank notes outstanding. State-bank notes outstanding 12,500.00 I Due to other national banks Due to State banks and bankers. 1, 046.17 20, 204. 31 Dividends unpaid 3, 015. 38 Individual deposits United States deposits 99.94 Depositsof U.S.disbursing officers. 3, 744. 30 501. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 15, 000. 00 Total . 8. 909. 05 11,250.00 133, 861.09 7, 502. 22 226, 522.36 254 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank,, N e w Hampton. A. E. BIGELOW, President. No. 2588. TIM DONOVAN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fuiniture, and fixtures Other real estate and mortg's owned Due from othernational banks ! Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. Liabilities $190, 208. 74 497. 87 12, 500. 00 6, 063. 40 10,150.00 4, 668.18 2, 630.17 $50, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 8, 9P8. 90 i Dividends unpaid 2,483.71 jl ! Individual deposits 500.00 I United States deposits I 93.30 '• DepositsofU.S.disbursingofficersJ 17,369.00 ! j 6, 294. 00 1 Notes and bills rediscounted 1 \ i Bills payable i 562.50 | i Liabilities other than those above I stated 263,019.83 Total . 4, 000. 00 6, 244. 62 10,910.00 191,865.21 263, 019.83 First National Bank, Newton. C. SLOANAKER, President. No. 2644. E. E. LYDAY, Cashier. Loans and discounts $170,062.67 Capital stock paid in Overdrafts 1, 611. 58 U. S. bonds to secure circulation... 37,500.00 Surplus fund U. S. bonds to secure deposits I Undivided profits, less current U. S. bonds on hand j expenses and taxes paid Premiums on U. S. bonds j National-bank notes outstanding. Stocks, securities, etc State-bank notes outstanding Bank'g house,furniture,and fixtures 9, 000. 00 Other real estate and mortg's ownedi 10,000. 00 Due to other national banks Due from othernational banks Due to State banks and bankers.. Due from State banks and bankers. 49. 64 Due from approved reserve agents. 11, 567. 67 Dividends unpaid Checks and other cash items 981. 01 Exchanges for clearing house Individual deposits Bills of other national banks 280. 00 ' j United States deposits Fractional currency, nickels, cents. * 54.61 jj Deposits of U.S.disbursingofficers. Specie ' 6,421.25 Legal-tender notes 1, 000. 00 j! Notes and bills rediscounted U. S. certificates of deposit j Bills payable Redemption fund with Treas. U . S . ! 1,037.50 Liabilities other than those above Due from Treasurer U. S \ stated Total. 249, 565.93 $50, 000. 00 10, 000. 00 4,120. 06 33, 750. 00 63.20 2,503.58 139, 929.09 9, 200. 00 249, 565.93 Total. First National Bank, Nora Springs. L, H. PIEHN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc j Bank'gbouse,furniture,andfixturesj Other real estate and mortg's owned Due from othernational banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. F . SCHNEDLER, Cashier. No. 4761. $99, 013. 07 2,848.80 12, 500. 00 5, 000. 00 5,359. 80 6, 538. 76 704.57 110. 00 68.84 3,194. 45 2, 570. 00 562. 50 138, 470.79 Capital stock paid in. Surplus fund Undivided profits, less current expenses and tuxes paid National-bank notes outstanding, State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits | United States deposits I. Depositsof U.S.disbursingofficers. | Notes and bills rediscounted .. Bills payable $50,000.00 10, 000. 00 1, 309.39 11, 250. 00 370. 61 10.00 60, 530. 79 5, 000.00 Liabilities other than those above stated Total. 138, 470.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 255 IOWA. First National Bank, Odebolt. No. 4511. "W. W. FIELD, President. W. F . BAY, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc j Bank'g house,furniture, and fixtures; Other real estate and mortg's owned j Due from other national banks j Due from State banks and bankers.; Due from approved reserve agents.!j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer!!. S 1,511.66 ij Capital stock paid in. 1,110. 68 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. State-bank notes outstanding 2, 200. 00 10, 306. 87 Due to other national banks 4, 111. 00 Due to State banks and bankers. 5,954.07 54.75 155.00 23.50 2. 867. 25 1,185.00 562.50 121,042.28 Total. $50, 000.00 4, 500.00 2, 231. 27 11, 250.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursingofficers. Notes and bills rediscounted. Bills payable 33,061. 01 20,000. 00* Liabilities other than those above stated Total . 121,042. 28 Farmers' National Bank, Osage. No. 4885. J. H, JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc : Bank'g house, furniture, and fixtures I Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $92, 083.45 5, 997. 93 12, 500.00 23, 256. 70 2, 065. 09 31,081.00 1, 302. 86 9,175. 84 724. 06 375. 00 52.53 7,167. 30 6, 000. 00 562. 50 100.00 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 000.00 4, 900.02 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. 104, 294.24 N<5tes and bills rediscounted Bills payable Liabilities other than those above stated 172,444.2 Total. F . W. ANNIS, Cashier. Capital stock paid in. Total. 172, 444.26 Osage National Bank, Osage. AVERT BRUSH, President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1618. $199,023.91 6, 212, 66 13, 000. 00 87, 643. 00 1, 000.00 716. 50 2, 078. 86 12,891. 22 660.69 120.00 103.73 16, 522. 55 4, 000.00 585.00 344,558.12 J. W. ANNIS, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 Due to other national banks Due to State banks and bankers . . Dividends unpaid 42. 34 Individual deposits United States deposits Deposits of U.S. disbursing officers. 245, 525. 64 12,290.14 11, 700. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 344,558.12 256 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Oskaloosa National Bank, Oskaloosa. No. 2417. H. L. SPENCER, President. C. E. LOFLAND, Cashier. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $259,498. 59 Capital stock paid i n . 1, 822. 63 12, 500. 00 j Surplus fund ! Undivided profits, less current ii expenses and taxes paid National-bank notes outstanding. 10,170. 37 State-bank notes outstanding 18,057. 90 276. 54 Due to other national banks 5, 999. 50 Due to State banks and bankers. 307.00 14, 224.35 Dividends unpaid 6, 322.10 Individual deposits 1,104.00 United States deposits 167.94 Deposits of U.S. disbursing officers. 16, 600.10 7, 000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total. 354, 613. 52 $50,000.00 20,000.00 10, 857.00 11, 250.00 539. 95 103.24 50.00 251,813.33 10, 000. 00 354,613.52 First National Bank, Ottumwa. W. B. BONNIFIELD, President. No. 107. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender note* U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. $318,653.15 3, 605. 85 60, 000. 00 M. B. HUTCHISON, Cashier. $120,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 99, 037. 51 State-bank notes outstanding 30, 326.01 13,115.95 Due to other national banks 1,437. 74 Due to State banks and bankers.. 3,859.10 45,121.81 Dividends unpaid 1,925.19 Individual deposits 4,195. 00 United States deposits 433.36 Deposits of U.S.disbursing officers. 12,484. 55 20, 000. 00 Notes and bills rediscomited Bills payable 2, 700.00 Liabilities other than those above stated Total. 616,895. 22 21,000. 00 7, 926. 46 54,000. 00 5, 869. 95 18, 768. 93 374,329.88 15, 000.00 616,895.22 Iowa National Bank, Ottumwa. EDWIN MANNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds | Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 1726. $440,012.98 5, 217. 91 50, 000. 00 1, 437. 50 49, 718. 40 10, 000. 00 14, 233. 48 1, 756.10 2,109. 31 22, 343.51 4,141.92 2i9.*00 115. 98 26,309.00 10, 945. 00 2,250.00 300. 00 641,110. 09 CALVIN MANNING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000. 00 34,000. 00 18, 871. 65 45,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,144.46 9, 703.87 Individual deposits United States deposits Deposits of U. S. disbursing officers - 331,390.11 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 641,110. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 257 IOWA. Ottumwa National Bank, Ottumwa. «T. B. MOWREY, President. No. 2621. CHAS. E. BOUDE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total . $275,536.31 577.10 25, 000. 00 2, 700. 00 3, 248. 06 3. 225.16 13,106.91 412. 77 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks j. Due to State banks and bankers..] 26,744.55 i Dividends unpaid 1,333.20 || ! i Individual deposits 2,429. 00 ! I United States deposits 41.12 |j DepositsofU.S.disbursingofficers. 15,589.00 | 9,000. 00 I Notes and bills rediscounted I Bills payable 1,125.00 || Liabilities other than those above stated 380,068.18 16,200. 00 7, 328.06 22, 500. 00 19,444.12 214, 596. 00 380, 068.18 Total . Guthrie County National Bank, Panora. GEO. H. MOORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc oBank'ghouse,furnlture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3226. M. M. REYNOLDS, Cashier. $154, 873.19 Capital stock paid in. $50, 000.00 64.03 12,500. 00 Surplus fund 10, 000. 00 Undivided profits, less current 1,050.55 expenses and taxes paid 11, 250. 00 187. 93 National-bank notes outstanding. State-bank notes outstanding "io'ooo.'ob" Due to other national banks Due to State banks and bankers. 23, 866. 28 225. 00 72.82 8,407.00 1,125.00 562.50 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 211, 883.75 Total. 139, 583.20 211, 883. 75 Total . Pella National Bank, Fella. P. H. BOUSQUET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S 17 JOHN NOLLEN, Cashier. Capital stock paid in. "* 127500." 6o' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 950. 00 8, 300. 00 Due to other national banks Due to State banks and bankers. 8,027. 77 Dividends unpaid 118. 23 Individual deposits " 1*458." 66" United States deposits 81.03 Deposits of U.S.disbursingofticers. 6, s69. 20 2, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 126, 054.17 Total. CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis No. 2063. $88,187.44 Total . $50, 000. 00 10, 000. 00 888.69 11, 250.00 43, 975. 78 9, 939. 70 126, 054.17 258 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA, First National Bank, Perry. No. 3026. D. J. PATTEE, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.andfixtures Other real estate and mortg's owned DUG from other national banks Due from State banks and bankers. DUG from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $159, 410. 48 1, 748. 35 12, 500. 00 1,250.00 Liabilities. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $50,000.00 17, 000. 00 2,257. 52 11, 250. 00 9," 500." 00 12,732. 60 , 523.69 255. 225. 19, 896. 850. 00 68 30 00 Due to other national banks Due to State banks and bankers. Dividends unpaid IndiA'idual deposits United States deposits Deposits of U.S.disbursing officers. 138,947.08 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total. 219, 454. 60 Total. H. J . HOLMES, Cashier. 219, 454.60 First National Bank, Peterson. No. 4601. A. S. WEIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $94, 825.47 2,021.17 12, 500. 00 1, 625. 00 3, 500.00 600. 00 3, 930.95 632. 65 54.50 4, 671. 30 300. 00 562. 50 $50, 000.00 Surplus fund . Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6, 000. 00 367. 74 11,250.00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 44, 382. 86 5, 222.94 8, 000.00 Liabilities other than those above stated 125, 223. 54 Total. G. C. ALLISON, Cashier. Capital stock paid in . Total . 125,223.54 First National Bank, Primghar. C. H. SLOCUM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'ghouse,furniture, and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total No. 4155. $102, 647. 05 1, 699. 54 12,500. 00 1,200. 00 4,127.90 GEO. R. SLOCUM, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks * 2, 025. 66 Due to State banks and bankers 4, 607. 51 6, 949. 60 Dividends unpaid 392.15 Individual deposits 50.00 United States deposits 28.68 Deposits of U.S.disbursing officers. 3,054. 30 502. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 140, 346. 89 Total $50,000.00 4, 000. 00 1,586.35 11,250. 00 68,510.54 5, 000. 00 140,346. 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 259 IOWA. First National Bank, Red Oak. No. 2130. F. M. BYEKIT, President. C. F . CLAEKE, Cashier. Resources. Loans ana discounts 1 Overdrafts j U. S. bonds to secure circulation...! j U.S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc j Bank'ghouse,furniture,andfixturesi Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house j. Bills of other national banks I Fractional currency, nickels, cents. j. Specie i Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total . Liabilities $207, 800. 25 Capital stock paid in. 7, 045. 71 40, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 4.000.00 National-bank notes outstanding. State-bank notes outstanding 12,500.00 Due to other national banks 1,519. 92 Due to State banks and bankers. 51.15 15,507. 88 184.47 $50, 000. 00 50, 000. 00 2,495. 61 36, 000. 00 Dividends unpaid ! Individual deposits 4, 256. 00 I United States deposits Deposits of U.S.disbursingofficers. 5,461.95 j 7,500.00 I Notes and bills rediscounted. Bills payable 168,578. 52 1, 246.80 Liabilities other than those above stated 307, 074.13 Total . 307, 074.13 Red Oak National Bank, Red Oak. No. 3055. B. B. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiumson TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . PAUL P. CLARK, Cashier. $219,815.18 || Capital stock paid in. 7,471.91 || 25,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 500. 00 State-bank notes outstanding 25, 000. 00 991. 42 Due to other national banks 6,054. 08 Due to State banks and bankers.. 3, 966. 55 34,239.83 Dividends unpaid $100, 000. 00 20, 000. 00 6, 979. 45 22, 500. 00 1, 320. 84 6, 853. 60 4,297. 28 2,165. 00 153.04 6,307. 00 2, 000. 00 1,125. 00 53.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 187, 485.40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 345,139.29 Total. 345,139.29 First National Bank, Rockford. O. H. LYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S.bonds Stocks, securities, etc Bank' ghouse^furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house , Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3053. $96, 975. 70 1,434.36 12, 500. 00 10, 500. 00 1, 200. 00 1,005. 33 4, 539.10 890. 86 200.00 18.13 3,199.50 4,500.00 562.50 137, 525.48 EDWARD BILLINGS, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits | Deposits of U.S.disbursingofficers. Notes and bills rediscounted — Bills payable $50, 000. 00 10, 000. 00 3, 804. 22 11,250.00 75.00 58,396.26 4,000,00 Liabilities other than those above stated Total. 137, 525. 48 260 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA . First National Bank, Rock Rapids. No. 3153. B. L. RICHARDS, President. E. L. PARTCH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furmture,and fixtures Other real estateaudmortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $104,398. 64 Capital stock paid in. 2, 243. 94 12, 500. 00 { Surplus fund i Undivided profits, less current I expenses and taxes paid ! National-bank notes outstanding. 982. 08 I State-bank notes outstanding 11, 225.00 2, 854. 66 Due to other national banks 12, 378. 02 Due to State banks and bankers. I 6,542.15 ; Dividends unpaid. 1,228.94 ' I Individual deposits | i United States deposits L 39.97 j Depositsof U.S.disbursiiigom'cers.j. 2,950. 25 1, 270. 00 i Notes and bills rediscounted ; Bills payable 562. 50 Liabilities other than those above stated 159,176.15 ! J Total .. 2, 000. 00 61,813.91 1,650.00 16, 000. 00 159,176.15 First National Bank, Rolfe. No. 4954. J. P. FARMER, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds ; Stocks, securities, etc j Batik'g house,furniture,and fixtures! Other real estate and mortg'sowned Due from other national banks ; Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $76,147.24 355. 65 12, 500.00 J . W. WARREN, Cashier. $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current * expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 000. 00 2, 799. 93 11, 050. 00 6,103. 30 6, 014.07 1,584.89 85.00 140. 36 2,426. 00 740. 00 552. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 41, 799. 08 Notes and bills rediscounted Bills payable Liabilities other than those above stated 106, 649. 01 106, 649. 01 Total . First National Bank, Sac City. D. E . HALLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand .. Premiums on U. S. bonds Stock securities etc Bank'ghouse,furniture,and1 fixtures Other real estate andmortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4450. $89,276. 03 2, 659.14 12,500.00 1, 562. 50 11,498.44 1,500.00 8, 717. 38 1,496.49 576. 79 1, 005. 00 11.01 5, 743.00 2,200. 00 562. 50 H . H . ALLISON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding $50, 000. 00 10, 000.00 4, 290. 68 11, 250. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 240.00 63, 527. 60 Notes and bills rediscounted Bills payable Liabilities other than those above stated 139,308.28 Total 139,308.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 261 IOWA. First National Bank, Sanborn. N o . 4824. WILLIAM HARKER, President. J. H. DALY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. [ Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents, j Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $119, 846. 83 4, 886. 80 12, 500.00 11,515.00 8, 036.10 8,820.79 8.65 3,315.09 3,100.00 562.50 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 4,000. 00 3,453.11 11,250.00 1, 752. 33 97,186.32 5, 000.00 Liabilities other than those above stated 172, 641. 76 Total. 172,641.76 First National Bank, Sheldon. No. 3848. FRANK FRISBEE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $102,400.26 2,328.83 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000. 00 410. 00 | Due to other national banks 16,665. 90 Due to State banks and bankers-. 6,842.46 Dividends unpaid 332. 84 Individual deposits 349. 00 United States deposits 121. 36 Deposits of U.S.disbursingofficers. 3, 869. 00 7,000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above $50, 000.00 10, 000.00 980.36 11, 250. 00 15, 711.38 75,440. 41 stated 163, 382.15 Total. W. M. SMITH, Cashier. Capital stock paid in Total . 163, 382.15 First National Bank, Shenandoah. T. H. READ, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2363. $147, 984. 30 Capital stock paid in. 5,755. 52 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 50.00 State-bank notes outstanding 9,000.00 Due to other national banks 1,113. 83 Due to State banks and bankers. 3, 337.87 6,119.84 Dividends unpaid 221. 43 Individual deposits 1, 272.00 United States deposits 47.20 Deposits of U.S.disbursing officers. 12, 794. 35 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 200, 758.84 Total . —, Cashier. $50, 000.00 25,000.00 3, 264. 34 11, 250. 00 769. 95 99, 248.94 11,225. 61 200,758.84 262 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Shenandoah National Bank, Shenandoah. GEORGE BOGART, President. No. 2679. E. S. FERRIS, Cashier. Kesources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds [ Stocks, securities, etc | Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ... Exchanges for clearing house Bills of other national banks I Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $120, 750. 30 2,429.15 15, 000. 00 1,000. 00 1, 724. 38 10, 498. 07 228. 00 286. 81 23, 421. 74 889. 50 413." 66 51.95 19,957.00 1,500. 00 675.00 Capital stock paid in $60, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 500.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 107, 971.97 4, 834. 93 13, 500. 00 18.00 Notes and bills rediscounted Bills payable Liabilities other than those above 198, 824. 90 stated Total. 198, 824.90 First National Bank, Sibley. H. L. EMMERT, Cashier. No. 3320. CHAS. E. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otherrealestateand mortg's owned Duefroiu other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $107,485.05 i Capital stock paid in93.01 I 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 000. 00 5, 645. 51 Due to other national banks 9,889.19 Due to State banks and bankers. 91.78 3, 758. 68 Dividends unpaid 443. 90 Individual deposits 200. 00 United States deposits 82.88 Deposits of U.S.disbursingofficers. 987. 00 8,302. 00 Notes and bills rediscounted. Bills payable 562. 50 80.00 Liabilities other than those above 151,121. 50 stated Total. $50,000.00 4,350.00 4, 242.07 11, 250. 00 57.00 81, 222.43 151,121.50 First National Bank, Sigourney. J. P. YERGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fraction al currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1786. $124,269.15 1,264.24 12,500.00 J. R. MACKEY, Cashier. Capital stock paid in $50, 000. 00 10, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11, 753. 24 11,250. 00 Due to other national banks Due to State banks and bankers.. 5,468. 42 Dividends unpaid 1, 283. 90 12,000.00 11,862. 38 993. 72 850. 00 60. 98 8,763.00 2,500. 00 562. 50 300.00 181, 394. 39 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 97,107.25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 181,394.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 263 IOWA. First National Bank, Sioux City. THOS. J". STONE, President. No. 1757. E. H. STONE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. Liabilities. $598, 880. 91 18, 758. 97 50, 000. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 000. 00 National-bank notes outstanding. 70, 745.13 State-bank notes outstanding 25, 000. 00 51,875.97 Due to other national banks 11, 382. 96 Due to State banks and bankers.. 6, 249. 60 75,466. 07 Dividends unpaid 5, 505. 51 4,990. 51 Individual deposits 11, 883. 00 United States deposits 383.15 Deposits of U.S.disbursingom'cers. 12, 702.47 40, 882. 00 Notes and bills rediscounted Bills payable 2, 250.00 Liabilities other than those above stated 989, 956. 25 Total . 40,000.00 4, 024. 30 43, 300. 00 42, 061.12 167, 635.17 280.00 517, 626. 98 75, 028.68 989, 956. 25 Iowa State National Bank, Sioux City. D. T, GlLMAN, President. No. 3968. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $411, 752. 36 5, 629. 25 50, 000. 00 63, 860. 00 3, 500.00 18, 472. 26 4, 922. 30 21, 280. 73 48, 975. 52 817.38 2, 878. 54 900. 00 127. 91 5, 667. SO IS, 093. 00 2, 250. 00 C. M. SWAN, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less c u r r e n t expenses and t a x e s paid National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g . . Due to other national b a n k s Due to State b a n k s and b a n k e r s . 27, 037. 20 93, 495. 49 Dividends unpaid I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursingofiicers. 247,414.81 22, 000. 00 Notes and bills rediscounted Bills payable Liabilities other t h a n those above stated , 659,126.55 Total. 659, 126. 55 Merchants' National Bank, Sioux City. E. w. RICE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on TJ. S. bonds Stocks securities etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Dae from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4209. $233, 355. 58 1, 246. 36 25, 000. 00 3,000.00 5100, 000.00 Surplus fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 11, 000. 00 1,717.49 22,500. 00 2,275. 00 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 1,335.74 I I 31,829.45 1, 963. 88 2, 947. 71 3, 036. 00 61.32 12, 510. 00 2, 500. 00 1,125." 66 Total GEORGE P. DAY, Cashier. Capital stock paid i n . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. | Notes and bills rediscounted Bills payable I 144,218.67 20, 000.00 Liabilities other t h a n those above stated | Total. 322,186. 04 18.1. 90 22, 567.98 322,186.04 264 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Northwestern National Bank, Sioux City. A B E L ANDERSON, President. -, Cashier. No. 4510. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks.cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $112, 553. 1,313. 25, 000. 1, 500. 75, 569. 3, 000. 8,500. 6, 996. 662. 38, 830. 3,651. 845. 1, 570. 28. 9, 722. 15, 500. 1,125. 00 306,369.78 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14, 000.00 Due to other national banks Due to State banks and bankers.. 6,021.66 14,898.85 2,505.03 22, 500.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 146, 444. 24 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 306, 369.78 Security National Bank, Sioux City. "W. P . MANLEY, President. No. 3124. Loans and discounts Overdrafts f U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $714,310.46 1, 746. 84 50, 000.00 6, 000.00 117, 900. 00 2,721. 24 19, 330. 80 20, 358.87 23,408. 93 2,470. 04 6, 480. 25 9,166. 00 108. 82 39,862. 00 5,000. 00 2, 250.00 2.50 $250,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000.00 1, 370.34 45,000. 00 Due to other national banks Due to State banks and bankers Dividends unpaid 97, 446.10 165, 248. 08 Individual deposits United States deposits Deposits ofU.S. disbursing officers 302,200. 57 Notes and bills rediscounted Bills payable 109,851. 66 Liabilities other than those above stated 1, 021,116. 75 Total. F. M. CASE, Cashier. Capital stock paid in. Total. 1,021,116.75 Sioux National Bank, Sioux City. W. L. JOY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2535. $625,422. 82 5, 583. 38 50, 000. 00 60, 000. 00 154, 633.10 32, 778. 50 18,500. 00 3,434. 52 9, 740.11 88, 467. 03 548. 99 11, 347. 42 6, 805. 00 166. 31 17, 302. 50 30,839. 00 2, 250.00 1,117, 818. 68 I T. A. BLACK, Cashier. Capital stock paid in. $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 836.14 45, 000.00 Due to other national banks Due to State banks and bankers.. 23,154. 64 151,181.44 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers- Notes and bills rediscounted Bills payable. Liabilities other than those above stated, Total 5,000. 00 325.20 244, 846.43 14, 871.14 44,379.91 169,723. 78 117, 500.00 1,117,818.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 265 IOWA. First National Bank, Spencer. ACKLBY HUBBARD, President. No. 3898. DAVID PAINTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank 'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. 8. certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer IT. S Total. Liabilities. $153,450. 03 Capital stock paid in 23. 24 25, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding. 4,000.00 State-bank notes outstanding 20,000 00 Due to other national banks 1,583.26 Due to State banks and bankers.. 6,190.81 Dividends unpaid $100, 000. 00 15, 500, 00 656. 50 22, 500. 00 655.14 1, 260. 51 260. 00 139. 86 5,759. 55 2,100. 00 "i,"i25.6o Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable , Liabilities other than those above stated Total . 221,892. 26 67, 580. 62 15, 000.00 221, 892.26 First National Bank, Spirit Lake. J. F. CRAVENS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. JNO. W. CRAVENS, Cashier. No. 4758. $81, 301.21 Capital stock paid in. $50, 000. 00 1, 775. 96 12, 500.00 Surplus fund 2,440. 00 Undivided profits, less current 674.69 expenses and taxes paid 11, 250. 00 1, 750. 00 National-bank notes outstanding. State-bank notes outstanding "3," 500." 65" Due to other national banks 5, 622. 22 Due to State banks and bankers. 84.98 2, 725.47 Dividends unpaid 280.00 121.11 Individual deposits 48, 095.01 370.00 i United States deposits 64.55 Deposits of U. S.disbursing officers. 2, 212. 70 2,899.00 I Notes and bills rediscounted 2, 750. 00 Bills payable 562. 50 Liabilities other than those above stated Total . 115,489. 70 115, 489. 70 First National Bank, Storm Lake. A. M. HUTCHINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 2595. $127, 712. 04 6, 596. 28 12, 500. 00 1, 500. 00 8,851. 06 12, 468. 30 16, 923.12 9, 424. 70 8.25 4, 800. 00 73.98 862. 00 4, 865.00 562.50 ! 207,147.23 A. H. WAITT, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks^and bankers.. Dividends unpaid , $50, 000.00 10, 000.00 11, 250*00 .55 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 92,315. 84 Notes and bills rediscounted Bills payable 17, 580.84 26,000.00 Liabilities other than those above stated Total . 207,147. 23 266 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Stuart. No. 2721. J . R. BATES, President. H. LEIGHTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. V. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 13ank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $142,123. 54 4,486.87 20,000.00 1,800.00 8,100. 00 Capital stock paid in 16,000. 00 557.68 17,997. 50 Due to other national banks Due to State banks and bankers.. 7, 360. 03 134. 59 185. 00 38.48 2, 776. 00 5,125.00 900. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 73,474.33 10, 000.00 Liabilities other than those above stated Total 193,029. 51 Total $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 193, 029. 51 First National Bank, Sutherland. No. 3618. C. E. ACHORN, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for .clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $87,182. 86 641.14 12,125. 00 3, 220.00 4,311.25 575. 59 3,387.00 1,227.82 T. B. BARK, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 500. 00 1, 076. 82 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid ioo.ob Individual deposits United States deposits Deposits of U.S.disbursing officers . 32, 057. 42 Notes and bills rediscounted Bills payable Liabilities other than those above stated 10,210.40 " 562. 50 53.48 2, 883. 00 825. 00 Total. 117,094.64 117, 094. 64 First National Bank, Tabor. F . C. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4609. $75, 256. 31 1, 053. 46 12,500.00 2,353. 60 1,121.12 2,949.52 112.10 110. 00 5.70 5, 396.10 205.00 562.50 I 101,625.41 L. J . NETTLETON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable $50,000.00 2,150. 00 738.93 11,250.00 17.50 34, 468. 98 3,000. 00 Liabilities other than those above stated ... Total. 101,625.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 267 IOWA, First National Bank, Tama. No. 1880. J. L. BRACKEN, President. Resources. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits X S bonds on hand J Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total T. L. WILLIAMSON, Cashier. Liabilities. $213,193. 64 20,431. 02 12, 500. 00 2, 500. 00 9, 775. 00 428. 90 1, 202. 70 5,476. 63 2, 298. 63 90.98 4, 913. 45 12, 994. 00 562. 50 $50,000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. 50, 000. 00 13. 549. 23 11,250.00 2, 691.00 550.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 133,327. 22 10, 000.00 15, 000.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 286,367.45 Total 286, 367. 45 First National Bank, Tipton. No. 2983. J. H. COUTTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S Total . W. J. MOORE, Cashier. $212,336.82 I Capital stock paid in 4,878.29 12, 500. 00 i Surplusfund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-banknotes outstanding. 6,000.00 i State-bank notes outstanding 10, 000. 00 4,100. 00 Due to other national banks 6, 522. 50 1, 692. 78 Due to State banks and bankers.. 5,831.14 Dividends unpaid. 4.83 217. 07 14, 235. 00 5, 212. 00 562.50 Individual deposits United States deposits 15,000.00 14,779.88 11,250.00 421.68 4, 510.43 753. 00 173, 877. 94 De j)ositsof U. S.disbursing officers. Notes and bills rediscounted. Bills payable 15, 000. 00 Liabilities other than those above stated 285,592. 93 Total . 285, 592.93 First National Bank, Villisca. W. S. ALGEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. No. 2766. B. F . FAST, Cashier. ;124,052.07 605. 49 12, 500. 00 Capital stock paid in. Surplus fund • Undivided profits, less current expenses and taxes paid 1,000. 00 National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 Due to other national banks Due to State banks and bankers.. 9, 039. 04 Dividends unpaid 25.03 20, 000. 00 13,557. 66 11, 250. 00 "i6,066*06 228.46 88.72 "2*415*66' 41.00 8, 304.40 5, 000.00 562. 50 55.00 173, 891. 68 Individual deposits United States deposits DepositsofU.S.disbursing officers. 79, 058. 99 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 173,891.68 268 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA, First National Bank, "Washington. No. 2656. JOSEPH KECK, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $197, 364. 76 4,003. 77 25,000. 00 2, 000. 00 9,500. 00 9,000. 00 1, 798.62 129.72 2, 364.92 543.47 1, 786. 00 40.47 6, 502. 00 10,000. 00 1,125.00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 20,000.00 24,467.87 22,500.00 Due to other national banks Due to State banks and bankers... 9, 596. 37 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 84, 684. 49 Notes and bills rediscounted. Bills payable 10, 000.00 Liabilities other than those above stated 271, 248. 73 Total . S. A. WHITE, Cashier. Liabilities. Total. 271,248. 73 Washington National Bank, Washington. No. 1762. W. W. "WELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U. S $293,933. 67 1,466. 28 25, 000. 00 12, 000. 00 ""6,594.36 7,406.71 2,414.60 3,165.00 76.26 16,334.50 10, 000. 00 1,125. 00 379, 516.38 Total . J . A . YOUNG, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000.00 38,998.71 22, 500. 00 Due to other national banks Due to State banks and bankers... Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 1, 833.77 191,183.90 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 379, 516.38 First National Bank, Waterloo. HENRY B. ALLEN, President. FRANK J. EIGHMEY, Cashier. No. 792. Capital stock paid in. Surplus fund 50, 000. 00 Undivided profits, less current expenses and taxes paid 35, 589. 27 National-bank notes outstanding. 11, 250. 00 4, 000.00 State-bank notes outstanding „ Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . _ _ _ _ _ _ $284,187. 00 1, 246. 96 12, 500.00 10,370.00 11, 553. 60 14, 895. 38 831. 97 33, 375.10 642.77 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits "2*666*66' United States deposits 230.40 26, 285. 00 3, 000. 00 2, 834. 66 256, 006.75 Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 5C2. 50 Liabilities other than those above stated 405, 680. 68 Total. 405,680.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 269 IOWA. Commercial National Bank, "Waterloo. W. W. MILLER, President. No. 2910. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg1 s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S "W. J. MITCHELL, President. $225, 362.18 3,015. 77 12,500.00 1, 250. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 17, 500. 00 4, 723. 28 11, 250. 00 Due to other national banks Total. First National Bank, Waukon. No. 4921. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50, 000.00 3,000.00 4,214.19 1, 892. 72 Due to State banks and bankers. 18,330. 99 Dividends unpaid 4, 986. 83 Individual deposits 3, 000. 00 United States deposits 146. 45 Deposits of U.S.disbursing officers . 15, 580. 00 3, 000. 00 Notes and bills rediscounted Bills payable ""'562*50* Liabilities other than those above stated 296, 841. 63 Total. A. J . EDWARDS, Cashier. Liabilities. $107, 557. 96 15.67 12,500. 00 1, 355. 00 "i," 366*06' 97.34 7,198. 89 24.02 900. 00 48.98 3,600. 00 2, 000. 00 562.50 10, 000. 00 296, 841. 63 O.J. HAGER, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current 'expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United Sta'tes deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 137,160.36 203, 368. 35 700.00 1,171.26 11, 250.00 20.00 72,019.10 2, 000. 00 137,160. 36 First National Bank, Waverly. J . H. BOWMAN, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3105. $214, 006. 35 6, 830. 30 25, 000. 00 1, 750. 00 3, 954. 41 25,100. 00 2,500. 00 50.49 10,485. 95 7, 387. 75 548. 27 1, 310. 00 467. 86 14,110. 00 3, 500. 00 H. S. BURR, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 20,000.00 1, 217. 51 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 372. 22 1, 748.21 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 154, 680.44 Notes and bills rediscounted. Bills payable 608. 00 17,000.00 1,125. 00 Liabilities other than those above stated 318,126. 38 Total. 318,126. 38 270 REPORT OF THE COMPTROLLER OF THE CURRENCY IOWA. First National Bank, Webster City. KENDALL YOUNG, President. No. 1874. B. C. MASON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $206,047.40 6,407. 78 25, 000. 00 $100, 000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current . . j expenses and taxes paid 2,750. 00 National-bank notes outstanding.. 1, 098, 44 State-bank notes outstanding 10, 000.00 2,000. 00 6, 806. 52 54.96 13, 614. 79 2,380.93 i, m oo* 19.00 4,795. 00 2,000. 00 25, 000. 00 6, 456. 62 22, 500.00 Due to other national banks Due to State banks and bankers.. 3,917. 81 Dividends unpaid Individual deposits United States deposits • Deposits of U.S.disbursingofficers.! 117, 417.39 Notes and bills rediscounted. Bills payable 10, 000. 00 1,125. 00 Liabilities other than those above stated 285, 291.82*| 285, 291.82 Total . Farmers' National Bank, Webster City. J. M. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks [Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S 1,150. 00 5,615.71 11, 431. 56 4,114.35 2, 462. 07 11, 476. 43 863. 90 Capital stock paid in . ~..» j $50, 000.00 Surplus fund ] Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 30, 569.67 11,250.00 10,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. j Individual deposits 45.00* United States deposits 24.30 Deposits of U.S.disbursingofficers6, 314. 25 2,800.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 196, 356.42 Total. J. H. SHIPP, Cashier. No. 3420. $132, 740.18 4,256.17 12, 500. 00 89, 536. 75 5, 000.00 196,356.42 Total . Fayette County National Bank, West Union. S. B. ZEIGLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andlixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2015. $161, 876.86 4,497. 88 25, 000.00 E. B. SHAW, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 17, 300. 00 959. 00 4, 375. 26 15.00 5,086. 37 611.29 705. 00 660. 40 15,520. 95 2, 055. 00 733."90 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. $100,000.00 20,000.00 3,441. 34 22,319.00 487.57 141.00 93, 008.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 239, 396.91 Total . 239,396.91 REPORT OF THE COMPTROLLER OF THE CURRENCY 271 IOWA. First National Bank, What Cheer. No. 3192. J . H. LEATHERS, President. J . L. MITCHELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $103, 943. 27 j Capital stock paid in. 470.69 12,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,112.49 National-bank notes outstanding. State-bank notes outstanding 1, 800. 00 350.89 11,250.00 il," 650*66' 12, 208.88 2, 292. 67 1, 075. 42 722.00 48.00 13,100. 00 3, 000. 00 **"562."56' Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursing officers. Notes and bills rediscounted Bills payabte 94, 285. 03 5, 000. 00 Liabilities other than those above stated 162, 685. 92 Total. $50, 000. 00 162,685. 92 Total. First National Bank, Winter set. C. D. BEVINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S...". Total. No. 1403. $141, 742. 65 3,296.94 12, 500. 00 1, 625. 00 3, 376. 79 3, 500. 00 4,223. 86 5, 041. 35 7, 501. 92 4,870. 42 2,269. 00 191.17 6, 304.12 2,155.00 562. 50 W. S. WHEDON, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers.. 571.16 958. 77 11,250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 116, 380. 79 Notes and bills rediscounted Bills payable Liabilities other than tnose above stated 199,160. 72 Total. 199,160.72 Citizens' National Bank, Winterset. J. H. WINTRODE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2002. $116, 834. 72 4,703. 38 12, 500. 00 8, 463. 44 8,500. 00 13,855. 00 1, 502, 30 10, 954. 68 6, 979.96 1,675. 00 28.12 14, 048. 00 2,000.00 562. 50 202, 607.10 "W. J . CORNELL, Cashier. Capital stock paid in. Lrplus Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 20, 000. 00 1,449.15 10, 950. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 120, 207.95 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 202, 607.10 272 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, "Woodbine. No. 4745. JOSIAH COE, President. H. M. BOSTWICK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. 8. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $50,000.00 139,163.59 Total . $95,776.64 ij Capital stock paid in. j 3,247.67 I I 12, 500.00 i Surplus fund Undivided profite, less current expenses and taxes paid National-bank notes outstanding. 550.00 State-bank notes outstanding 6,440. 00 Due to other national banks 2, 006. 29 Due to State banks and bankers.. 5,531. 77 6,026.54 1 Dividends unpaid 1 390.00 i Individual deposits 240. 00 j United States deposits j 21. 98 Deposits of U.S.disbursingofficers. 5, 770. 20 100.00 | Notes and bills rediscounted Bills payable 562. 50 139,163. 59 Liabilities other than those above stated Total. 2, 000.00 2, 767.43 11, 250.00 148. 06 62, 998.10 10,000.00 First National Bank, Wyoming. W. T. FOOTE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1943. $119,525.12 665.44 12, 500. 00 300. 00 35,918. 75 5,500. 00 4, 000. 00 8, 266. 40 14,165. 47 2,981.97 J O H N K. PIXLEY, Cashier. jj $50,000.00 Surplus fund I Undivided profits, less current expenses and taxes paid I National-bank notes outstandingState-bank notes outstanding 10,000.00 Capital stock paid in Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits 71.74 Deposits of U.S. disbursing officers. 9, 324. 00 146. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 136.00 214, 063. 39 2,102. 64 11, 250.00 Total. 140,710. 75 214, 063.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 273 KANSAS. Abilene National Bank, Abilene. J . S. HOLLINGER, President. R. M. W H I T E , Cashier. No. 3777. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits .. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. Certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. $101,608.09 Capital stock paid in. 258. 59 19, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,900.00 National-bank notes outstanding. 3,450. 00 State-bank notes outstanding 1, 500. 00 20, 780. 00 Due to other national banks Due to State banks and bankers. 23, 555.47 Dividends unpaid 52.33 Individual deposits 205. 00 United States deposits 158.47 Deposits of U.S.disbursing officers. 8, 728. 50 395.00 Notes and bills rediscounted. Bills payable 855.00 Liabilities other than those above stated 182,441.45 Total. $75, 000. 00 11,500.00 2, 785. 00 17,100. 00 76, 056.45 182,441.45 Total. First National Bank, Anthony. No. 3385. D . F . SHOLLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $66, 910.13 "25,666. oo 11, 364. 95 7,000.00 1,487. 07 5,316. 68 22. 61 11,810.91 1,341. 24 940. 00 48.12 294.15 2, 000. 00 $50, 000. 00 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 755.18 22, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 57,405.68 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 134, 660. 86 Total. P. G. WALTON, Cashier. Total . 134, 660.86 First National Bank, Arkansas City. No. 3360. GBO. S. HAETLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis $178, 461. 53 843. 98 31, 250. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 28, 914.77 State-bank notes outstanding 26,000. 00 26, 053. 84 Due to other national banks 1, 269.46 Due to State banks and bankers.. 25, 809.01 Dividends unpaid 420.10 Individual deposits 1, 670. 00 United States deposits 500. 44 Deposits of U.S.disbursing officers. 4, 819. 00 7, 500. 00 Notes and bills rediscounted.. Bills payable 1,046.00 Liabilities other than those above stated , 336,058.13 18 L. P. DAVIS, Cashier. Capital stock paid in. Total. $125,000.00 2, 349.27 28,120. 00 1,905.49 849.52 177,833.85 336,058.13 274 REPORT OF THE COMPTROLLER OF THE CURRENCY. Iv A N S A S . Farmers' National Bank, Arkansas City. IIIEAM F. HATCH, President. No. 4640. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. X S. bonds to secure deposits L U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S Total. H. J . HATCH, Cashier. Liabilities. $106, 068. 29 2, 000.55 25, 000. 00 27,024. 66 1,100.00 4, 671. 66 9,849.93 213. 74 111.57 3, 800. 00 7, 300. 00 745. 00 187,885.40 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 447.83 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 64,937. 57 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 187,885.40 Home National Bank, Arkansas City. No. 4487. F . M. STRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due.from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea3. U. S. Due from Treasurer U. S $394,150.30 333.59 50, 000.00 21, 000.00 28,000.00 20,000.00 3,340.32 6,925.21 39,611.95 751.12 1,990. 00 574.31 17, 238. 20 8, 000.00 2, 250. 00 $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 36, 500.00 7, 845. 04 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 465. 64 5,614. 83 Individual deposits United States deposits Deposits of U. S .disbursing officers. 243, 580. 49 159.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 592,165.00 Total. HOWARD ROSS, Cashier. Capital stock paid in. 592,165. 00 First National Bank, Atchison. DAVID AULD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1672. S. A. FRAZIBR, Cashier. $232,178. 50 5. 733. 57 80, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current 2. 000. 00 expenses and taxes paid 1,994. 58 National-bank notes outstanding. 51, 207.40 State-bank notes outstanding $100,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1. 398.11 8,435.15 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 614, 598. 31 6, 822. 52 2, 604. 08 248, 342.92 13, 503. 58 201, 545.73 10,098.55 1,941.00 100.21 44,350.00 2,500. 00 3,600. 00 908,522.64 20, 000. 00 92, 091. 07 72, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. , 908, 522. 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 275 K A N S A S. Atchison National Bank, Atchison. M. BARRATT, President. No. 2082. NORMAN BARRATT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S $122, 727.13 11, 621. 23 50, 000.00 Capital stock paid in Undivided profits, less current expenses and taxes paid 000. 00 National-bank notes outstanding. 003. 07 State-bank notes outstanding 788.53 724. 87 417. 05 Due to other national banks Due to State banks and bankers. 308. 76 Dividends unpaid 664. 57 325. 00 60.11 753. 40 000. 00 1,900.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 14, 000.00 5, 292. 86 45, 000. 00 267.14 42.68 157,691.04 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 272, 293.72 Total . $50,000.00 Surplus fund Total . 272, 293. 72 Exchange National Bank, Atchison. B. P . WAGGENER, President. No. 2758. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie \. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $317, 641.41 16, 482. 81 25, 000. 00 4, 000.00 15,423. 06 14,292. 65 4, 825. 56 122,453. 80 112. 90 5, 939.42 1, 216. 00 69.37 28, 989. 00 5, 000. 00 1,125. 00 $100, 000. 00 Due to other national banks Due to State banks and bankers.. 2, 546.65 48,891. 26 20, 000.00 3, 376.64 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 365, 256.43 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 562, 570. S Total. C. S. HETHERINGTON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Total . 562, 570. 98 National Bank, Belleville. J . R. CALDWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasure? TJ. S , . , , , , , . „ , . Total. No. 3779. $56, 792. 08 644. 98 12, 500. 00 5, 000. 00 2, 577. 60 8, 462.46 D. D. BRAMWELL, Cashier. Capital stock paid in. Surplus funu Undivided profits, less current •expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1,200. 00 United States deposits 64.78 Deposits of U.S.disbursing officers. 3, 361. 25 1, 200. 00 562. 50 92, 365. 65 Notes and bills rediscounted. Bills payable $50, 000.00 5, 250.00 1, 862.12 11, 250. 00 20.00 20, 983. 53 3, 000.00 Liabilities other than those above stated Total. 92, 365.65 276 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Beloit. No. 3231. M. S. ATWOOD, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortgsowned Due from other national banks... Due from State banks and banker; Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $54, 979. 53 230.42 12. 500. 00 13, 440. 00 20,178. 51 6, 493. 94 2.65 85.00 294. 84 880. 25 3,445. 00 562.50 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 1,204.94 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid. 34, 637. 70 Individual de United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Billspayable 6, 000. 00 Liabilities other than those above stated Total . 113,092.64 Total. H. A. PHELPS, Cashier. Liabilities. 113, 092.64 First National Bank, Burlingame. No. 4040. C. M. SHELDON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Chec d Exchanges for clearing h l i house Bills of other national panks Fractional currency, nickels, cents. k Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $92, 082. 03 118.88 18, 750. 00 766. 67 8,100.00 5, 000. 00 4,304.18 1, 459. 82 15, 896. 48 718. 75 275. 00 48.72 1, 954. 80 4, 125. 00 843. 50 A. G. SHARP, Cashier. Capital stock paid in j $50,000. 00 Surplus fund i Undivided profits, less current | expenses and taxes paid | National-bank notes outstanding. State-bank notes outstanding 2, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 1, 731. 09 16, 870.00 252.55 83, 590.19 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total .. 154, 443. 83 154,443.83 Burlington National Bank, Burlington. W M . MARTINDALE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bankH Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1979. $78, 027. 73 715.04 31,250.00 2,000.00 4, 000. 00 10, 066. 90 I . N. HAMMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to state banks and bankers.. 32, 450. 02 Dividends unpaid 1,591.64 Individual deposits 1,550.00 United States deposits 52.25 Deposits of U.S.disbursingofficers. 8, 700. 00 3,000. 00 1,406. 25 5.00 175,211.81 $50,000. 00 1, 000.00 2, 293. 95 28,125.00 49.08 121. 50 93, 622. 28 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 175,211.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 277 K A NSAS. People's National Bank, Burlington. No. 3170. M. A. CROUSE, President A. P. BRIGHAM, Cashier. Resources. Loans and discounts Overdrafts . .... U S bonds to secure circulation... U S bonds to secure deposits U S bonds on hand Premiums on IT. S. bonds Stocks, securities, etc JBank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie • -. - - . - . . . . . Legal-tender notes X S certificates of deposit J Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $79, 825. 98 1 117.78 50, 000. 00 4. 750. 00 100.00 3. 500. 00 17 650. 00 101,567.85 12. 083. 81 9, 304. 38 1,524.00 138. 37 13,698 25 3, 000.00 $50 000.00 Capital stock paid in Surplus fund . . Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . 18 000 00 6 800 89 45 000.00 113.91 25.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing othcers. Notes and bills rediscounted Bills payable 180. 570. 62 - . 2, 250. 00 Liabilities other than those above stated 300, 510. 42 300, 510. 42 Total Farmers and Merchants' National Bank, Cawker City. C. R. PARIS, President No. 4618. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for cleariug house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $92, 395. 03 20. 69 21, 000. 00 2,193. 75 2, 839. 95 5,000.00 840. 96 12,100. 06 300. 00 145.11 5, 999. 00 1, 000. 00 942.50 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding $50,000.00 3, 800.00 8,140. 73 18, 850. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. 63, 986. 32 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 144,777. 05 Total. LINCOLN PARIS, Cashier. Capital stock paid in. Total . 144, 777. 05 First National Bank, Centralia. A. J. BEST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate Mid mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3824. $87,999.94 251.45 12, 500.00 1, 000. 00 5, ooo.'66' 2, 330. 84 128. 29 26.63 1,445. 00 719. 00 562.50 360. 00 112, 323. 65 A. OBERNDOEF, JR.. Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 3,881.35 2, 244. 88 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Notes and bills rediscounted. Bills payable 30, 701. 73 14, 000. 00 Liabilities other than those above stated Total. 112,323. 65 278 REPORT OF THE COMPTROLLER OF THE CURRENCY. K A N S A S. First National Bank, Chanute. No. 3819. R. N. ALLEN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. D. M. KENNEDY, Cashier. Liabilities. $106, 222. 34 3. 225. 37 12, 500. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14,334.05 ! 4,464.05 j Due to other national banks Due to State banks and bankers.. 676. 59 5,106. 23 Dividends unpaid 171.92 Individual deposits 142. 00 United States deposits 195.51 Depositsof U.S.disbursing officers. 22,185. 80 7, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 176,786.36 | Total. 6,000.00 3,040. 50 9,130.00 328. 80 108, 287. 06 176, 786. 36 Chanute National Bank, Chanute. G. "W. JOHNSTON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits.. U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4036. $49, 278. 73 5,093.95 15, 000.00 5,257.34 7, 000. 00 12,791.15 176. 84 17.77 1,178.14 196. 21 4OO."66' 26. 40 2,707. 65 500. 00 675."66 100, 299.18 G. N. LINDSAY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individnal deposits United States deposits Deposits of U.S.disbursing officers. 519. 02 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 3, 000. 00 1, 963. 23 13, 500.00 18, 316. 93 3,000.00 100,299.18 Montgomery County National Bank, Cherryvale. C. C. ~KiisiCAm,President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned^ Due from other national banks j Due from State banks and bankers, j Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total . No. 4749. $49,132.17 175. 65 12, 500. 00 REVILO NEWTON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 300.00 National-bank notes outstanding. State-bank notes outstanding $50,000.00 2, 000.00 2,011.15 11, 250.00 6,300. 00 Due to other national banks Due to State banks and bankers.. 2, 201. 99 Dividends unpaid 2.45 Individual deposits 530.00 United States deposits 10.34 Depositsof U.S. disbursingofficers. 25.84 87.73 11, 038.44 2, 522. 60 1,000.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above j stated ! Total. 76, 325.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 279 KANSAS. First National Bank, Clay Center. No. 3072. D. H. MYERS, President. P. P. KEHOE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on D. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. cert;ficates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $101,240. 53 Capital stock paid in. 799. 92 12, 500. 00 , Surplus fund Undivided profits, less current expenses and taxes paid 1, 500.00 National bank notes outstanding. 1, 891. 00 State-bank notes outstanding 2, 700. 00 7,461.33 Due to other national banks | 984.11 1,842.07 102.78 1,000.00 42.63 10, 894. 65 500. 00 562. 50 $50, 000. 00 7. 800.00 1,677.21 11,250 00 Due to State banks and bankers Dividends unpaid Individual deposits United States deposits , Deposits of U.S.disbursing officers. 73,294.31 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 144, 021. 52 144,021.52 People's x%ational Bank, Clay Center. L. MCCHESNEY, President. No. 3345. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and m o r t g s owned Due from other national banks Due from State banKS and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $102, 735. 30 1,457.40 12,500.00 1, 500. 00 489. 65 1, 500. 00 2, 269. 34 152. 24 422. 70 7, 649. 28 3,417. 70 6, 017. 00 100. 75 2, 550. 95 5, 400. 00 262. 50 WILLIAM DOCKING, Cashier. Capital stockpaidin. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 3,909. 64 11,250.00 Due to other national banks Due to State banks and bankers. Dividend sunpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers- 73,265.17 Notes and bills rediscounted Bills payable Liabilities other than those above stated 148, 424. 81 Total. 148,424.81 First National Bank, Coffeyville. THOMAS SCURR, J R . . President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nick els, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3324. $149,520. 34 1, 047.63 12, 500. 00 J. T. WETTACK, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 1, 400. 00 National-bank notes outstanding. 6, 560.13 State-bank notes outstanding 9, 300. 00 Due to other national banks 11,036.41 Due to State banks and bankers 1,617.89 47, 612.19 211.31 1, 200. 00 154.24 7, 623. 88 3, 957.00 562. 50 254,303.52 Dividends unpaid Individual deposits United States deposits. Deposits of U.S.disbursingofficers $50,000.00 7, 000.00 3,071.05 11, 250.00 14.00 182,968.47 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 254,303.52 280 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Concordia. No. 3066. F . J. ATWOOD, President. W. W. BOWMAN, Cashier* Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on band Premiums on U.S. bonds Stocks, securities, etc Bank'g house, furniture, .and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $121, 788. 52 262. 70 25, 000. 00 3, 436. 61 16,000. 00 40,618.98 9,198. 05 377.52 180.66 216.87 3,144.65 4,497.00 1,125.00 Capital stock paid in. 30, 000. 00 22, 500. 0C Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers Notes and bills rediscounted. Bills payable 60, 845. < 12, 500.00 Liabilities other than those above stated 225, 845. 90 Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 225,845.90 Citizens' National Bank, Concordia. W . W. CALDWELL, President. Loans and discounts Overdrafts U. S.bontls to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc JBank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes.. U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. No. 3748. $93, 444.82 806.13 25, 000. 00 4, 533. 39 25, 000. 00 14,560.95 2, 050. 88 8,455. 50 819. 83 8oo. 66 73. 94 5,272. 40 1,000.00 1,125. 00 JOHN KELLY, Cashier. Capital stock paid in. $100,000.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 000.00 873.04 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 920.66 257. 76 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 51, 031.13 Notes and bills rediscounted Bill spayable Liabilities other than those above stated 1, 860. 25 3, 500. 00 182, 942.84 182,942.84 Total . Chase County National Bank, Cottonwood Falls. A. S. HOWARD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State bankaand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2704. $101, 051. 57 7,034.76 12,500 00 4, 856.97 6. 000. 00 10,184. 57 9,922. 60 17,911.35 927.84 W. W. SANDERS, Cashier. Capital stock paid in. 2, 404. 30 10, 930. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 425. 40 Individual deposits 236*66" United States deposits Deposits of U.S.disbursing officers. 114. 62 10,719.95 2, 000. 00 562.50 184,016.73 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-band notes outstanding 10, 000. 00 110,257. 03 Notes and bills rediscounted. t Bills payable Liabilities other than those above stated Total. 184,016.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 281 MAN S A S . First National Bank, Dighton. J . S. SUMMERS, President. F. W. KING, Cashier. No. 3888. [Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateand mortg's owned Duo from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due frum Treasurer 0". S Total. Liabilities. $46, 486. 20 308.13 32,500.00 1,246.75 10,000.00 1,140. 00 3, 099. 00 5,178.55 14.48 8.96 2, 061. 05 20.00 562. 50 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100. 00 2, 234. 85 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ol U.S.disbursing officers. Notes and bills rediscounted. Bills payable 16,040.77 3, 000.00 Liabilites other than those above stated Total. 82, 625. 62 82, 625. 62 Exchange National Bank, El Dorado. A. L. REDDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items C c s f l i Exchanges for clearing h house n a t i o a banks Bills of other national b Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemptiou fund with Treas. U. S. Due from Treasurer U. S Total. No. 3213. $145, 518. 00 1, 237. 79 25, 000.00 1, 375. 00 11,500.00 16, 020. 25 16.18 5,118. 58 277. 01 "8,525.00 72.65 20, 930. 00 10, 325. 00 1,125.00 GEO. W. BROWN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 607. 72 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 681. 73 Individual deposits United States deposits Deposits of'U.S. disbursing officers- 4, 800.00 167, 451. 01 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 247, 040. 46 274, 040.46 Farmers and Merchants' National Bank, El Dorado. ROBT. H. HAZLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4981. $167, 425.49 2, 289.50 12,500. 00 3, 000. 00 8, 752. 98 11, 883. 04 16,217.22 231. 60 12,465.00 68.72 7, 711. 00 7, 000. 00 551. 25 250, 005. 80 ED. C. ELLET, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 2, 484.80 11, 025. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 186, 586. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 250, 095.80 282 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Central National Bank, Ells-worth. No. 3447. B. S. WESTFALL, President. GEO. T. TREMBLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furni ture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $153, 674.10 3, 848. 47 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3. 590. 60 State-bank notes outstanding $50,000.00 10,000. 00 13,100. 37 11,250. 00 2, 564. 00 600. 00 Due to other national banks 4, 000. 00 Due to State banks and bankers. 35, 327. 34 Dividends unpaid 442.72 Individual deposits 480. 00 United States deposits 104. 32 Deposits of U.S.disbursingofficers. 11, 746. 00 500. 00 Notes and bills rediscounted. 145, 589. 68 Bills payable 562. 50 Liabilities other than those above stated 229, 940. 05 Total . 229,940. 05 First National Bank, Emporia. No. 1915. C. S. CROSS, President. Loans and discounts | Overdrafts I U. S. bonds to secure circulation...! U. S. bonds to secure deposits '• l U. S. bonds on hand f Premiums on U. S. bonds Stocks, securities, etc j Bank'g house, furniture, and fixtures Other real estate and mortg's o wnedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $562,467.11 10, 612. 74 25, 000. 00 14, 213. 54 24, 749. 64 4, 396. 09 68,069. 59 10.69 1, 208. 57 2, 639. 00 264. 39 39, 601. 23 6, 500. 00 1,125. 00 760, 857. 59 Total. D. M. DAVIS, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 170. 36 20, 707.26 Individual deposits United States deposits Deposits of U.S.disbursing officers. 512,483. 47 4,996.50 22, 500. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 760,857.59 Emporia National Bank, Emporia, C. HOOD, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items." Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. L. T. HERITAGE, Cashier. No. 1983. $100,000. 00 Capital stock paid in. Surplus fund 100,000.00 Undivided profits, less current expenses and taxes paid 11, 920. 55 National-bank notes outstanding. 22,500.00 447.50 State-bank notes outstanding $417,855. 73 2, 268. 31 25, 000. 00 18, 672.10 10, 682. 01 88,026.19 39. 00 930. 37 4,802.00 489.40 41,228.75 28, 000. 00 1,125.00 639, 5C6. 36 Due to other national banks Due to State banks and bankers.. 16, 605.78 26,266.77 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 348, 273. 26 14, 000.00 Liabilities other than those above stated Total. 639, 566.36 REPORT OF THE COMPTROLLER OF THE CURRENCY. 288 KANSAS. First National Bank, Eureka. No. 3148. DANIEL BITLER, President. IRA P. NYE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S $201,284.91 2,054. 69 17,500.00 Capital stock paid in. 387.90 10, 000. 00 2, 967. 05 Due to other national banks 1,763. 42 Due to State banks and bankers. 15,053.16 Dividends unpaid 1,174. 83 Individual deposits 330.00 United States deposits 139. 96 Deposits of U.S.disbursingofficers. 10. 876. 05 1, 700. 00 Notes and bills rediscounted Bills payable 787.50 Liabilities other than those above stated 266,019.47 | Total. $70,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 17, 500.00 6, 353.16 15,750. 00 149, 366. 31 7, 050. 00 260, 019. 47 Total . First National Bank, Fort Scott. W. CHENAULT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S No. 1763. GRANT HORNADAY, Cashier. $246,165. 83 | Capital stock paid in. $150, 000. 00 1,313.94 50, 000. 00 Surplus fund 10, 000. 00 Undivided profits, less current expenses and takes paid 5,181.58 45. 000. 00 5,000. 00 National-bank notes outstanding. 500.00 State-bank notes outstanding 1, 056. 00 10, 644. 50 Due to other national banks 3, 660. 06 Due to State banks and bankers. 96.33 27, 383. 33 Dividends unpaid 838.47 3,105. 30 Individual deposits 169, 989. 61 2, 010. 00 United States deposits 44.43 Deposits of U.S. disbursing officers. 15, 603.00 10, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 500.00 Liabilities other than those above stated 380,171.19 Total. Total . 380,171.19 Citizens' National Bank, Fort Scott. C. W. GOODLANDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3175. $173, 860. 65 8,123. 72 25, 000. 00 C. B. MCDONALD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 634. 63 State-bank notes outstanding 2, 645.00 20,496.56 Due to other national banks 4,769.17 Due to State banks and bankers.. 503. 83 16, 576. 83 Dividends unpaid 842.16 Individual deposits 9,501.00 United States deposits 276.90 Deposits of U. S.disbursing officers. 10,612.70 10, 000.00 Notes and bills rediscounted. Bills payable 10, 000.00 5,899.13 22, 500. 00 507.23 320.28 151,241.51 625.00 Libilities other than those above stated 290,468.15 Total . 290, 468.15 284 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS, Galena National Bank, Galena. No. 4798. J . SHOMON, President. "W. E. STICK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. boiids to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of othernationalpanks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $86. 242. 09 4, 070. 63 12, 500. 00 9, 572. 08 6, 000. 00 33, 265. 48 77, 004. 21 2, 730. 29 500. 00 422. 87 11, 251. 00 11,001.00 562. 50 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 2, 999.15 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 180, 873.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 255,122.15 Total . 255,122.15 Total . $50, 000.00 Capital stock paid i n . First National Bank, Garden City. , President. D. R. MENKE, Cashier. No. 3448. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit ' Redemption fund with Treas. U. S., Due from Treasurer U. S. | Total. Capital stock paid in 12,068. 68 3, 000. 00 4, 286. 32 1, 834. 23 9, 331. 02 1,119.10 300. 00 3.18 1, 337. 50 8, 087. 00 573. 50 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4,142. 03 11, 470. 00 Due to other national banks Due to State banks and bankers.. 3,140. 00 15.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 49, 498. 42 4,259. 40 Liabilities other than those above stated Total 122, 524. 85 122, 524. 85 First National Bank, Garnett. JOHN R. FOSTER, President. Loans and discounts Overdrafts U . S . bonds to secure circulation... U. S. bonds to secure deposits U . S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc B a n k ' g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State b a n k s and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie p L l Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . ED. L. FOSTER, Cashier. No. 2973. $120, 760.12 2, 496. 33 13, 000.00 366. 95 000.00 370. 77 952. 42 330. 38 371. 66 215. 41 34.16 !, 180. 60 i, 575. 00 "585." 66" Capital stock paid in Surplus iund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S disbursing officers. Notes and bills rediscounted. Bills payable $50, 000. 00 12, 500. 00 1,397.41 11, 700. 00 13, 664.16 115, 977. 23 5, 000. 00 Liabilities other than those above stated 210, 238.80 Total. 210,238.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 285 KANSAS. Anderson County National Bank, Garnett. SCOTT ELLIOTT, President. No. 4032. G E O . W. H U N L E Y , Resources. Cashier. Liabilities. L o a n s a n d discounts Overdrafts U . S. bonds t o secure c i r c u l a t i o n . . . TJ. S. bonds to secure deposits II. S. bonds on hand P r e m i u m s on U. S. bonds Stocks, securities, etc Ban k ' g house, furniture, and fixtures Other real e s t a t e a n d mortg'a owned D u e from o t h e r n a t i o n a l b a n k s D u e from S t a t e b a n k s a n d b a n k e r s . D u e from approved r e s e r v e agents Checks a n d oth er cash items • E x c h a n g e s for clearing house Bills of o t h e r national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Speci6 Legal-tender notes U . S . certificates of deposit R e d e m p t i o n fund w i t h T r e a s . TJ. S. D u e from T r e a s u r e r U. S Total $82,984.14 558.13 12, 500. 00 i, 500. 00 $50, 000. 00 Capital stock paid in Surplus fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 750.00 3, 321. 22 11, 250. 00 2, 000. 00 301.36 10, 079.14 50.22 D u e to other national b a n k s D u e to State b a n k s a n d b a n k e r s . . Dividends unpaid I n d i v i d u a l deposits * 2,200." 00* U n i t e d States deposits 35.87 Depositsof U . S . d i s b u r s i n g officers. 1,874.10 2, 020. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other t h a n those above stated 116,665.46 Total 51, 344. 24 116, 665. 46 First National Bank, Girard. H . P . GRUND, No. 3216. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S- bonds to secure deposits .-. U. S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due*from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total $139, 295. 30 2, 0G8. 22 12, 500. 00 2,000. 00 1, 500. 00 6, 072. 32 1, 500. 00 3, 600.00 12, 647. 85 630.51 23, 597. 59 102.45 1,815.00 169. 70 20, 810. 65 228, 872. 09 J . T. LEONARD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 10, 000.00 2, 353.32 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 155, 268. 77 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 228, 872. 09 First National Bank, Great Bend. G. L. CHAPMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3363. $82, 788. 89 Capital stock paid in. 1,154.58 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 292.00 State-bank notes outstanding 13,171.68 5, 692. 90 Due to other national banks 3,144. 78 Due to State banks and bankers. 10, 875. 20 Dividends unpaid 1, 303. 44 Individual deposits 220. 00 United States deposits 108. 67 Deposits of U. S.disbursing officers. 5, 636. 30 580. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated , 139,530.94 Total . -, Cashier. $50, 000. 00 15,000.00 2. 244. 59 11, 250.00 1, 000.00 40.00 54, 996. 35 5, 000.00 139, 530.94 286 REPORT OF THE COMPTROLLER OF THE CURRENCY. KAN S AS. First National Bank, Hays City. No. 3885. E . F . MADDEN, President. M. E. DIXON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house, furniture, and fixtures j Other real estate and mortg's owned s Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. | Checks and other cash items ! Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit p R d t i f d ith Treas. TJ. S. Redemption fund with T $73,347. 90 167.48 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 656. 85 State-bank notes outstanding 10,000.00 5,193.29 13,250.00 2, 000. 00 335.46 312.99 Due to other national banks Due to State banks and bankers. 3, 921. 64 Dividends unpaid 71.10 Individual deposits 500. 00 United States deposits 28.12 Deposits of U.S.disbursing officers. 303.55 685.00 562. 50 Due from Treasurer TJ. S Total . $50,000.00 20,199. 30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 96, 642. 59 Total . 96, 642. 59 First National Bank, Herington. J . L. THOMPSON, No. 4058. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $58, 545. 09 6, 262. 91 12, 500. 00 1,300. 00 3, 743. 28 2, 206.18 2, 775. 00 26. 30 7, 750. 00 1, 686. 20 140.00 50.48 3, 149. 50 795. 00 562. 50 $50, 000.00 Surplus fund Uudivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 2, 300.00 1, 700. 37 10, 550.00 50.00 36, 892.07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 101, 492. 44 Total . F. E. MUNSELL, Cashier. Capital stock paid in. 101,492.44 First National Bank, Hiayratha. CHARLES KNABB, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2589. $195, 715. 28 3, 419.73 27 500.00 300. 00 089. 80 500. 00 312.70 103. 50 i, 189. 88 213.85 480. 48 50.00 64.17 ', 267. 85 1 865. 00 , 446. 78 283, 519. 02 CHAS. P. WASTE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes o u t s t a n d i n g . State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. $110,000.00 1, 800. 00 3,995.07 24, 750. 00 142, 973. 95 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 283, 519. 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 287 KANSAS, First National Bank, Holton. T. P. MOORE, President. J. P. MOORE, Cashier. No. 3061. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house. furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $124, 929. 82 2, 519. 77 50,000. 00 3. 000. 00 1, 638. 91 8, 000. 00 20, 994. 35 2, 965. 79 1, 495.20 "2*370." 60" 25.64 15, 755. 00 2, 500. 00 2, 250.00 Capital stock paid in. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits .Deposits of U.S. disbursing officers. 15, 000. 00 2, 572.86 44, 000. 00 10, 564. 56 116, 307. 06 Notes and bills rediscoupted. Bills payable. Liabilities other tnan those above stated 238, 444. 48 Total . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 8,444.48 First National Bank, Horton. No.,3810. SCOTT HOPKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fnnd with Treas. U. S. Due from Treasurer U. S $125, 573. 39 1,743. 50 12, 500. 00 1, 250. 00 214.25 13, 650. 00 10,998.42 1,237.62 985. 00 96.70 4, 440.55 4,900.00 562. 50 $50, oooToo Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7,000.00 3, 572.59 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 82.42 2, 974. 04 Individual deposits United States deposits Deposits of U .S .disbursing officers 103, 272. 88 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 178,151. 93 Total. F. M. WILSON, Cashier. Capital stock paid in. 178,151. 93 First National Bank, Howard. CHARLES GREEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks. .. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3242. $73,410. 39 328.56 12, 500.00 3, 734. 20 6, 825.00 C. F. PLOWMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. $50,000.00 7, 000.00 2, 446. 77 11, 250. 00 Due to other national banks Due to State banks and bankers. 13,343.15 36.60 1,105. 00 40.92 8, 279. 40 1, 719.00 562. 50 121,884.72 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 51,187. 95 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 121,884. 72 288 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Howard National Bank, Howard. G. "W. M C K E Y , President. A. F. EBY, Cashier. No. 3794. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. .| TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furuiture,andfixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . Liabilities. $99, 526. 69 463. 26 12, 500. 00 300. 00 Capital stock paid in $50, 000. 00 Surplus, fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 2, 274.47 10, 910. 00 " 12, ooo.'66 458. 36 10, 897. 60 20.70 1,105. 00 50.50 5, 972.45 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 562. 50 55, 672. 59 15, 000. 00 Liabilities other than those above stated 143, 857. 06 Total. 143, 857. 06 Humboldt First National Bank, Humboldt. E. A. BARBER, President. No. 3807. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $87,023.82 5,428.10 15, 000. 00 1, 800. 00 6, 209. 60 9, 500. 00 3, 347. 50 1, 804. 96 565. 60 $60,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 3, 487. 32 "j.3," 500." 66 Due to other national banks Due to State banks and bankers. Dividends unpaid 234. 21 Individual deposits United States deposits Deposits of U. S.disbursing officers 60, 360. 82 10.00 42.12 4, 856. 65 4, 770. 00 Notes and bills rediscounted Bills payable 675. 00 Liabilities other than those above stated 141, 033. 35 Total. G. C. BARBER, Cashier. Capital stock paid in. Total . 105. 00 3, 346. 00 141, 033. 35 First National Bank, Hutchinson. S. W. CAMPBELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S, bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3180. $235,378. 96 907.83 50, 000. 00 2, 000. 00 1, 347. 50 23, 424.19 19, 500. 00 15, 543. 90 1, 717. 68 58,475.63 4, 255.22 6, 439. 00 106. 40 16,192.00 10, 000.00 2, 230. 75 760. 00 448, 279. 06 E. L. MEYER, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000. 00 14, 000. 00 4,296.46 44, 900.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 285,082. 60 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 7 Total. 448, 279.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 289 KANSAS. First National Bank, Independence. E. P. ALLEN, President. No. 3021. P. S. HOLLINGSWORTH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit.... Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $110,276 71 4, 027. 30 12, 500.00 1, 8, 2, 4, 000. 082. 500. 935. 00 03 00 30 330.67 29, 337. 55 519. 71 46.67 7, 482. 00 6, 600. 00 562. 50 Capital stock paid i n . . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends uupaid 10, 000. 00 1,458.84 11, 250. 00 87.73 50.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 117, 358. 87 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 190, 205.44 190,205.44 Citizens' National Bank, Independence. A. W . SHULTHIS, Cashier. No. 4592. A. C. STICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $97,487.14 7, 428.17 12, 500. 00 750.00 11, 788. 84 10, 000. 00 2, O00.00 6,147. 67 18, 990. 85 183. 03 " "a" 080.' 00 49.90 8, 562. 50 1, 000. 00 Capital stock paid in- 16,000. 00 Due to other national banks Due to State b a n k s and b a n k e r s . 100. 00 2, 437. 83 11,250.00 65.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 100,677. 77 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other t h a n those above stated 180, 530. 60 Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Total. 180, 530. 60 Commercial National Bank, Independence. P. V. HOCKETT, President. No. 4499. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reservo agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis $258,331.96 5,659. 76 26, 000. 00 24, 680. 38 6, 250. 00 181.41 29, 015.81 244.16 805. 00 208. 33 13, 590. 00 4, 010. 00 1,147. 50 370,124.31 19 GEO. T. GUERNSEY, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15,000.00 Due to other national banks Due to State banks and bankers.. 6, 467. 69 8, 718. 22 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 4, 494. 97 22, 950. 00 78.00 212,415.43 Notes and bills rediscounted. Bills payable Liabilities other than those above stated *Total. 370,124.31 290 REPORT OF THE COMPTROLLER OF THE CURRENCY, M A N S A S. First National Bank, Jewell City. No. 3591. THEO. BARTHOLOW, President. NEWTON KREAMER, Cashier. Resources. I Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds ! Stocks, securities, etc I Bank'gliouse.furmture,andfixturesj Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treae. U. S. Due from Treasurer IT. S Total. Liabilities. $119,771.08 " " 12, 500." 00 Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 10, 000. 00 21, 605. 48 11, 250. 00 1, 500. 00 10, 791. 37 Due to other national banks Due to State banks and bankers 42,306.84 j Dividends unpaid . 720. 00 5,911.50 3; 000. 00 "*'562*50' Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable 94, 293. 89 | 10, 000. 00 Liabilities other than those above stated Total . 197,149.37 197,149. 37 First National Bank, Junction City. G. "W. MCKNIQHT, President. Loans and discounts i Overdrafts ! TT. S. bonds t o secure circulation. . . I V. S. bonds to secure deposits ; IT. S. bonds on band Premiums on U. S. bonds | Stocks, securities, etc Bank'g house, furniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash, items Exchauges for clearing house Bills of other national banks ! Fractional currency, nickels.cents. I Specie ! Legal-tender notes I IT. S. certificates of deposit ! Bedemption fund with Treas.U. S-| Due from Treasurer U. S | Total. No. 3543. $138, 514. 71 1, 372. 24 25, 000. 00 , 6, 261. 00 17, 589. 36 10, 919. 73 2, 240. 70 1.375.67 13.351.77 906. 36 805. 00 174.85 13, 710. 85 2, 835. 00 1,125.00 E. F . W H I T E , Cashier. Capital stock paid in $100, 000. 00 Surplus fund urplus Undivided profits, less current expenses and ta xes paid National-bank notes outstanding. State-bank notes outstanding 5, 500. 00 3, 371.11 21,880.00 Due to other national b a n k s Due to State banks and b a n k e r s . . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing offic 105, 521.13 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total. 236,272.24 236, 272.24 Central National Bank, Junction City. S. W. PIERCE, President. Loans and discounts Overdrafts X . S. bonds to secure circulation... T IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Otherreal estate and morfcg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total. No. 4284. $103, 899.14 1,881.00 25, 000. 00 CHAS. H. MANLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 500. 00 13. 141. 03 13,550.00 4, 708. 75 Due to other national banks 364. 08 Due to State banks and bankers.. 1, 697. 51 10, 981. 95 Dividends unpaid 125. 98 Individual deposits 90.00 United States deposits 21.69 Deposits of U.S.disbursingofficers. 5, 779. 50 3, 405. 00 Notesand bills rediscounted. Bills payable 1,125.00 40.00 Liabilities other than those above stated 188, 310. 63 Total. $100, 000. 00 2, 596. 52 22, 500. 00 1, 226.69 47,987. 42 14, 000. 00 18. 310. 63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 291' KANSAS. Inter-State National Bank, Kansas City. J. J. SQUIEB, President. No. 4381. WM. C. HENRICI, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. TL S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total Liabilities. , 698, 507.12 33, 490. 01 50, 000. 00 Capital stock paid in. $1, 000, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 000. 00 National-bank notes outstanding. 17, 664, 70 State-bank notes outstanding 45, 615. 82 148, 694.11 23, 572. 95 348, 750. 95 53, 519. 34 46,572.13 985. 00 3^6.56 65, 056. 30 12, 234. 00 2, 250.00 2, 552,308.99 Due to other national banks Due to State banks and bankers. Dividends unpaid 75, 000. 00 40, 014.77 45, 000. 00 148, 973. 20 151,318.08 60.00 Individual deposits United States deposits , Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 991, 942.94 100, 000. 00 2, 552, 308. 99 Wyandotte National Bank, Kansas City. THOMAS J. BAKER, President. No. 3726. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $179, 325.44 5, 753. 79 25, 000. 00 102, 824. 24 26, 173.10 35.80 126, 700. 93 4,180.14 16. 367. 182. 27, 215. 10, 000. 00 57 00 00 1,125.00 524,883. 01 Total . C. W. TRICKETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers.. $100, 000. 00 16, 500. 00 1, 537. 73 22, 500. 00 36, 912.12 16,415.04 Dividends unpaid Individual deposits United States deposits „. Deposits of U.S.disbursingofficers. 331, 018.12 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 524, 883. 01 First National Bank, Kingman. W. E. MAYNAKD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT, S Total . A. C. TREDICK, Cashier. No. 3509. $118,220. 25 Capital stock paid in. $75, 00U. 00 52. 93 18. 750. 00 Snrplusfund 9, 550. 00 Undivided profits, less current xpenses and taxes paid 2, 833. 06 National-bank notes outstanding. 16, 870. 00 1, 360.95 State-bank notes outstanding 21, 888. 00 10,400. 00 Due to other national banks 4, 530. 79 Due to State banks and bankers. 11, 012. 93 Dividends unpaid 400. 00 87.35 4, 449. 80 1, 000. 00 843.50 192, 996.50 Individual deposits United States doposits Deposits of U.S.disbursing officers. 8, 743.44 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 192, 996. 50 292 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Kir win. H. J. CAMERON, President. No. 3454. H. R. HULL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U S bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks securities etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of depositRedemption fund with Treas. U. S. Dae from Treasurer U. S $58, 680. 00 297. 28 12 500.00 1, 300. 00 10, 979. 90 990.10 40. 25 1, 377. 22 35.10 180.00 55.42 1,591.75 1, 430. 00 502. 50 Total Capital stock paid in $50, 000. 00 Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8, 000. 00 1,901.99 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing fficers. Notes and bills rediscounted Bills payable 16, 867. 53 2, 000. 00 Liabilities other than those above stated Total 90, 019. 52 90, 019. 52 First National Bank, La Crosse. B. F. COUGHENOUR, President. H. L. BAKER, Cashier. No. 3970. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.and fixtures Other real estate and niortg's owned Due from other national banks Due from State t a n k s and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $82, 533.43 6.24 12, 500. 00 1, 500. 00 900. 95 2,391.60 3, 736. 55 5, 484. 99 158.31 57. 00 1, 210. 00 3,531.00 562. 50 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000. 00 12, 608. 62 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits. Deposits of U.S.disbursing officers. I Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 114, 572. 57 33, 713. 95 2, 000. 00 "114^572757 First National Bank, Larned. , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . O. F. NORWOOD, Cashier. No. 2666. $56, 226. 75 678. 12 12. 500. 00 6,108.68 12, ()('(). Hi) 11,896.24 232.32 53.92 13, 824. 97 632. 72 5.11 1,108. 75 5, 131. 00 562. 50 121,081.08 i Capital stock paid in Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g . . . I . $50,000.03 774.76 11, 250. 00 Due to other national banks Due to State b a n k s and b a n k e r s . . Dividends unpaid 3,009.03 Individual deposits United States deposits Deposits of U. S .disbursing officers. 50,957. 32 Notes and bills rediscounted. Bills payable 5, 000. 00 Liabilities other than those above stated Total . 121, 081. 08 BEPOBT OF THE COMPTROLLER OF THE CURRENCY. 293 KANSAS. Lawrence National Bank, Lawrence. J. D. BOWERSOCK, President. No. 3849. WALTER L. HOWE, Cashier. Resources. Loans and discounts Overdrafts ' U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures; Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents.! Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . Liabilities. $163. 416. 41 4,780.79 25, 000. 00 50, 000. 00 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 9, 000. 00 National-bank notes outstanding 43, 207. 07 State-bank notes outstanding 45, 628, 28 7,641,33 Due to other national banks 4,868.28 Due to State banks and bankers. 27,543 89 Dividends unpaid . 925. 98 Individual deposits 5,370. 00 United States deposits 258.00 Deposits of U.S. disbursing officers 20, 093. 00 7, 500. 00 Notes and bills rediseounted. Bills payable 1,125. 00 Liabilities other than those above stated Total. 416,358.03 7, 000. 00 4,150.58 22, 500. 00 237,105. 83 36, 769. 79 8,231.83 416,358.03 Merchants' National Bank, Lawrence. No. 3584. A. MONROE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $201, 917. 26 846.10 25, 000. 00 2. 250. 00 593.72 33,000.00 851.85 3, 087. 45 40,163. 83 561.60 6,786.00 77. 00 15, 692.05 1,125. 00 331,951.86 Total . R. G. JAMISON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current j expenses and taxes paid | National-bank notes outstanding.j State-bank notes outstanding | 20, 000. 00 5, 467. 80 22, 500. 00 Due to other national banks j Due to State banks and bankers.. | Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 183,984.06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 331, 951. 86 Watkins National Bank, Lawrence. J. B. WATKINS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits . . TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes "U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. No. 3881. $263, 202. 61 j! Capital stock 1,294.85 Surplus fund .37, 500. 00 4,250. 00 9,125. 00 4, 024. 96 8.681.26 435. 76 27, 874. 58 1, 823. 04 PAUL R. BROOKS, Cashier. paid in. 1,687.50 382, 071. 84 14, 700.00 3,285. 54 33, 350. 00 |i Due to other national banks ji Due to State banks and bankers.. I! Dividends unpaid 411.80 I Individual deposits 1, 457. 00 | United States deposits Deposits of U.S.disbursingofficers. 59.28 17, 656. 00 3, 000.00 $i5o,ooo7oo Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 24. 00 180,300. 50 Notes and bills redisconnted. Bills payable Liabilities other than those above stated Total. 382, 071. 84 294 REPORT OF THE COMPTROLLER OF THE CURRENCY. KA N S A S . First National Bank, Leavenworth. E. N. MORRILL, President. No. 182. AMOS E. WILSON, Cashier. Eesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes ! U. S. certificates of deposit I Redemption fund with Treas. U. S. | Liabilities. $617, 4, 100, 100, 391.36 231.72 000. 00 000. 00 $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 22, 000. 00 40,173.91 42, 000. 00 34, 200. 00 Due to other national banks , 28,901.80 Due to State banks and bankers.. 156.16 87,036.38 il Dividends unpaid 4,774.96 ! Individual deposits 000. 00 United States deposits 408. 09 Deposits of U.S.disbursing officers 48, 870. 50 19, 184. 00 i Notes and bills rediscounted. j Bills payable 4, 500. 00 Due from Treasurer TJ. S Total. Capital stock paid in. 23, 000.00 38, 492. 36 89, 300. 00 44, 930. 09 41,269.11 520, 642. 28 33, 595. 72 65, 599. 32 Liabilities other than those above stated Total 1,156, 828. 88 1,156,828.88 Leavenworth National Bank, Leavenworth. PAUL E. HAVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc B.mk'g house, furniture, andfixtures Other real estate and mortg's owned Due from, other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U, S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3033. $761, 644. 31 5, 075. 70 50, 000. 00 125, 000. 00 '"""12," 666* 66' EDWARD CARROLL, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers. 2, 227. 57 29, 397. 95 78,171.10 45, 000. 00 i , 600.00 57,941.79 1,003.26 235, 963. 60 469. 45 " " 4 , " 326." 66" 179.27 60, 259. 85 20, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 869, 363.14 33.143. 42 79, 804. 05 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 1, 337,107. 23 Total. 1,337,107.23 Manufacturers' National Bank, Leavenworth. E. W. SNYDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3908. $318, 955. 87 3,485.14 37,500. 00 3, 750. 00 3, 666. 00 57, 500. 00 2,279.12 629. 31 20, 832. 54 195. 40 W. B. NICKELS, Cashier. Capital stock paid i n . Surplus, fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due tc other national banks Due to State banks and bankers. Dividends unpaid Individual deposits ""3,"3O6."66" United States deposits 54. 30 10, 700. 00 6, 220.89 33, 747. 50 2, 309. 57 36,192.40 233,185.02 Deposits of U.S.disbursingofficers. 8, 987. 20 9, 533. 00 Notes and bills rediscounted. Bills payable 1,687. 50 Liabilities other than those above stated 472, 355.38 Total. 472, 355.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 295 KANSAS. First National Bank, Lindsborg. B. P. DUNCAN, President. No. 3589. JOHN A. SWENSON, Cashier. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities,etc. Bank'ghouse,furniture,and fix tures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $113,384.50 i i 500"oo 2,018.83 27,743.00 1,198.83 26.28 3, 914. 25 3,245.00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . ' . . $50,000.00 SO, 000. 00 2, 303. 46 11, 250. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits II nited States deposits DepositsofU.S.disbursingofficers. 71, 039.73 Notes and bills rediscounted-. Bills payable 562. 50 Liabilities other than those above \ stated 164, 593.19 Total . 164, 593.19 First National Bank, Manhattan. J O H N B . ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Sp Specie Legal-tender notes L l U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3782. 5140, 289.11 402. 29 25. 000. 00 2, 500. 00 15,905.33 2, 293. 75 1, 324. 01 12, 527. 99 59.74 "*i*28L00 214. 78 24, 042. 80 9, 000. 00 G E O . S. MURPHEY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . $100, 000.00 7, 000. 00 3, 358. 61 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursiiigoflicers. 103,107.19 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 235, 965. £ Total. 235,965.80 Union National Bank, Manhattan. J . B . MITCHELL, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on II. S. bonds Stocks, securities, etc Bank'g house,f urniture, and fixtures Other real estate and mortg's owned Due from other national b a n k s . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4008. L. L. ASHBROOK, J R . , Cashier. $80, 522. 58 Capital stock paid i n . 2,482. 50 12, 500. 00 I Surplus fund Undivided profits, less current expenses and taxes paid 1, 200. 00 National-bank notes outstanding. 262. 55 State-bank notes outstanding 10, 225. 00 . il Due to other national banks 2, 283.84 [ Due to State banks and b a n k e r s . . I 1, 802. 93 1, 065. 00 32.65 6, 362. 25 4, 443. 00 562.50 500. 00 124, 244.80 $50, 000.00 5,500.00 2,088.48 11, 250. 00 !, 548. 28 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disburaingofficers. 52,858. 04 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 124,244.80 296 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Marysville. PERRY HUTCHINSON, President. E. R. FULTON, Cashier. No. 2791. Liabilities. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation TJ. S. bonds to secure deposits... U. S- bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationarbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $118,156. 83 1,894. (53 20 000. 00 2, 000.00 2,500. 00 6, 500. 00 5, 949. 00 5. 068. 86 5, 420.12 839. 54 773. 56. 4, 500. 3, 000. 00 82 00 00 900. 00 Capital stock paid in 5, 000.00 1, 255. 47 18, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits...; Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable 64, 303.33 14, 000.00 •Liabilities other than those above stated 177, 558. 80 Total . $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Total . 177, 558.80 First National Bank, McPherson. ROYAL MATTHEWS, President. No. 3521. A. E. DWELLE, Cashier. $67, 654.14 Capital stock paid in. ~~ Loans and discounts j 1, 039. 90 Overdrafts 18, 750. 00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand ;... National-bank notes outstanding. Premiums on U. S. bonds 9,919. 07 State-bank notes outstanding Stocks, securities, etc [ 2, 000.00 Bank'ghouse,furniture,and fixtures 12, 665. 50 Due to other national banks Other real estate andmortg's owned Due from other national banks . 4,011.13 Due to State banks and bankers. Due from State banks and bankers. I 1, 609. 36 Dividends unpaid Due from approved reserve agents. | 1, 015. 04 Checks and other cash items Exchanges for clearing house Individual deposits 145. 00 United States deposits Bills of other national banks 33.34 Deposits of U.S. disbursingofficers Fractional currency, nickels, cents2, 405. 00 Specie 2, 000. 00 Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. j " 843.50 " Due from Treasurer U. S. Liabilities other than those above $50, M0.00 5, 500.00 530.74 16, 870. 00 46,190.24 5, 000.00 stated Total. Total. 124, 090.98 Citizens' National Bank, Minneapolis. V. D. REES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4931. $66, 551. 26 1, 883. 05 12, 500. 00 76.74 9, 000. 00 388. 40 8, 909. 85 540. 00 84.93 13, 712. 75 2, 345.00 562. 50 116,554.48 J . W . SMITH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 53, 304. 48 Notes and bills rediscounted. Bills payable Liabilities other than those abcvo stated Total. 116,554.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 297 KANSAS, Minneapolis National Bank, Minneapolis. B. F. BRACKEN, President. No. 3731. J. C. G-AFFOBD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts. .*. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks uue from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. $112,742.44 3, 871. 22 15, 000. 00 210. 00 13, 264. 99 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 8, 650. 00 778.96 13, 500. 00 Due to other national banks Due to State banks and bankers.. 15, 607. 38 782. 26 100. 00 22.50 5,900. 00 4, 000. 00 675. 00 172,175.79 Dividends unpaid Individual deposits United States deposits Deposits of U. S.dis bursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 75.00 71,171.83 "i8,'66o.'6o 172,175. 79 First National Bank, Ness City. H. F. BLACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secu re deposits U. S. bonds on hand Premiums on U. S. bonds « Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total S. LEHMAN, President. First National Bank, Newton. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. L. ROGERS, Cashier. No. 3542. $50, 000. 00 $43, 677.70 Capital stock paid in 663. 55 12, 500. 00 Surplus fund Undivided profits, less current 273.95 expenses and taxes paid 11,250.00 National-bank notes outstanding. 2,316.95 State-bank notes outstanding 12, 600. 00 7, 850. G O Due to other national banks 179. 69 528. 84 Due to State banks and bankers.. 250.19 2, 534. 49 Dividends unpaid 502. 91 26, 584. 05 Individual deposits 200. 00 United States deposits 17.06 Deposits of U.S.disbursing officers. 1, 803. 50 2, 280. 00 Notes and bills rediscounted Bills payable 562."50' Liabilities other than those above stated 88, 287. 69 Total 88, 287. 69 A. B. GILBERT, Cashier. No. 2777. $109, 564. 01 Capital stock paid in. $50,000. 00 359. 91 12, 500. 00 Surplus fund 10, 000. 00 Undivided profits, less current 1, 249. 66 expenses and taxes paid 1, 474. 31 National-bank notes outstanding. 11,250.00 6, 013.13 State-bank notes outstanding 2, 630. 86 15, 542. 08 Due to other national banks 970.31 Due to State banks and bankers. 8,139. 54 Dividends unpaid 361.35 Individual deposits 100, 691. 82 4, 264. 00 United States deposits 142. 98 Deposits of U.S. disbursing officers. 7, 666. 50 3, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 173,191.48 Total. 173,191.48 298 REPORT OF THE COMPTROLLER OF THE CURRENCY. K AN S A S . Midland National Bank, Newton. No. 4860. W. J. TROUSDALE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U, S. bonds to secure deposits U.S. bonds on hand Premiums on U. S, bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures Other real estate and rnortg s ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panics Fractional currency, nickels, cents. Specie ... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. DON KINNEY, Cashier. Liabilities. $72, 845. 97 48.50 12, 500. 00 1,546.87 i'oob.oo 1, 328. 87 12,768.93 (517.15 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 562.50 I 842. 40 11, 250. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits *1,655."00 ! United States deposits 80.18 ! Deposits of U.S. disbursing officers. 3,330.00 ! 2,000,00 | 1,000.00 47,191. 57 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 110,283.97 110, 283. 97 First National Bank, Norton. F. S. HAZELTON, Cashier. No. 3687. ELMER E. AMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $74, 696. 20 2,941.21 12,500.00 619. 35 10, 065. 00 7, 429. 49 44.27 5, 166.80 ],678..23 205. 43 1, 413. 85 4, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 8, 000.00 4,148.79 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted... Bills payable 562.50 38, 923. 54 9, 000. 00 Liabilities other than those above stated 121,322.33 Total . 121, 322. 33 First National Bank, Oberlin. S. C. WOODSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3511. JOHN P. O'GRADY, Cashier. Capital stock paid in $50,000.00 Surplus fund 2, 000. 00 Undivided profits, less current expenses and taxes paid 382. 93 1,250.00 National-bank notes outstanding. 11, 250. 00 485. 60 State-bank notes outstanding $53, 505. 26 3, 887. 48 12, 500. 00 6, 500. 00 18,185. 30 1,622.28 26.70 400.00 102.03 1,118.50 1,020.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 101,165. 65 Total . 27, 532. 72 10,000.00 " 562.'50 101,165. 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 299 KANSAS. Oberlin National Bank, Oberlin. No. 4642. JUDSON J. FOLTZ, President. OTIS L. BENTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S, bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures! Otherreal estate andmortag's owned' Due from other national banks Due from State banks and b a n k e r s . Due from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house ! Bills of other national banks I Fractional currency, nickels, cents J Specie j Legal-tender notes | IT. S. certificates of deposit ! Redemption fund with Treas. IT. S.i Due from Treasurer IT, S ! Total. $61,472.37 2,010. 44 12. 500. 00 3, 023. 47 12, 500. 00 Capital stock paid in ,... Surplus fund ! Undivided profits, less current j expenses and taxes paid ; National-bank notes outstanding. s\ State-bank notes outstanding J Due to other national banks j Due to State banks and b a n k e r s . . ] 2, (562. 04 78.09 500. 00 32. 63 1,708.90 1, 889. 00 $50, 000. 00 1, 350. 00 828.41 U. 250. 00 650. 20 Dividends unpaid Individual deposits j United States deposits j. Deposits of U.S.disbursing officers. I. Notes and bills rediscounted. Bills payable 19, 860. 83 15,000. 00 562. 50 Liabilities other than those above ! stated 98,939.44 Total. 98, 939.44 First National Bank, Olathe. L E W I S W . BREYFOGLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 2, 335. 00 13, 750. 00 31.28 15, 210. 58 310.46 2, 500. 15. 15, 074. 5, 000. 00 94 60 00 $50.000. 00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . 8,000. 00 5,061.12 11, 250. 00 28. 21 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 117, 958. 71 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 192, 298. 34 Total . J . L . PRICE, Cashier. No. 3720. $125, 000. 06 7.92 12, 500. 00 Total . 192,298. 34 First National Bank, Osage City. D. C. LAKE, President. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned] Due from other national banks Due from State banks and banker.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tendar notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. No. 3813. R. L. BROWN, Cashier. $78, 342.44 i Capital stock paid in 16.27 i 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,125.00 National-bank notes outstanding. | State-bank notes outstanding 6,788. 83 8,000.00 Due to other national banks Due to State banks and bankers. 8,144.34 80.45 35.00 124. 99 5,075.45 1,005.00 $50,000. 00 2, 792. 54 10, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 58, 757. 73 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above 121,800.27 stated Total . 121,800.27 300 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Osborne. T. M. WALKER, President. No. 3319. GROVER "WALKER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ^Fractional currency,nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $110, 328.10 197. 49 12, 500. 00 1,500.00 44770 10, 000. 00 3, 325. 00 10, 664. 48 313. 87 370. 00 125.28 3, 206. 75 7, 000. 00 562.50 Total. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 4, 720. 61 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 74,670. 56 Notes and bills rediscounted. Bills payable Liabilities other than those above stated „ Total . 160, 641.17 160,641.17 Exchange National Bank, Osborne. No. 3472. J . R. LOOMIS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds $71, 581. 69 20.94 15,000.00 i Stocks, securities, etc Bankghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S, Total. S. P. CRAMPTON, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less curreut expenses and taxes paid 1,650. 00 National-bank notes outstanding. State-bank notes outstanding 10, 500. 00 Due to other national banks Due to State banks and bankers. 4, 571. 06 Dividends unpaid 249. 75 Individual deposits 670.00 United States deposits 79.36 Deposits of U. S.disbursing officers. 4,551.95 1, 500. 00 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above stated , Total . 111,049.75 7, 750.00 1,823.26 13, 500. 00 37, 976. 49 111,049.75 First National Bank, Ottawa. HORACE J . SMITH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U.S.bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalTianks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1718. $195, 336. 82 3, 332. 33 25.000. 00 23, 000. 00 8, 800. 00 2,136. 94 5, 000. 00 24, 716. 45 304. 88 857.00 151. 26 30, 594. 00 3,000. 00 G. C. SMITH, Cashier. Capital stock paid in.. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100, 000. 00 7, 500. 00 2, 870. 73 22, 500. 00 2, 064. 36 1, 395.62 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 187, 023. 97 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 323, 354. 68 Total . 323, 354. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY 301 K A N S A S. People's National Bank, Ottawa. JOHN P. HARRIS, President. No. 1910. PETER SHIRAS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national bauks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total . $201,109.79 Capital stock paid in 1, 634. 85 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,000.00 6, 388. 63 Due to other national banks 1, 855.10 Due to State banks and bankers.. 646. 58 42,451.73 Dividends unpaid 1,115.40 Individual deposits 778.00 United States deposits 112.44 Deposits of U.S. disbursing officers. 15, 900. 00 14, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total . 300, 055. 02 $50,000.CO 10, 000. 00 3,784.84 11, 250. 00 1, 006. 83 224, 013. 35 300,055. 02 Miami County National Bank, Paola. J . W . SPONABLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U, S Total . No. 3350. $315, 650. 81 4,133. 08 50, 000. 00 5,000. 00 13,063. 48 10,000. 00 17,161.43 43. 955. 06 257, 58 22, 036. 62 890. 01 ¥ M . CROWELL, Cashier. $ioo7ooo. 00 Capital stock paid in Surplus fund Undivided p , profits, less current dt id expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 573. 71 44, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6, 745. 32 20, 000. 00 Individual deposits "3," 795." 66' United States deposits 126.37 Deposits of U.S.disbursing officers. 26, 502. 00 7, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 346, 002.41 521,821.44 521, 821. 44 stated Total . National Bank, Paola. W. T. POTTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 3795. $56, 061. 76 911.15 25, 000. 00 6, 762. 36 1, 572. 29 4, 733. 41 4, 097. 56 34.22 498.15 1, 590. 00 ""825." 66' L. C. GILMORE, Cashier. Capital stock paid in.. Surplus fund LTndivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 2, 500.00 4, 815. 54 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable 20, 270. 36 2, 000. 00 Liabilities other than those above stated 102,085. 90 Total 102,085. 90 302 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. People's National Bank, Paola No. 3991. J. M. EOHRER, President. C. F. HENSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds: ! | Stocks, securities, etc j Bank'g house, furniture,aiKlfixture3; Other real estate and mortg'a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S 2, 400. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Total . 3, 750. 00 2, 447. 87 11, 250. 00 263.67 Due to State banks and bankers.. 16,885.52 ! 198.33 I Dividends unpaid 1,000.00 I Individual deposits 239.01 United States deposits. 14,000.00 | 1,000.00 I Deposits of U.S. disbursingofficers. Notea and bills rediscounted 562.50 Bills payable j . j Liabilities other than those above !l stated $114,401.43 2, 558. 69 50, 000. 00 5, 750.00 22, 964. 25 11, 825. 00 2, 4i8. 40 1, 740. 00 31,532.11 1, 334. 57 11, 286. 66 175. 69 13, 500. 00 3, 000. 00 2, 250. 00 100. 00 118, 254. 84 185,966. 38 Total. First National Bank, Parsons. No. 1951. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hands Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg'a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50, 000. 00 Capi tal stock paid in 185, 966. 38 Total. L E E CLARK, President. $131,053.03 6,127.99 12,500. 00 E. B. STEVENS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. $50, 000. 00 10, 000. 00 9,428.47 45, 000. 00 344.16 160, 063. 51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 274, 836.14 274, 836. 14 Total . First National Bank, Peabody. THOS. OSBORNE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house l^ills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3134. WILLIS WESTBROOK, Cashier. Capital stock paid in 1, 000. 00 500.00 1, 000. 00 13, 800. 00 4, 705. 80 35.00 1,118.69 186. 48 3, 336. 200. 5, 853. 3, 000. 00 79 00 00 562.50 i 142, 222. 37 Surplus fund Undivided profits, less current expen ses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable "$5o7oOO.W) 10, 000.00 3,116. 21 11, 250. 00 1, 375. 23 2, 085. 81 3.00 50, 312. 57 14, 079. 55 Liabilities other than those above stated , Total. 142, 222. 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 303 KANSAS. First National Bank, Phillipsburg. H. S. GRANGEK, President. No. 3G01. W. D. GEANGER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits TJ. S. bonds on. hand Premiums on U. S. bonds Stocks, securities, etc , Bank ghouse,furniture,and fixtures| Other real estate andmortg's owned] Due from other national banks Due from Stat e banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house, Bills of other national banks . . . . . . . Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit , Redemption fund with Treas. U. S.J Due from Treasurer U. S | Total. $51, 955. 57 ; Capital stock paid in 82. 34 12,500.00 i j Surplus fund jj Undivided profits, less current II expenses and taxes paid 1,000.00 National-bank notes outstanding. State-bank notes o n t s t a u d i n g . . . . . 10,000.00 j 3,690.84 ! Due to other national banks Due to State banks and bankers. 3,475.52 i Dividends unpaid . 311.52 ! I! Individual deposits 1, 575. 00 !!! United States deposits 178.40 < Deposits ofU.S.disbursing officers 4, 473. 00 5, 495. 00 | Notes and bills rediscounted Bills payable '"'562.'50 .! Liabilities other than those above stated 95,299.69 I Total. $50, 000.00 3, 900. 00 962.64 11,250.00 29,187. 05 95, 299. G9 First National Bank, Pittsburg. No. 3463. J . R. LINDBURG, President. CHAS. P. HALE, Cashier. Loans and discounts $116, 77 i( Capital stock paid in Overdrafts I 1, 77 |i II. S. bonds to secure circulation ... j 12, Surplus fund 00 U. S. bonds to secure deposits • Undivided x>rofits, less current U. S. bonds on hand j expenses and taxes paid Premiums on U. S. bonds I National-bank notes outstanding. State-bank notes outstanding..... Stocks, securities, etc { 1, Bank'ghouse,furniture and fixtures j i), Other real estate and mortg's owned! 3, Due to other national banks Due from other national banks j '>. 29 | Due to State banks and bankers. Due from State banks and bankers. j Due from approved reserve agents. 15,958.85 ! Dividends unpaid . I,' 697.91 Checks and other cash items i Exchanges for clearing house j. .! j Indi vidual deposits j Bills of other nationalbanks 2, 440. 00 j I United States deposits | Fractional currency, nickels,cents. 8.26 |! Deposits of U.S.disbursingofficers.j Specie I 5,118.30 li I Legal-tender notes 2, 500. 00 ! Notes and bills rediscounted | U. S. certificates of deposit j Redemption fund with Treas. U. S.! 562. 50 Bills payable Liabilities other than those above Due from Treasurer U. S i stated 172,024.16 !| Total. Total . $50, 000. 00 10,000.00 1, 300.16 11,250.00 99,474. 00 172,024.16 Manufacturers' National Bank, Pittsburg. 3. A. NUTTMAN, President. No. 4136. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures) Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks j Fractional currency, nickels,cents. | Specie j Legal-tender notes j TJ. S. certificates of deposit j Redemption fund with Treas. U. S. j Due from Treasurer U, S j j Total. ROBERT ROBYN, Cashier. $105,233.12 Capital stock paid in I $100, 000. 00 98.13 3, 500.00 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 702. 29 National-bank notes outstanding-1 22, 500. 00 j 11, 522. 91 State-bank notes outstanding 11, 372. 06 ! 5, 707. 31 20,634.24 Due to other national banks Due to State banks and bankers ' i 10, 096. 85 Dividends unpaid 2, 910. 64il 1 Individual deposits 1 350. 00 j United States deposits 73.91 1 Deposits of U.S.disbursing officers. 1 1,416.80 4,459. 00 Notes and bills rediacounted Bills payable 1,125.00 Liabilities other than those above stated 194, 292. 66 Total . 57, 883. 06 194, 292. 66 304 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. National Bank, Pittsburg. No. 3475. SIMON H . LANYON, President. J A S . PATMOR, Cashier. Kesources. Liabilities. Loans and discounts O Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of "other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S $168, 572. 07 1, 380 72 1 380. 72 25, 000. 00 1, 000. 00 26, 635. 37 8, 905. 35 27. 256. 87 18, 526. 83 910.10 85.00 333. 06 22, 639.15 2, 865. 00 Capital stock paid in . 20, 000. 00 Due to other national banks Due to State banks and bankers. 2, 815. 05 6, 911. 03 2, 436. 53 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingom'cers 150, 571. 91 Notes and bills rediscounted Bills payable 1,125.00 j Liabilities other than those above stated 305, 234.52 Total . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes o u t s t a n d i n g . . . . . 305,234. 52 Total. First National Bank, Pratt. C. S. C A L H O U N , President. J . L. VAUGHAN, Cashier. No. 3649. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer U . S $45,123. 90 587. 73 12, 500. 00 1, 250. 00 7, 386. 03 22,400. 00 827. 05 3, 581. 84 64.46 * 500.'00' 17.07 3, 626. 25 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6,100. 00 11, 250. 00 Due to other national banks Due to State banks and b a n k e r s . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 27,076. 83 4, 000. 00 Liabilities other than those above stated 98, 426.83 Total . $50, 000. 00 Capital stock paid in . '8, 426. 83 Total. First National Bank, Russell. CHAS. A. WOLCOTT, President. Loans and discounts Overdrafts U. S.bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and rnortgs owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total V. K. HOOVER, Cashier. No. 3657. $99, 912.27 1. 732. 62 20, 000. 00 7. 500. 00 8, 563. 94 2, 072. 59 76.05 655. 00 46.70 569. 75 2, 561. 00 Capital stock paid in . Surplus fund XTndivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding $80, 000. 00 5, 000.00 4, 089. 96 18, 000. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 32, 499.96 5, 000. 00 900.00 Liabilities other than those above stated 144,589.92 Total . 144, 589. 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 305 KANSAS. National Bank, Sabetha. GEO. A. GUILD. Cashier. No. 4626, JOHN LANNING, President. Resources. Loans and discounts Overdrafts... U. S. bonds to secure circulation... U. S. bonds to secure deposits | U. S. bonds on hand \ Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,andfixturesi Other real estate and m o r t g s owned; Due from other national banks i Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S ! Liabilities. $134, 727. 05 [ Capital stock paid in. 3,348.17 j 15,000.00 I Surplus fund | Uudivided profits, leas current ; expenses and taxes paid 1,575.00 j National-bank notes outstanding. State-bank notes outstanding 6,000.00 j Due to other national banks ] Due to State banks and bankers.. ] 5, 360. 80 Dividends unpaid 220.72 Individual deposits i United Stales deposits 85.61 Deposits of U. S.disbursing officers, j 5,831.75 I 230. 00 Notes and bills rediscounted ..! Bills payable j 675. 00 Liabilities other than those above j stated 173,054.13 | Total . $60,000.00 3, 000.00 1, 989. 21 13,500 00 10.04 77, 554. 88 17, 000. 00 173,054.13 Total . First National Bank, Saint John. F. S. VEDDER, President. R, W. THOMPSON, Cashier. No. 3467. Total. $77, 967. 64 Capital stock paid in. 1,082.90 12, 500. 00 , Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding.! 1,414.24 State-bank notes outstanding ! 1, 600. 00 3, 645. 25 Due to other national banks 6, 054.48 Due to State banks and bankers. 51.27 4, 785. 85 Dividends unpaid 353.10 Individual deposits 55.00 United States deposits.. 16.60 Deposits of U.S.disbursingofticers. 3, 278. 75 1, 540. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated $50, 000. 00 115,907.58 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S 115, 907. 58 Total. 5,225. 00 2,603. 05 11,247.50 46,832.03 First National Bank, Saint Marys. JOHN A. Moss, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds ! Stocks securities etc . . .'Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total CUR, http://fraser.stlouisfed.org/ PT 2 - -20 Federal Reserve Bank of St. Louis THOMAS J. Moss, Cashier. No. 3374. $88, 323. 35 Capital stock paid in. $50, 000.00 2, 052. 92 12, 500. 00 Surplus fond 9,000.00 Undivided profits, less, current 2, 219. 56 expenses and taxes paid | National-bank notes outstanding. 11, 250. 00 -- — State-bank notes outstanding 1, 221. 67 Due to other national banks 285.40 2, 765. 36 Due to State banks and bankers. 9,455. 57 Dividends unpaid 39.00 115.35 Individual deposits • 50, 533. 56 375. 00 United States deposits 95.50 Deposits of U.S. disbursing officers. 1, 789. 50 3, 500. 00 Notes and bills rediscounted Bills payable 562." 50" Liabilities other than those above stated 123,042.12 Total. 123, 042.12 306 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. National Bank, Saint Marys. No. 4619. SILAS B. WARREN, President. HENRY J". WARREN, Cashier. Resources. Loans and discounts I Overdrafts ! U. S. bonds to secure circulation... j U. S. bonds to secure deposits j U. S. bonds on hand ' Premiums on U. S. bonds Stocks, securities, etc Bank g house, furniture and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house | Bills of other national))anks Fractional currency, nickels, cents Specie .I ! Legal-tender notes TJ. S. certificates of deposit ' Redemption fund with Treas. TJ. S. Due from Treasurer U. S ! Liabilities. $78,185. 02 931. 95 12, 500. 00 « . Capital stock paid in. 108,128.38 i| Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 !: National bank notes outstanding. State-bank notes outstanding "i'soo'oo'j Due to other national banks 351.12 i Due to State banks and bankers. . 5,114. 77 j Dividends unpaid 27. 00 ; ; Individual deposits 1,350.00 ; United States deposits 71. 52 I Deposits of U ,S. disbursing officers. 4,934.50 | 1,600.00 j Notes and bills rediseounted. j Bills payable 562. 50 | ! Liabilities other than those above stated : Total . 4, 000. 00 3,101.32 11, 250. 00 263.66 39, 513.40 108,128. 38 Farmers' National Bank, Salina. H. D. LEE, President. Loans and discounts i Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash i t e m s . . . . . . . Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. THOS. H. DAVIS, Cashier. No. 4742. $283,170.22 Capital stock paid in | $100. 000. 00 3,592.02 25,000.00 Surplus fund >urphu 3, 000. 00 Undivided profits, less current j expenses and taxes paid i 4, 957. 27 2, 500. 00 National-bank notes outstanding. 22,200.00 State-bank notes outstanding 2, 729. 00 1,100. 00 y>ua to other national banks 9, 600. 96 2, 964. 72 Due to State banks and bankers.. 205. 27 19.15 83, 260. 07 Dividends unpaid 1, 980. 03 652. 21 Individual deposits I 291, 949. 45 500.00 United States deposits I 232.83 | DepositsofU.S.disbursingofficers.j 14,987.70 j 8.100. 00 Notes and bills rediseounted. Bills payable 1, 125. 00 Liabilities other than those abov stated 431, 912. 95 Total. 431, 912. 95 National Bank of America, Salina. W. W. WATSON, President Loans and discounts ! Overdrafts j TJ. S. bonds to secure circulation... i U . S . bonds to secure deposits TJ. S. bonds on hand I Premiums on U. S. bonds Stocks, securities, etc . . . Bank'g house, furniture,and fixtures Other real estate andmortg's owned Due from other national banks j Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U". S.j Due from Treasurer U. S Total. No. 4945 FRANK HAGEMAN, Cashier. $157,388.34 I i Capital stock paid in 814. 51 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 480. 00 State-bank notes outstanding 1, 091. 63 Due to other national banks 1, 897. 32 Due to State banks and bankers . 38, 077. 91 Dividends unpaid 1, 069.29 Individual deposits 1, 000. 00 United States deposits 143. 80 Deposits of U.S.disbursing officers 7, 834. 50 6, 000. 00 Notes and bills rediseounted Bills payable 552.50 Liabilities other than those above stated 228, 849.80 Total . $50, 000.00 1,500.00 2, 899.49 11,050.00 2, 016. 85 3, 821. 84 157,561.62 228, 849.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 307 KANSAS. First National Bank, Sedan. J. J . ADAMS, President. No. 3855. Resources. JAMES T. BRADLEY, Cashier. I Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixture? Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $93, 705. 01 I Capital stock paid in 1 1, 925. 29 12, 500. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid I National-bank notes outstanding.' 4, 397. 58 State-bank notes outstanding i 12, 000. 00 Due to other national banks j 1,212.35 Due to State banks and bankers.. j 14,794. 42 Dividends unpaid ; 377. 27 Individual deposits : United States deposits 83. 30 ij Deposits of U.S.disbursing officers. 9, 774. 00 1,625.00 |j Notes and bills rediscounted . ; | Bills payable 562.50 i Liabilities other than those above j stated Total . Total . $50, 000. 00 6, 750. 00 1, 818. 45 11,250.00 * . 83,138. 27 152, 956. 72 First National Bank, Seneca. Gr. W. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2952. $176,324. 05 1, 835. 23 12, 500. 00 1, 629. 80 10, 000. 00 285. 60 27,932. 78 3,087.51 2, 663. 00 73.00 6, 948. 00 1, 500. 00 562. 50 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 9, 679. 85 1, 724. 50 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposi ts. epc 132,687.12 Depositsof U.S.disbursingofficers. j j Notes and bills rediscounted Bills payable Liabilities other than those above stated 40, 000.00 Total . 245,341.47 Total . WEST. E. WILKINSON, Cashier 245, 341. 47 First National Bank, Smith Center. J. R. BURROW, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. U. S. bonds on hand j Premiums on U. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned | Due from other national banks \ Due from State banks and bankers. j Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit ' Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3546. $70, 410.13 1,610.57 12,500.00 2, 884. 85 10,000.00 19,923.76 208. 74 562.50 124, 544.64 J. D. MOSSMAN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 10, 000. 00 2, 873. 26 11, 250. 00 Due to other national banks ' Due to State banks and bankers.. j ) Dividends unpaid Individual deposits j United States deposits j Deposits of U.S.disbursing officers, j Notes and bills rediscounted Bills payable 50, 421. 38 • j Liabilities other than those above stated Total . 124,544. 64 308 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Smith County National Bank, Smith Center. O. W. SHELDON, President No. 3630. R. A. CHANDLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U.S. bonds to secure circulation U. S. bonds to secure deposits .. TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghquse, furniture, andfixturcs Other real estate and mortg's owned Due from other national banks . . . . Due from State banks and bankers. j Due from approved reserve agents | Checks and other cash items j Exchanges for clearing house \ Bills of other national banks j Fractional currency, nickels, cents.) Specie j Legal-tender notes j U. S. certificates of deposit t Redemption fund with Treas. U. S.! Due from Treasurer U. S ' $49,157.25 ! Capital stock paid in . 822.07 j 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 045. 00 National-bank notes outstanding. 1, 274. 70 State-bank notes outstanding 3, 000. 00 18, 360. 02 Due to other national banks Due to State banks and bankers . 1,126.06 8, 445. 05 Dividends unpaid 74.80 2, 923. 25 1,015.00 562. 50 100, 305. 76 Total . Individual deposits United States deposits Depositsof U.S.disbursingothcers. 0, 000. 00 2, 357. 76 10, 890. 00 37, 058. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 100, 305. 76 First National Bank, Sterling. J. H. SMITH, President. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation... I U.S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national loanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. I Due from Treasurer U. S ! Total . P. HIMROD, Cashier. No. 3207. $70,197.92 ' Capital stock paid in . $50, 000.00 1, 353. 32 i 12,500. 00 i Surplus fund 10, 000. 00 j Undivided profits, less current expenses and taxes paid 12, 235. 41 11, 250. 00 1, 000. 00 National-bank notes outstanding. State-bank notes outstanding 9,961.35 9, 440. 25 Due to other national banks 3, 607. 48 Due to State banks and bankers -. 5,671.85 Dividends unpaid 55.74 l| Individual deposits 39,677.10 5.00 Ii United States deposits 154. 95 j Depositsof U.S.disbursingofficers. 5, 992.15 2, 660.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated *... 123,162.51 Total . 123,162, 51 First National Bank, Topeka. W M . SIMMS, President. W M . HENDERSON, Cashier. No. 2646. Loans and discounts I $576, 573. 70 Capital stock paid in | $300, 000.00 Overdrafts ! 2, 220. 35 75, 000.00 U. S. bonds to secure circulation... | 50,000.00 Surplus fund U. S. bonds to secure deposits | Undivided profits, less current 12, 959.17 U. S. bonds on hand i expenses and taxes paid Premiums on U.S. bonds ! 45, 000. 00 National-bank notes outstanding. Stocks, securities, etc | 4, 034. 00 State-bank notes outstanding Bank'g house, furniture, and fixtures! 162. 450. 00 Other real estate and mortg's owned! 28, 725. 52 j Due to other national banks 5, 620. 33 16, 359.15 Due from other national banks I I Due to State banks and bankers .. Due from State banks and bankers Due from approved reserve agents. 39, 281.10 Dividends unpaid Checks and other cash items Exchanges for clearing house 2,888.23 Individual deposits j Bills of other national banks 23,190. 00 United States deposits I. Fractional currency, nickels, cents. 127, 25 Depositsof U.S. disbursingofficers. . Specie I 69, 551. 25 Legal-tender notes j 5, 000. 00 Notes and bills rediscounted. U. S. certificates of deposit i Bills payable Redemption fund with Treas. U. S.; 2,250. 00 Due from Treasurer U. S I Liabilities other than those above stated Total . 966,291.40 . Total . 966,291.40 ftEPORT OF THE COMPTROLLER OF THE CURRENCY. 309 Central National Bank, Topeka. No. 3078. P. I. BONEBRAKE, President. EDWIN KNOWLES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc J Bank'ghouse,furniture,and fixtures! Otberreal estate andmortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U, S Capital stock paid in j $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding ! 10,800. 00 6, 500. 00 92, 382. 34 4,800. 00 21,115.41 Due to other national banks ! 289. 61 Due to State bank's and bankers.. I 18, 383. 41 95, 357. 44 Dividends unpaid ! 2,816. 11 11,317.09 Individual deposits 56, 342. 00 ! United States deposits 51.31 i Deposits of U.S.disbursing officers. 73,150. 00 10, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 842,597.18 Total . Total . 5, 365, 00 29, 800. 00 11,829.17 5,145. 07 529, 657. 94 842, 597.18 Merchants' National Bank, Topeka. CYRUS K. HOLLIDAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S No. 3909. $281, 555. 29 2, 958.41 25, 000. 00 3, 500. 00 FRANK G. WILLARD, Cashier, Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 9, 000. 00 2, 224. 96 22, 500. 00 5, 000. 00 2, 833. 47 Due to other national b a n k s . . . 43. 60 Due to State banks and bankers.. I 822. 00 9, 329. 46 Dividends unpaid 846. 68 1,873.84 Individual deposits 9, 700. 00 United States deposits 95.38 Deposits of U.S.disbursingofficers. 22, 093. 30 2, 785. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated Total. Total - 761.82 426. 00 216,948. 65 17, 700. 00 369, 561. 43 First National Bank, Wamego. J . C. ROGERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghous6,furniture,andnxtures Other real estate and mortg's owned J Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie .< Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S. Total. No. 3434. $196, 227.12 867.46 18, 750. 00 1, 500. 00 5, 797. 80 400.66' 4,440.75 1, 352. 94 23, 418. 08 5.61 ROBT. SCOTT, Cashier. Capital stock paid in. I Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75,000.00 30, 000.00 2, 937. 54 16, 875'. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 238. 00 j United States deposits 10.69 j Deposits of U.S.disbursingofficers. 255. 00 113,431.66 7,147.00 3.500.00 843.75 264, 499, 20 Notes and bills rediscounted. Bills payable 26, 000. 00 Liabilities other than those above j stated Total . 264, 499. 20 f310 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, "Washington. No. 2912. J. S. LONG, President. O. 8. LONG, Cashier. Resources. Liabilities. Total. $50, 087. 23 I Capital stock paid in 649. 66 i 12. 500. 00 j Surplus fund ! Undivided profits, less current j expenses and taxes paid I National-bank notes outstanding. 610.29 | State-bank notes outstanding... -. 30, 000. 00 4, 700. 00 Due to other national banks Due to State banks and bankers.. 5,109. 34 , Dividends unpaid 105. 50 Individual deposits United States deposits 72.90 j Deposits of U.S.disbursing officers. 4, 231. 50 996. 00 ! i Notes and bills rediscounted I! Bills payable 562. 00 Liabilities other than those above stated $50,000. 00. 109,624. 42 Loans and discounts ! Overdrafts j U. S. bonds to vsecure circulation... TJ. S. bonds to secure deposits TL S. bonds on hand Premiums on U. S. bonds ; Stocks, securities, etc j Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bunkers. Due from approved reserve agents.! Checks and other cash items j Exchanges for clearing house \ Bills of other national banks I Fractional currency, nickels, cents. Specie Legal tender notes TJ. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U, S 109,624.42 Total . 11, 250. 00 43, 793.89 4,580. 53 Washington National Bank, "Washington. J . B. SOFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits ' U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie .Legal-tender notes "U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S No. 3167. J. S. ALSPAUGH, Cashier. $77,030.52 | Capital stock paid in $62,100.00 65.47 16,000.00 I Surplus fund j 20, 000. 00 Undivided profits, less current | expenses and taxes paid 2,097.07 i National-bank notes outstanding.! 14,400.00 9. 900. 00 J State-bank notes outstanding j 8, 000. 00 3, 597. 55 I Due to other national banks j i Due to State banks and bankers..| 2G. 944. 90 ! Dividends unpaid... J 219.(58 |! Individual deposits. 52, 565. 48 1, 350. 00 j j United States deposits 199.27 ji Deposits of U.S.disbursingofficers. 6,652. ]0 J 483. 00 1 Notes and bills rediscounted 1 . j Bills payable no .66 Liabilities other than those above stated Total Total 151,162.55 First National Bank, Wellington. ¥ M , H. BERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. .j U. S. bonds to secure deposits ! IT. S. bonds on hand j Premiums on TJ. S. bonds ! Stocks, securities, etc j Bank'g house, furniture, and fixtures j Other real estate and mortg's owned! Due from other national banks ' Due from State banks and bankers, i Due from approved reserve agents. j Checks and other cash items ; Exchanges for clearing house ! Bills of other national banks \ Fractional currency, nickels, cents. Specie \ Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S~ Due from Treasurer U. S. Total. R. L. BEATTIE, Cashier. No. 2879. $63, 633. 25 Capital stock paid in. $50, 000.00 880. 82 12, 500. 00 i Surplus fund „ 32,500.00 | Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 11,250.00 52,459.81 State-bank notes outstanding 8. 389. 36 15, 303. 67 Due to other national banks Due to State banks and bankers. 4, 637. 72 Dividends unpaid 20.00 49.40 !j Individual deposits 55, 515.87 .! j United States deposits 65. 09 1 Deposits of U.S. disbursing officers. 1 1,041.75 1,500.00 I Notes and bills rediscounted 11,737 ! | Bills payable 562.50 I Liabilities other than those above stated 161, 023. 37 Total . 161, 023. 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 311 KANSAS. Sumner National Bank, "Wellington. No. 3865. S. W. SPITLEE, President. A. BRANAMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned] Due from other national banks Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house . Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. Liabilities. $104, 356.47 2, 816. 93 25,000.00 2, 850.00 16. 552.87 17,072.79 11,196. 99 8,967. 04 443.90 322. 25 1, 565. 00 14, 000. 00 1,125. 00 ! Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 20.01 2, 353.94 Individual deposits United states deposits Depositsof U.S.disbursingofficers. 67, 066.29 ISTotes and bills rediscounted Bills payable 14, 329.00 Liabilities other than those above stated Total. 206, 269. 24 206,269.24 Wellington National Bank, Wellington. JOHN T. STEWART, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3091. W. H. BURKS, Cashier. $215,589.13 { Capital.stock paid in. 594.59 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 5, 898.79 State-bank notes outstanding 11, 500. 00 10,146. 68 Due to other national banks Due to State banks and bankers. 248.04 39,971.72 Dividends unpaid 1, 058. 42 Individual deposits 1,715.00 United States deposits 287. 73 Depositsof U.S. disbursingofficers. 10, 935.10 6, 000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total. 317, 007. 70 $50,000. 00 50, 000. 00 9, 668.41 11, 250. 00 196, 089. 29 317, 007.70 First National Bank, Westmoreland. J. F. O. DANIEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. JSTo. 3304. $89, 062.10 1. 667. 89 12, 500. 00 1,500.00 5, 699. 66 9, 000. 00 14,081.00 1,158.17 3,589. 97 2,180. 91 350.00 32. 83 2, 770. 00 2, 500. 00 562. 00 146,654.53 i WARREN ANTHONY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000.00 10, 910. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits ! United States deposits I. Depositsof U.S.disbursingofficers. |. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 54, 594.53 7, 800. 00 13, 350. 00 ~146, 654753 312 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Fourth National Bank, Wichita. L. S. NAFTZGER, President. J. M. MOORE, Cashier. No. 3683. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. boDds to secure deposits U. S. bonds or hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $180. 731. 27 626. 77 25,000.00 600. 00 27, 000. 00 3, 000. 00 9,000. 00 3, 765. 00 247. 95 49,253.11 4.29 1,490.41 9, 620.00 34.78 31, 878. 30 5, 500. 00 1,125.00 Capital stock paid in j $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 083. 71 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 417. 24 Individual deposits United States deposits Deposits of U. S.disbursing officers. 221, 875.93 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 348,87 6.881! Total . 348, 876. 88 Kansas National Bank, Wichita. No. 2782. J . O. DAVIDSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits... U. S. bonds onhand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ARTHUR FAULKNER, Cashier. $167, 467. 64 Capital stock paid in. 1,940.05 50, 000. 00 I Surplus fund Undivided profits, less current expenses and taxes paid 600.00 National-bank notes outstanding. 20,025. 27 State-bank notes outstanding 15,000. 00 16, 229. 49 j Due to other national banks 19, 068. 27 ! Due to State banka and bankers.. 10, 255. 47 28, 834. 87 ; Dividends unpaid 314.67 5, 257. 211 Individual deposits 1 3, 633.00 | United States deposits 503.06 !| Deposits of U.S.disbursing officers. 19,106. 00 7, 000. 00 | Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total . 367,485. 00 $100,000. 00 1, 000. 00 12, 908. 03 45, 000. 00 1,216.37 17, 037. 73 190, 322.87 367, 485.00 First National Bank, Winfield. "W. C. ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds onhand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtu res Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national l)anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3218. $211, 546. 26 1, 592. 80 25,000. 00 300. 00 2, 700. 00 29. 93 37, 500. 00 7. 542. 00 257.15 701. 43 1, 280.27 781. 36 3. 000. 00 180. 74 10,326.00 8,200. 00 1,125.00 312, 062. 94 GEO. W. ROBINSON, Cashier. Capital stock paid in. $100, 000. 00 20, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11,162.94 22, 500. 00 Due to other national banks Due to State banks and bankers.. 5, 717. 64 4, 265.36 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 150. 00 148, 261.00 Notes and bills rediscounted. Bills pay able Liabilities other than those above stated Total. 312, 062. 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 313 K ANS A S • Cowley County National Bank, Winfield. J. N. MCDONALD, President. No. 4556. THOS. J. EATON. Cashier. Resources. Loans and discounts | Overdrafts ! TJ. S. bonds to secu re circulation... I U. S. bonds to secure deposits ' ! U. S. bonds on hand Premiums on U. S. bonds ! Stocks, securities, etc Bank'ghouse^'urniture^ndfixtures Otber real estate and mortg's owned Due from other national banks Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $59, 307.17 10.18 12, 500.00 1, 250.00 17, 500. 00 1,393. 95 15, 955. 01 250. 90 4," 760.'66 117.50 6, 570. 00 1,000. 00 562. 50 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 200.00 1,149. 90 11, 250. 00 Due to other national banks.. Due to State banks and bankers.. Dividends unpaid 1, 662.12 2, 903.13 Individual dej>osits United States deposits Deposits of U.S.disbursingofficers. 51, 012. 06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 120,177.21 Total . 120,177. 21 Winfield National Bank, Winfield. C. PERRY, President. Loans and discounjp Overdrafts ..I*.. J U. S. bonds to secure circulation... U. S. bonds to secure deposits U, S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S . Total . No. 3351. ¥ M . E. OTIS, Cashier. :! Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22,500.00 Due to other national banks Due to State banks and bankers.. ; Dividends unpaid. 197. 02 Individual deposits United States deposits I3epositsof U. S.disbursiiigofficers. 155,460. 37 2, 864.98 11, 250. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 242, 272. 37 314 REPORT OF THE COMPTROLLER OF THE CURRENCY. K E N T UC K Y . Second National Bank, Ashland. No. 3944. . R. D. DAVIS, President. L. N. DAVIS, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures1 Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks | Fractional currency, nickels, cents, j Specie I Legal-tender notes I U. S. certificates of deposit ! [Redemption fund with Treas. U. S. !i Due from Treasurer TJ. S Total. Liabilities. $113,234.78 00.98 12, 500. 00 1, 375. 00 6, 645. 22 10, 408.90 • 821.35 5, 475. 39 2, 594. 04 5, 436. 76 364, 26 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 1 Individual deposits 1 4, 000. 00 | United States deposits 20.17 1 Deposits of U.S.disbursingofficers. 1 10. 651. 80 6,000.00 I Notes and bills rediscounted. Bills payable 562.50 . j | Liabilities other than those above stated 180,151.15 Total . 8, 500. 00 2, 475. 84 11, 250. 00 1,302. 68 106, 622. 63 180,151.15 Ashland National Bank, Ashland. No. 2010. JOHN MEANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premium s on U. S. bonds Stocks, securities, etc Bank' g h ouse,furniture,and fixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house j. Bills of other national jbanks | Fractional currency, nickels, cents. j Specie j Legal-tender notes j IT. S. certificates of deposit j Redemption fund with Treas. U. S-l Due from Treasurer U. S I Total. "W. C. RICHARDSON, Cashier $172,043.91 Capital stock paid in I v 273.06 . 100,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 80, 000. 00 6, 000.00 National-bank notes outstanding. 11,000.00 State bank notes outstanding 11,250.00 Due to other national banks 6, 975. 51 Due to State banks and bankers.. 173.19 51,109.08 Dividends unpaid 159. 25 1 Individual deposits ' 4,'41*6. 66 United States deposits 164.31 22,483.50 DepositsofU.S.disbursingofficers.j. Notes and bills rediscounted Bills payable 4, 500.00 Liabilities other than those above stated ! U. S. bond account. 470,547.81 || Total $105,000.00 21, 000. 00 4, 408. 49 90, 000.00 3, 337.19 251.47 206,550. 66 40, 000. 00 470, 547. 81 Merchants' National Bank, Ashland. S. *W. HAGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S Total. No. 4559. C. C. MARTIN, Cashier. $68, 317. 78 !j Capital stock paid i n . 197. 37 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 375. 00 National-bank notes outstanding. 6, 319. 94 State-bank notes outstanding 3, 030.00 Due to other national banks 510.84 Due to State banks and bankers.. 546.14 3, 844. 93 Dividends unpaid 306. 01 Individual deposits , United States d eposits 30.89 j Deposits of U.S.disbursing officers. 4,316 3, 045. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated $50, 000. 00 104, 902. 40 104, 902.40 Total. 3,250. 00 347.41 11, 250. 00 4, 639. 33 514. 75 34, 900. 91 REPORT OP THE COMPTROLLER OF THE CURRENCY. 315 KENTUCKY. Farmers' National Bank, Augusta. No. 4612. J . M. HARBESON, President. BEN. HARBKSON, Cashier. Resources. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation...' U. S. bonds to secure deposits \ U. S. bonds on hand I Premiums on U. S. bonds Stocks, securities, etc JBank'ghouse,furniture,and fixtures Other real estate and mortg' s owned! Due from other national banks I Due from State banks and bankers. | Due from approved reserve agents. | Checks and other cash items | Exchanges for clearing house ' Bills of other national banks 1 Fractional currency, nickels, cents. I Specie j Legal-tender notes j U. S. certificates of deposit j Kedemption fund wHh Treas. U. S. j Due from Treasurer U. S I Liabilities. $142. 278. 53 3,565.80 16, 250. 00 Capita] stock paid in 1,462. 50 5, 700. 00 1, 000. 00 Due to other national banks , I Due to State banks and bankers.. I, 679. 65 ; 23. 003. 06 i Di vidends unpaid 66.30 Individual deposits 4, 872. 00 i United States deposits 19.03 \ DepositsofU.S.disbursingofficers. 2,783.10 ! 7, 000. 00 Notes and bills rediscounted.. Bills pay able 731.00 Liabilities other than those above stated Total. 210,410.97 Total. I Surplus fund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding.| State-bank notes outstanding ! $65, 000. 00 2,275.00 3, 231.59 14, 620. 00 1. 246. 05 721.-01 123, 317. 32 210.410.97 First National Bank, Carrollton. J o s . A. DONALDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. M. GILTNER, Cashier. No. 2592. $182,826.01 ! Capital stock paid i n . 347.18. 60, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid 7, 000. 00 National-bank notes outstanding-j State-bank notes outstanding !. 5, 760. 00 703. 73 Due to other national banks 750. 53 Due to State banks and b a n k e r s . . 19*886.47 ! Dividends unpaid 154.21 I Individual deposits 1, 605. 00 United States deposits 67. 53 Deposits of U.S.disbursing officers . 3, 204. 75 6, 006. 00 Notes and bills rediscounted. Bills payable 2, 700. 00 950.00 Liabilities other than those above stated 291,961.41 Total. $60, 000. 00 30, 000. 00 9, 534.57 54, 000. 00 128. 73 17.00 138, 281.11 291,961.41 Carrollton National Bank, Carrollton. H. M. WINSLOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fuririture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3074. $94, 542. 50 1,073. 68 25,000. 00 50, 000. 00 1 D. M. BRIDGES, Cashier. Capital stock paid i n . Surplus fur d Undivided profits, less current expenses and taxes paid 9,500.00 I National-banknotes outstanding. ij State-bank notes outstanding 6,000. 00 1, 921.00 Due to other national banks 286. 29 386. 42 Due to State banks and bankers. 10,101. 47 Dividends unpaid. 6.40 Individual deposits 245. 00 United States deposits 8.19 Depositsof U.S.disbursing officers. 6, 025.10 2, 500. 00 Notes and bills rediscounted 1,125. 00 $60, 000. 00 15. 000.00 1,167.94 22, 500. 00 65, 053.11 45, 000. 00 Bills pay able. Liabilities other than those above j stated |. 208,721.05 Total . 208,721. 05 REPORT OF THE COMPTROLLER OF THE CURRENCY. R E NT UC K Y. Big Sandy National Bank, Catlettsburg. THOS. R. BROWN, President. —, Cashier. No. 4200. Resources. Liabilities. 4100, 000.00 Loans and discounts i $137,971. 07 Capital stock paid in Overdrafts 41.15 U. S. bonds to secure circulaiion...! 25. 000 00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits | expenses and taxes paid U. S. bonds on hand { National-bank notes outstanding. Premiums on U. S. bonds !.. 200. 00 State-bank notes outstanding Stocks, securities, etc 11, 397. 06 Bank'ghouse,furniture,andfixtures Due to other national banks Other real estate and niortg's owned 582. 34 Due to State banks and bankers.. Due from other national banks 74.62 Due from State banks and bankers. 9, 622. 49 Dividends unpaid Due from approved reserve agents. 39.00 Checks and other cash items ! Individual deposits Exchanges for clearing house 2, 826. 00 j United States deposits Bills of other national panks 509. 50 | DepositsofU.S.disbursingofficers. Fractional currency, nickels, cents. 8,140. 00 Specie ! Notes and bills rediscounted Legal-tender notes TJ. "S. certificates of deposit Bills payable Redemption fund with Treas. TJ. S. 1,125. 00 Liabilities other than those above Due from Treasurer TJ. S stated 197, 528. 23 Total. 16, 000. 00 3, 231. 86 22,500.00 2,242.81 206. 20 53, 347. 36 197, 528. 23 Total . Catlettsburg National Bank, Catlettsburg. JOHN RUSSELL, J R . , President. Loans and discounts S Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits ' TJ. S. bonds on hand \ Premiums on U. S.bonds j Stocks, securities, etc j Bank'ghouse,furniture,and fixtures j Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U . S . Due '.rom Treasurer U. S Total No. 2740. $206,419.45 208. 32 25, 000. 00 JAMES TRIMBLE, Cashier. Capital stock paid i n . . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 24,000.00 Due to other national banks 5,362.08 Due to State banks and bankers.. 177.04 46,832.80 | Dividends unpaid 60.00 j I Individual deposits 6,666. oo i United States deposits 32.27 Deposits of U.S.disbursingofficers. 11,300.00 4,000.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 1, 427. 70 3, 581.55 5, 562. 09 10, 000. 00 322,079.05 3, 879. 50 22, 500. 00 165, 937.14 753.16 322,079.05 Total . Clay City National Bank, Clay City. FLOYD DAY, President. Loans and discounts j Overdrafts TJ. S. bonds to secure circulation... j TJ. S. bonds to secure deposits ! TJ. S. bonds on hand | Premiums on TJ. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture, and fixtures! Other real estate and mortg's ownedl Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. F. Cox, Cashier. No. 4217. $58, 044.56 I Capital stock paid i n . . . 1,117.04 12, 500. 00 Surplus fund 1,575.00 2, 950. 00 6, 000. 00 3,264. 62 3, 495. 07 239. 63 8,421. 62 238. 39 "730.60 1, 005. 88 2,006. 00 562.50 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. j $50,000. 00 1, 000. 00 898. 61 11, 250. 00 497. 89 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofiicers. 38, 503. 81 Notes and bills rediscounted. Bills payable Liabilites other than those above stated Total . 102,150.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 317 KE rVTUCKY, First National Bank, Covington. FRANK P. HELM, President. No. 718. J". B. JONES, Cashier. Resources. Liabilities. $1,313,330.73 ! Capital stock paid in. Loans and discounts 5,843.54 | Overdrafts 100,000.00 ! Surplus f and U. S. bonds to secure circulation... 100,000.00 | Undivided profits, less current U. S. bonds to secure deposits 1,500.00 ! expenses and taxes paid U. S. bonds on hand 159.50 National-bank notes outstanding. Premiums on U. S. bonds 35,153.74 State-bank notes outstanding Stocks, securities, etc 45, 000. 00 j Bank'ghouse.furniture, and fixtures! Other real estate and mortg's owned Due to other national banks 34,205.59 I Due to State banks and bankers. Due from other national banks 3,238.11 ! Due from State banks and bankers. 57,205.13 ! Dividends unpaid Due from approved reserve agents. 7,070.45 i Checks and other cash items Individual deposits Exchanges for clearing house 820.00 United States deposits Bills of other national banks 41.18 Deposits of U.S.disbursingofficers. Fractional currency, nickeis, cents. 12, 735. 00 Specie 37, 604. 00 Notes and bills rediscounted. Legal-tender notes Bills payable C . S. certificates of deposit T Redemption fund with Treas. X S. L 4,500.00 Liabilities other than those above Due from Treasurer U. S stated Total . 45, 510. 77 90, 000. 0L) 48, 007.99 82, 807. 96 682, 080.25 88, 664.04 1, 335.96 Total . 1, 758, 406, 97 1,758,406. 97 Citizens' National Bank, Covington. HENRY FELTMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks aud other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X . S. certificates of deposit T Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4260. $541,909.37 1,285.46 70, 000. 00 $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 9, 300. 00 National-bank notes outstanding. 500. 00 State-bank notes outstanding.. 12, 681. 38 Due to other national banks 7, 639. 36 |j Due to State banks and bankers.. 4,714.79 |j 49, 692. 94 ll Dividends unpaid 916.90 Individual deposits 350. 00 United States deposits ' 47.04 Deposits of U. S.disbursing officers. j 14, 215. 50 10, 000. 00 | Notes and bills rediscounted. I Bills payable 3,150. 00 Liabilities other than those above stated 726,402. 74 Total . W M . G. ALLEN, Cashier. Capital stock paid in. Total . 20, 000. 00 18, 252.42 63, 000. 00 254. 83 747.40 819.00 423, 329. 09 726, 402. 74 Farmers and Traders' National Bank, Covington. J. H. MERSMAN. President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S, bonds Stocks, securities, etc Bank ! ghouse,furniture,andfixture: Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No, 2722. $882, 832. 71 ! 1,932. 78 ! 50,000.00 i B. BRAMLAGE, Cashier. Capital stock paid in. $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 000. 00 National-bank notes outstanding 5, 410. 00 State-bank notes outstanding 6, 000. 00 Due to other national banks 6, 343. 75 Due to State banks and bankers.. 8.482, 58 33, 053. 29 i Dividends unpaid 3, 233. 86 Individual deposits j 2, 525.00 I United States deposits j 137. 22 I Deposits of U.S.disbursingofficers.! 25,865 25 19, 000. 00 2,250. 00 I Notes and bills rediscounted ! Bills payable j 1 100, 000.00 59,616.12 45, 000. 00 9, 584. 49 37,531.81 484, 427. 02 15,907.00 | Liabilities other than those above j ! stated 1, 052, 066. 44 Total : 1,052,066.44 ( 318 REPORT OF THE COMPTROLLER OF THE CURRENCY.; KENTUCKY. German National Bank Covington. JAMES C. ERNST, President. No. 1847. JNO. G. METCALFE, Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts 1 U. S. bonds to secure circulation. .. U. S. bonds to secure deposi ts U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, turniture,and tixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $598,585.22 | Capital stock paid in. 1,441.69 150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 18,000.00 National-bank notes outstanding. 10,000.43 State-bank notes outstanding 42,000. 00 3,589. 16 Due to other national banks 17,885.88 Due to State banks and bankers.. 5,970.70 30,842.14 ; Dividends unpaid. 1,694.00 1 Individual deposits 1 3, 200. 00 1 United States deposi ts 1 102.43 ; | Deposits of U. S.disbursing officers. 23. 220, 00 6, 500. 00 Notes and bills rediscounted. Bills payable 6, 750.00 Liabilities other than those above stated 919, 781. 65 $350, 000. 00 70, 000. 00 16,150. 69 133, 400. 00 5, 431. 94 2,112. 74 300. 00 342, 386. 28 919, 781. 65 Total . Farmers' National Bank, Cynthiana. S. J . ASHBROOK, President. No. 2560. Loans and discounts j ! * Overdrafts U. S. bonds to secure circulation... | U. S. bonds to secure deposits | U. S. bonds on hand i Premiums on U. S. bonds j Stocks, securities, etc j Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checkd and other cash items Exchanges for clearing house Bills of other national banks | Fractional currency, nickels, cents. I Specie ! Legal-tender notes j U. S. certificates of deposit j Redemption fund with Treas. U. S. j Due from Treasurer U. S 260,767. 02 Total. J. G. MONTGOMERY, Cashier. $183,377. 32 : Capital stock paid in $120, 000. 00 1, 454. 28 30, 000. 00 Surplus fund I 25, 000. 00 Undivided profits, less current 8, 920. 07 : expenses and taxes paid j 3,000.00 | National-bank notes outstanding- j 27, 000. 00 \ State-bank notes outstanding j. 11, 000. 00 j Due to other national banks [ 342. 33 704.46 Due to State banks and bankers .. 1,729.41 2. 991. 54 4,406.65 Dividends unpaid 696. 00 2, 553. 07 Individual deposits 76, 527. 50 2, 600. 00 ! U i t d S t t deposits United States d i ;. 42. 70 Dei)osits of U.S.disbursiugofficers.;. 5, 287. 00 12, 000.00 Notes and bills rediscounted i 1, 350. 00 Bills payable Liabilities other than those above J stated 551. 71 260, 767. 02 Total . National Bank, Cynthiana. A. H. WARD, President. Loans and discounts Overdrafts j TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc j Bank'g house, furniture, and!.fixtures! Otherreal estate and m o r t g s owned; Due from otber national banks Due from State banks and bankers. Due from approved reserve a gents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. I Due from Treasurer U. S ! Total. No. 1900. J. S. WITHERS, Cashier. $401,536. 28 j Capital stock paid in. 7,189.42 40,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 22, 000. 00 State-bank notes outstanding 10, 000. 00 Due to other national banks | 2, 273. Due to State banks and bankers..j 10,972.81 54, 537. 34 Dividends unpaid j $150, 000. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 279,481.02 3,850.00 75.08 9,290. 00 13, 000. 00 1,800. 00 576, 524. 76 80, 000. 00 23, 341.13 36,000. 00 2,412.36 4, 642. 25 648. 00 Notes and bills rediscounted. Bills payable Liabilities other tban those above stated Total. 576,524.76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 319 KENTUCKY. Boyle National Bank, Danville. R. P. JACOBS, President. No. 3317. H. G- SANDIFER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furnitu re, andfixtures Otherreal estate and mortg's owned! . Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges tor clearing house. Bills of other national banks Fractional currency,nickels,cents Specie Legal tender notes U. S certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U. S $384, 657. 80 5, 663.89 75, 000. 00 5, 687. 50 14,000.00 12,900.00 Capital stock paid i n . 100, 000. 00 32,168.11 67, 500.00 I Dae to other national banks j 8, 622.10 I Due to State banks and bankers. .! 8, 014.17 805 28 j. 19,169. 27 | Dividends unpaid 3,737.53 Individual deposits i 132. 005. 76 "i.'ios'oo" j United States deposits ( 1.15 j Deposits of U.S.disbursingofficers. L '.'. 2.517.00 12.501,00 I Notes and bills rediscounted j Bills payable .[[[[]........ 3, 375. 00 Liabilities other than those above 2, 224, 05 stated "b'm'iY 550, 534. 19 Total. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding, 550,534.19 Total . Citizens' National Bank, Danville. M. J FARRIS No. 3381. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... I U. S. bonds to secure deposits J U . S . bonds on hand i Premiums on U. S bonds j Stocks securities, etc Bank'g house ; furniture andfixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checksand other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels cents. Specie * . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer IT. S. Total . $273, 824. 86 2 008. 22 100, 000. 00 4,300.00 24,723. 79 7, 500.00 8, 000. 00 1. 394. 03 3.461.47 59. 226. 99 362. 56 923. 00 12.00 9, 083. 60 2, 630. 00 4, 500. 00 J . A. QUISENBERRY, Cashier. Capital stock paid in $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100,000.00 7,290.86 88,950.00 Due to other national banks Due to State banks and bankers.. 4, 247. 80 7. 270. 62 Dividends unpaid Individual deposits United States deposits | Deposits of CS.disbursingofficers.j Notes and bills rediscounted j Bills payable j Liabilities other than those above j ! stated 501,950.52 Total. 142, 608. 69 1, 582. 55 501,950.52 Farmers' National Bank, Danville. J . C. CALDWELL, President. Loans and discounts i Overdrafts I U. S bonds to secure circulation... I U. S. bonds to secure deposits U. S bonds on hand \ Premiums on U. S bonds ! Stocks, securities, etc Bank g house furniture, and fixtures Other real estate and mortg's owned; Due from other national banks Due troro State banks and bankers. Due from approved reserve agents. Checks and other casL items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legahtendei notes U. S. certificates of deposit Redemption funa with Treas. U. S. Due from Treasurer U S Total. No. 2409. $265. 922. 74 8.046. 35 25, 000.00 G. W. WELSH, Cashier. sI $100,000.00 Surplus fund jj Undivided profits, less current I expenses and taxes paid ; j National-bank notes outstanding.' 3. 330. 00 1 State-bank notes outstanding j. 8, 000. 00 Due to other national banks j 3,980.89 Due to State banks and bankers.. j 3,325.00 16,994.11 ! Dividends unpaid 75, 000. 00 667.06 880. 00 8.76 12,990.00 4,000.00 1,125.00 354, 269. 91 Capital stock paid in j j Individual deposits United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable ! Liabilities other than those above stated • Total | 7, 822. 42 22,500,00 11, 894. 95 1, 219. 67 135,188.24 644.63 354^269^91 320 REPORT OF THE COMPTROLLER OF THE CURRENCY, KENTUCKY. First National Bank, Elizabethtown. No. 3042. J . S. GRIMES, President. HORACE HAYS, Cashier. Resources. Liabilities. Loans and discounts $148, 689.20 Overdrafts 5, 590.64 U. S. bonds to secure circulation... 25, 000.00 U. S. bonds to secure deposits ! U. S. bonds on hand ' Premiums on U. S. bonds j 3, 000.00 Stocks, securities, etc 5, 000 00 Bank'ghouse,furniture.and fixtures! 4, 100.00 Other real estate and mortgs owned! 3. 599.75 Due from other national banks 35, 296. 74 190. 02 Due from State banks and bankers. 548.10 Due from approved reserve agents Checks and other cash items. Exchanges for clearing house !. 800. 00 Bills of other national banks j 64.43 Fractional currency, nickels, cents 000 00 Specie 000. 00 Legal tender notes IT. S. certificates of deposit Redemption fund withTreas. U. S. 1, 125. 00 Due from Treasurer U. S 251,003. 88 Total . Capital stock paid in. $75, 000. 00 Surplus fund Undivided protits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 15,000.00 6, 954. 26 22. 500. 00 7, 382. 75 4,254.11 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 119,912.76 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 251,003. 88 State National Bank, Frankfort. No. 4090. FAYETTE HEWITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XL S. bonds to secure deposits U. S. bonds on hand j Premiums on TJ. S. bonds Stocks, securities, etc Bankghouse, furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U . S . certificates of deposit Redemption fund Avith Treas. U. S.j Due from Treasurer U. S Total. $397, 449, 88 17, 208.95 37, 500. 00 4, 200.00 11,093.39 3, 035. 86 CHAS. E. HOGE, Cashier. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid...'. National bank notes outstanding. State-bank notes outstanding $150,000.00 30, 000.00 13, 763.56 33,750.00 Due to other national banks 8. 783. 30 3,003.95 124, 383. 67 1,567.05 1, 580. 00 71.75 21.573.40 4, 500.00 1, 687. 50 718.14 Due to State banks and bankers.. 349. 81 Dividends unpaid j 24. 00 Individual deposits j United States deposits j DepositsofU.S.disbursingofficers.j Notes and bills rediscounted Bills payable Liabilities other than those above stated 408, 809. 57 Total. 637.638.70 223. 62 637, 638. 70 First National Bank, Fulton. W. W. MORRIS, President. No. 4563. R. M. CHOWNING, Cashier. Loans and discounts $139,679.18 Capital stock paid in. Overdrafts 642.65 U. S. bonds to secure circulation... 25, 000. 00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits U. S. bonds on hand expenses* and taxes paid. Premiums on U. S. bonds ' 3,250.00 National-bank notes outstanding. Stocks, securities, etc j 160.84 State-bank notes outstanding Bank'g house.furnitureand fixtures 6,900.00 Other real estate and mortg's owned! 4, 500. 00 Due to other national banks Due from other national banks | 8,181.50 Due to State banks and bankers . Due from State banks and bankers. j 597. 24 Due from approved reserve agents.! 56, 384. 03 Dividends unpaid Checks and other cash items |! 178.77 I Individual deposits Exchanges for clearing house Bills of other national banks j 4,000. 00 I United States deposits Fractional currency, nickels, cents.) 162. 21 j Deposits of U.S.diabursingofficers. j Specie ! 8, 316. 20 Legal -tender notes j 8, 521. 00 I Notes and bills rediscounted. ! I Bills payable U . S . certificates of deposit Redemption fund with Treas. U.S.! 1,125. 00 Due from Treasurer U. S • Liabilities other than those above Total . 267,598.62 stated Total. $100, 000. 00 20, 000. 00 4, 063. 21 22 500.00 121,035. 267, 598. 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 321 KENTUCKY. First National Bank, Georgetown. H. P. MONTGOMERY, President. No. 2927. Resources. Loans and discounts Overdrafts IT. S« bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand j Premiums onD. S. bonds j Stocks, securities, etc i Bank gliouse,furn]ture,andnxtures| Other real estateand mortg'sownedj Due from other national banks j Due from State banks and bankers.) Due from approved reserve agents I Checks and other cash i terns j Exchanges for clearing house I. Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes j U . S . certificates of deposit ! Redemption fund with Treas. D. S.j Due from Treasurer U S Total . W. G. ABBETT, Cashier. | Liabilities. $144,045,86 Capital stock paid in 3.913.64 32, 500.00 i Surplus fund i Undivided profits, less current ' expenses and taxes paid I National-bank notes outstanding 100.00 j State-bank notes outstanding 1, 000. 00 | Due to other national banks ; 3, 044. 28 I Due to State banks and bankers. -1 6, 910. 96 6, 428. 66 Dividends unpaid \ $50, 000. 00 Individual deposits 4, 919. 00 United States deposits 52.14 Deposits of U. S.disb ursing officers.! 1 565.00 6 000. 00 | Notes and bills rediscounted. Bills payable : 1 462.50 97, 209. 87 25, 000. 00 4, 696.56 29, 250. 00 1, 236.96 4,548.65 Liabilities other than those above stated -211,942.04 Total . 211,942. 04 First National Bank, Glasgow. G. C. YOUNG, President, No. 4819. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... | U. S bonds to secure deposits j U.S. bonds on hand Premiums on U. S bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and inortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items i Exchanges for clearing house | Bills of other national banks ! Fractional currency, nickels, cents, j Specie I Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50,000.00 10, 000. 00 1,486. 61 38, 250.00 121,796.8 stated 221,533.41 Total . W. B. SMITH, Cashier. $113,607.90 Capital stock paid in |j 253 98 i 42, 500. 00 Surplus fund ] Undivided profits, less current j expenses and taxes paid J 5, 950. 00 National-bank notes outstanding.| State-bank notes outstanding.. 6 100.00 Due to other national banks 6 311 63 Due to State banks and bankers. 4 274 30 26 760 82 Dividends unpaid 95 20 I Individual deposits i United States deposits I. 44.68 Deposits of U.S.disbursing officers.!. 8,832. 40 4, 890. 00 Notes and bills rediscounted. Billspayabie 1,912.50 Liabilities other than those above Total . 221,533.41 First National Bank, Greenville. THOS. H. MARTIN, President. No. 4356. Total . CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis EDGAR D. MARTIN, Cashier. 21 $85,960.42_ _ Capital stock paid in. 245.26 12, 500,00 Surplusfund Undivided profits, less current expenses and taxes paid 1, 500.00 National-bank notes outstanding. 2,100. 00 State-bank notes outstanding 5,000. 00 Due to other national banks ! 9,419.18 Due to State banks and bankers.. J 3,123. 83 38, 336.54 Dividends unpaid 12.26 Individual deposits 400.00 I United States deposits 121.20 ! Deposits of U.S disbursing officers, j 12,475.30 i 5,235.00 i Notes and bills rediscounted i Bills payable j 562*50*; Liabilities other than those above j stated $50,000.00 176,991.49 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels cents. Specie I Legal-tender notes j U. S. certificates of deposit j Redemption fund with Treas. U. S.| Due from Treasurer U. S I 176,991,49 Total . 6, 500.00 3,196. 68 11,250.00 4,867.69 1,471.25 99, 705.87 322 REPORT OF THE CONPTROLLER OF THE CURRENCY. First National Bank, Harrodsburg. No. 1807. A. B. BONTA, President. H. C. BOHON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. TJ. S. bonds to secure deposits | TJ. S. bonds on hand i Premiums on U. S. bonds \ Stocks, securities, etc j Bank'gbouse.furniture,and fixtures! Otherreal estate a» c1 mortgsownedj Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer IT. S I $264,615. 17 1,834.83 25, 000. 00 $100, 000. 00 Capital stock paid in 20, 000. 00 Due to other national banks Due to State banks and bankers.. I Dividends unpaid 9, 545.18 5, 457.11 Individual deposits j 7,594.00 j U nited States deposits j DepositsofU.S.disbursingofficers. . "12*581.37* Notes and bills rediscouuted... Bills payable 1,125.00 138,432.38 340,407.07 Total. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 340,407.07 772.32 6,000. 00 "*2*239,28 1.392.89 17, 252. 21 Liabilities other than those above stated Total . 24, 472. 40 22, 500. 00 20, 000. 00 Mercer National Bank, Harrodsburg. D. L. MOORE, No. 2531. President. Loans and discounts ! Overdrafts- -' I XT. S, bonds to secure circulation... I XL S. bonds to secure deposits | XT. S. bonds on hand Premiums on U. S. bonds i ; Stocks, securities, etc j Bank'g house,furniture,and fixturesi Other real estate and mortg's owned Due from other national banks Due from State Danks and bankers-! Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house ! Bills of other national banks | Fractional currency, nickels, cents.j Specie j Legal-tender notes j U. S. certificates of deposit ! Redemption fund with Treas. XT. S.i Due from Treasurer IT. S | Total . JNO. L. CASSELL, Cashier. Capital stock paid i n . 4, 500. 00 28, 548. 03 9. 500. 00 9.641.49 1,021.23 1,188.38 2, 454. 57 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits 1, 400. 00 I II nited States deposits 23.69 Deposits of XT.S.diabursing officers 9, 892. 00 2, 000. 00 i Notes and bills redisoounted Bills payable 595. 00 Liabilities other than those above 278, 555.42 stated Total . 40, 000. 00 3,721.95 31,500.00 5.513.93 3, 085. 68 70,509.11 23, 224. 75 1, 000. 00 278,555.42 Henderson National Bank, Henderson. THOS. SOAPER, President. No. 1615. S. K. SNEED, Cashier. Loans and discounts $265,429.22 Capital stock paid in. | Overdrafts 1.369.85 XT. S. bonds to secure circulation... j 50,000.00 i Surplus fund XT. S. bonds to secure deposits | Undivided profits, less current XT. S. bonds on hand ! j expenses and taxes paid Premiums on U. S. bonds ! National-bank notes outstanding. Stocks, securities, etc ! I State-bank notes outstanding Bank ghouse,furniture,and fixtures 9,770.15 Other real estate and mortg's owned! j Due to other national banks Due from other national banks i 1, 361. 69 Due from State banks and bankers. i 3,297.86 I Due to State banks and bankers.. Duo from approved reserve agents. | 37,929. 77 Checks and other cash items j 526.55 | Dividends unpaid Exchanges for clearing house • Bills of other national banks | 1,544.00 I Individual deposits Fractional currency, nickels, cents. I 188.40 I United States deposits | Specie ! 18 503.00 Legal-tender notes I 1,283.00 i Depositsof U.S.disbursingofficers. j j Notes and bills rediscounted XT. S. certificates of deposit I Redemption fund with Treas. XT. S. j 2, 250. 00 iI Bills payable i Due from Treasurer U, S ' '• 1 Liabilities other than those above ! I stated | Total. 393,453.49 i Total. $200,000.00 31, 000.00 8, 958.32 45,000. 00 207.09 3, 330.08 104,958.00 393,453.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 323 Farmers and Merchants' National Bank, Hickman. H. BUCHANAN, President. No. 4465. R. L. ALEXANDER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes D. S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U. S $31,142. 22 49.25 12 500. 00 Capital stock paid in 3,000.00 ! 20, 000. 00 Due to other national banks 1.080. 19 Due to State banks and bankers. 13, 865. 72 Dividends unpaid 133. 57 Individual deposits I 700.00 || United States deposits ;| Deposits of U.S.disbursing officers.!. 3, 450. 39 800. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 87,283.84 | Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total.. 2, 600. 00 1, 640. 34 11,250. 00 21,793.50 87, 283. 84 First National Bank, Hopkinsville. GEO. C. LONG, President. No. 3856. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. THOS. TV. LONG, Cashier. $72,605.61 i Capital stock paid in 987.76 16,000.00 ; Surplus fund Undivided profits, less current expenses and taxes paid 1, 920. 00 National-bank notes outstanding. 37, 994. 08 State-bank notes outstanding..... 2, 000. 00 2, 700. 00 Due to other national banks 18, 392. 70 Due to State banks and bankers . 10, 635.11 48, 998. 85 ! Dividends unpaid 1, 342. 04 Individual deposits 4,825. 00 United States deposits 216.46 Depositsof U.S.disbursingofficers. 11,235.50 10, 000. 00 Notes and bills rediscounted. Bills payable 720. 00 2.50 Liabilities other than those above stated Total. 240, 573. 61 777.00 156,140.55 240, 573. 61 National Bank, Hustonville. EDW'D ALCORN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national 1 anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S * Total No. 2917. J. TV. HOCKER, Cashier. $106,387.22 ::! Capital stock paid in. 2,208.84 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,000.00 550. 59 5, 464. 96 17,563. 01 182. 83 5, 660. 00 9.11 10, 760. 00 1, 000. 00 562.50 $50,000. 00 22, 000.00 1,901.80 10, 940. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid , 5. 976. 32 2, 471. 76 Individual deposits United States deposits Deposits of U. S.disbursing officers. 70, 559.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 163,849.06 Total. 163,849.06 324 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Citizens' National Bank, Lancaster. J. M. HIGGINBOTHAM, President. No. 2888. B. F. HUDSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits. — U. S. bonds on hand ; Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing houso Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $148,123. 73 772. 46 25, 000. 00 Capital stock paid in . stated 12, 500.00 3,138. 77 22,500. 00 1, 539. 70 1, 210. 63 67, 068. 40 664.14 Total . . . 208, 621. 64 Total . $100,000, 00 Surplus fund Undivided profits, less current expenses and taxes paid 2.500.00 ! National bank notes outstanding1, 500. 00 State- bank notes outstanding 6, 000. 00 Due to other national banks 2 720. 25 Due to State banks and bankers, . 15.00 11,546.89 Dividends unpaid 271. 35 Individual deposits | 125. 00 United States deposits 23.46 Deposits of U.S. disbursing officers- . 7, 945. 50 953. 00 Notes and bills rediscounted. Bills payable 1,125.00 jl Liabilities other than those above 208, 621. 64 National Bank, Lancaster. W. R. ROBINSON, President. WM. H. KINNAIRD, Cashier. No. 1493. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... | U. S- bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other real estate and niortg's owned Due from other national banks ; Due from State banks and bankers. Due ffom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks < Fractional currency, nickels, cents.! Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S $370,933.92 l Capital stock paid in j 1,177.54 1 50,000.00 ; Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3,100. 00 State-bank notes outstanding. 11,000.00 1, 398. 31 Due to other national banks 2, 409. 83 Due to State banks and bankers.. 1, 717. 60 17,149. 02 Dividends unpaid 24. 00 Individual deposits 1, 065. 00 United States deposits 86.16 Deposits of U.S.disbursing officers. 11,574.00 1, 000.00 Notes and bills rediscounted. Bills payable 2, 250. 00 ; Liabilities other than those above stated 474, 885. 38 Total. Total. $250,000.00 65,000.00 4, 500. 39 45,000.00 10,373.42 1, 286. 09 98, 725.48 474, 885. 38 Citizens' National Bank, Lebanon. R. B. LANCASTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3988. $183,025.10 7,102. 27 25,000. 00 J . A . K E L L Y , Cashier. Capital stock paid in | $100,000. 00 Surplus fund | Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.! State-bank notes outstanding 22,000. 00 9,886. 98 22, 500. 00 Due to other national banks Due to State banks and bankers ..'•• 4, 005. 51 10, 886.12 7, 000. 00 1,540.85 6, 497. 98 7,304.69 85.14 "165" 66 41.04 7,816.10 6, 771.00 1,125.00 253,414.17 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. ; 84,135. 56 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 253,414.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 325 KENTUCKY. Farmers' National Bank, Lebanon. No. 4271. It. A. BURTON, President. S. B. BOTTOM, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures; Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. I Due from Treasurer U. S Total. Liabilities. $94,550. 55 |i Capital stock paid in 3,660.14 ii 12, 500. 00 ! I Surplus fund !l Undivided profits, less current • !' expenses and taxes paid I! National-bank notes outstanding. I ii State-banknotes outstanding ! 1,800.00 3, 000. 00 Due to other national banks 5, 882. 90 Due to State banks and bankers.. 445. 49 4, 407. 79 Dividends unpaid . 2, 397.13 I Individual deposits 10.00 United Stated deposits 9.90 DepositsofU.S.disbursingofficers 3, 257. 00 2, 954. 00 Notes and bills rediscounted Bills payable 562. 50 .jj Liabilities other than those above stated 135,437.40 jj Total. $50, 000. 00 3, 200. 00 758. 23 11,250.00 5, 098.16 1, 098. 22 63, 236.85 795.94 135, 437. 40 Marion National Bank, Lebanon. No. 2150. SAM SPALDING, President. ! Loans and discounts Overdrafts U.S. bonds to secure circulation... 1 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S.bonds Stocks, securities, etc Bank'ghou8e,furniture,and fixtures Other real estate and mortg1 s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bill, of other nationalTbanks "Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 485,929. 34 Total. J . M. KNOTT, Cashier. ! $395,567.59 Capital stock paid in $150, 000.00 3,856.76 I | 80, 000. 00 40,000.00 j Surplus fund Undivided profits, less current expenses and taxes paid 9,968.18 National-bank notes outstanding, j 36, 000. 00 1,100. 00 State-bank notes outstanding 6, 000. 00 Due to other national banks ! 9,096.49 1, 526. 91 14, 525.44 2, 914. 62 Due to State banks and bankers.. j 16,048. 57 1,311.33 Dividends unpaid 174,717.23 505. 00 Individual deposits 130.56 United States deposits 4, 946. 00 11,302.00 Deposits of bills disbursing officers. Notes and U.S. rediscounted .| 11,622.00 Bills payable \ """72O.'6o' Liabilities other than those above ! stated Total. 485,929.34 First National Bank, Lexington. AVERY S. WINSTON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. U. S. bonds to secure deposits — U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixtures Otherrealestate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 760. JOHN M. BELL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 3,000.00 National-bank notes outstanding. 81,583.90 I State bank notes outstanding 23,000.00 j 11,033.54 I Due to other national banks 14,576.63 | Due to State banks and bankers.. 3,272.44 i 54,092.54 i Dividends unpaid 1, 649. 07 i Individual deposits 397. 00 United States deposits 568. 78 DepositsofU.S.disbursingoflicers20, 310. 00 4,000. 00 Notes and bills rediscounted. Bills payable ] $400, 000. 00 80, 000.00 16.933. 72 45, 000. 00 6, 652. 51 29, 285. 36 1,056. 00 173, 244. 71 2, 250.00 Liabilities other than those above stated 752,172. 30 Total. 752,172. 30 326 REPORT OF THE COMPTROLLER OF THE CURRENCY. K E 1VTUCK Y . Second National Bank, Lexington. D. H. JAMES, President. No. 2901. J. P. SHAW, Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts ! U. S.bonds to secure circulation...\ U. S bonds to secure deposits I U. S bonds on band I Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnitnre,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of otber nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. I Due from Treasurer U. S ! Total. $209, 981.10 j j Capital stock paid in | 9, 033. 02 50, 000.00 !! Surplus fund Undivided profits, Jess current expenses and taxes paid j 0,000. 00 National-bank notes outstanding J! 16,473. 30 State-bank notes outstanding 34,883. 84 8,259.13 Due to other national banks j 7,486.50 Due to State banks and bankers.. 19, 683. 89 6, 663.10 Dividends unpaid 6, 277. 95 Individual deposits 4, 605. 00 1 United States deposits 1 ! 313. 29 I Deposits of U.S.disbursing officers. | I 16, 426. 60 17, 500. 00 |! Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated Total . 470,437.38 ! $150, 000. 00 24, 000.00 5 183.45 44,200.00 22, 826. 94 5, 369. 93 224, 857. 06 476,437. 38 Third National Bank, Lexington. No. 3C52. JOHN W. BERKLEY, President. Loans and discounts ! Overdrafts i U. S. bonds to secure circulation... I TJ. S. bonds to secure deposits I U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks | Fractional currency, nickels, cents.| Specie I Legal-tender notes \ U. S. certificates of deposit ! Redemption fund with Treas. TJ. S. j Due from Treasurer U. S Total. $184,349.28 4,810. 30 25,000. 00 2,000.00 14,565.00 1,000.00 :l 2,311.85 3,648.63 7,329.75 8,669.53 i 1, 648. 00 ! ,200.00 I " i 92 40 ! 4 ,455 00 ! 6 ,500.00 | J. H. SHROPSHIRE, Cashier. Capital stock paid in I Surplus fund ! Undivided profits, less current expenses and taxes paid i National-banknotes outstanding. State-bank notes outstanding $100,000. C O 9, 500. 80 13,400. 85 22,500.00 Due to other national banks I Due to State banks and bankers. J i Dividends unpaid | 4, 878. 34 1, 026. 53 Individual deposits ! United States deposits Deposits of U.S.disbursing officers.! 117,398.22 Notes and bills rediscounted ' Bills payable J I Liabilities other than those above [ I ! stated 268 ,704 74 I Total. i ,"125 66" | 268, 704. 74 Fayette National Bank, Lexington. S. BASSETT, President. No. 1720. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc } Bank'g house, furniture, and fixtures5 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.". Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.j ! Due from Treasurer U. S Total I R. S. BULLOCK, Cashier. $752,916.61 { Capital stock paid i n . 14,335.86 ! 255, 000. 00 I Surplus fund rTTTTTf Undivided profits, less current expenses and taxes paid National-bank notes outstanding 56,816.08 j State-bank notes outstandijig $"3oo7ooo."ob 200, 000.00 45, 745. 39 226, 260. 00 17, 299. 35 I 18, 717. 79 19. 284. 27 36,400. 97 4,401.26 1, 550. 00 83.45 30,115. 05 13, 500. 00 11,475.00 | 1,231,895.69 Due to other national banks Due to State banks and bankers.. Dividends unpaid 18, 253.77 14, 054.44 Individual deposits United States deposits Deposits of U.S.disbursing officers 426, 574. 09 1, 008. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 231, 895. 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 327 K E I¥ T U C K Y . Lexington City National Bank, Lexington. R. P. STOLL, President. No. 906. J . M. GRAVES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc B a n k g house, furniture,and fixtures Other real estate and mortg's owned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of othernational banks Fractional currency,nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. $307, 075. 70 6, 751.12 50,000.00 100,000. 00 Capital stock paid in 3, 564. 51 Individual deposits 2, 220. 00 United States deposits 46.68 Deposits of U .S.disbursing officers 25, 096. 50 15, 964. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 653,654.53 Total. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxe- paid 5, 000. 00 National-bank notes outstanding 37,463.77 I, State-bank notes outstanding 29,389.50 I 10,000.00 j Due to other national banks 6,779.97 j Due to State banks and bankers 8t159.47 43.893.31 ! Dividends unpaid Total. 40, 000.00 29, 960.46 45,000. 00 17,691.58 59, 670.98 969. 00 170,362. 51 89, 928. 72 71.28 653, 654.53 National Exchange Bank, Lexington. No. 2393. D. BENNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes "U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. J . E. MCFARLAND, Cashier. $241,184. 77 ! i Capital stock paid in 5, 792. 49 25, 000. 00 ,| Surplusfund j j! Undivided profits, less current j 4, 500.00 !| expenses and taxes paid j 590. 63 ij National-bank notes outstanding.| 1, 872. 50 State-bank notes outstanding.. 2, 250.00 ' | Due to other national banks 11,754.43 4, 200. 20 |j Due to State banks and bankers.. 23,777.32 li 58.40 j; Dividends unpaid Individual deposits 1,715. 00 United States deposits 53.10 Deposits of U.S.disbursing officers. 20, 056. 25 8,500.00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated Total. 352, 430. 09 j $100,000.00 20,000.00 3, 036.28 22,500.00 14,178.58 3,166.58 1,695.00 187, 853. 65 352,430.09 Phoenix National Bank, Lexington. D. F. FRAZEE, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... I U. S. bonds to secure deposits I V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3942. J. W. RODES, Cashier. $385,067.32 jj Capital stock paid in j 11,897.63 37, 500. 00 Surplusfund Undivided profits, less current expenses and taxes paid 3,000. 00 National-bank notes outstanding. 4. 575.27 State-bank notes outstanding 4,500.00 Due to other national banks 3,194.42 Due to State banks and bankers.. 7,237. 75 37, 201. 83 Dividends unpaid 3,819.14 Individual deposits 15, 750. 00 United States deposits 29.81 Deposits of U.S.disbursingofficers. $150,000.00 50, 000. 00 19,397. 32 33, 750. 00 13, 886. 72 9, 846.26 476. 00 266, 638. 37 5,484. 00 23, 050. 00 Notes and bills rediscounted... Bills payable 1,687. 50 Liabilities other than those above stated , 543, 994. 67 Total. 543,994. 67 328 BEPOfcT OF THE COMPTROLLER OF THE K E NT U C K Y . First National Bank, London. No. 3943. TINCENT BOREING, President. R.M.JACKSON, Cashier. He sources. Liabilities. Loans and. discounts j Overdrafts j TJ. S. bonds to secure circulation... i U. S. bonds to secure deposits ! TJ S. bonds on hand j Premiums on XL S. bonds j Stocks, securities, etc I Bank ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $94, 958. 65 1,963.05 12, 500.00 1,000.00 1,142. 60 1,397.11 3,156.13 5, 552.12 15.00 198.10 1,531.00 8, 469. 00 562. 50 Capital stock paid in. 14, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 639. 91 Individual deposits United States deposits Deposits of U.S.disbursing officers. 54, 998. 68 1,406.67 10, 900. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above | stated 132,445.26 Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 132,445. 26 First National Bank, Louisville. G. W. LEWMAN, President. No. 109. THOS. R. SINTON, Cashier. Loans and discounts ! $1. 365,991.83 i Capital stock paid in ) 5.723.57 Overdrafts I 400; 000.00 Surplus fund U. S. bonds to secure circulation... j Undivided profits, less current TJ. S. bonds to secure deposits '< expenses and taxes paid U. S. bonds on hand ' National-bank notes outstanding. Premiums on U. S. bonds > Stocks, securities, etc { 76,351.64 State-bank notes outstanding Bank'ghouse,furniture,and fixtures Due to other national banks Other real estate and mortg's owned 36, 995. 64 Due to State banks and bankers.. Due from other national banks j 28,769.37 Due from State banks and bankers. I 71,765.55 Dividends unpaid Due from approved reserve agents. { Checks and other cash items j 625.00 Individual deposits Exchanges for clearing house 600. 00 Certified checks Bills of other national banks 110.59 United States deposits Fractional currency, nickels, cents. 52,600. 00 I Deposits of U.S.disbursingofficers. Specie 55, 000. 00 | Notes and bills rediscounted Legal-tender notes U, S. certificates of dep osit Bills payable Redemption fund with Treaa. U. S. 37, 910. 00 Liabilities other than those above Due from Treasurer U. S | stated Total 2,112,443.19 Total . $500, 000.00 300, 000. 00 56,053.67 358, 200.00 317, 888. 98 136,191.19 1, 386.00 442,523. 35 200.00 2,112,443.19 Third National Bank, Louisville. Loans and discounts $913, 977.14 ! Overdrafts 7,201.88 U. S. bonds to secure circulation... j 50, 000.00 TJ. S. bonds to secure deposits ; TJ. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc I 51, 746.15 Bank'ghouse.furniture,and fixtures! 3,400. 00 Other real estate and mortg's owned Due from other national banks I 66,849.26 Due from State bank s a n d bankers. 23,596.69 Due from approved reserve agents. 45, 665.96 Checks and other cash items 2, 310. 88 Exchanges for clearing house 8,560.33 .Bills of other national banks I 19,823.00 Fractional currency, nickels, cents. j 522.48 Specie I 60,714.00 Legal-tender notes ! 50, 000.00 U. S. certificates of deposit • Redemption fund with Treas. U. S. j 2,250.00 Due from Treasurer U. S '• Total E. C. BOHNE, Cashier. No. 2171. H. "W." REESE, President ! 1.306,617.77 Capital stock paid in | $400,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 56,820.43 115,213.54 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 579, 481. 66 10, 216.14 43, 980.00 906.00 Notes and bills rediscountedBills payable Liabilities other than those above stated Total I 1,306,617.77 REPORT OF THE COMPTROLLER OF THE CURRENCY 329 KENTUCKY. American National Bank, Louisville. J. H. LINDENBERGER, President. No. 4956. CHAS. WARREN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts X S. bonds to secure circulation... L U. S. bonds to secure deposits ! U. S. bonds on hand j Premiums on U. S. bonds i Stocks, securities, etc | Bank 'g ho use, furniture, andfixturesj Other real estate and mortg's owned: Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Eedemption fund with Treas. U. S.j Due from Treasurer U, S Total . , 757, 518.46 1j Capital stock paid in 1,575.14 I 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 6, 000.00 State-bank notes outstanding 115,000.00 Due to other national banks 412,864.91 106.711.38 171,940.65 4,811.54 3,919. 58 12, 352.00 477.73 166, 756. 75 230, 000. 00 2, 250. 00 2, 000. 00 I $800, 000.00 27,500.00 i j. 17,998.76 45, 000. 00 j Due to State banks and bankers.. I Dividends unpaid ' 682, 658.67 710,196. 89 Individual deposits i Certified checks I United States deposits J Depositsof U.S.disbursingofficers.' 757, 282.04 3,200.53 Notes and bills rediscounted Bills payable Liabilities other than those above stated ' ' | ! Total 3,044,178.14 341.25 3, 044,178.14 Citizens' National Bank, Louisville. "W. R. RAY, President. No. 2164. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.' S. bonds on hand Premiums on U. .S. bonds Stocks, securities, etc Baiik'ghouse,furniture,andfixtuies Other real estate and mortg's owned| Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.J Due from Treasurer U. S ' Total ! OSCAR FENLEY, Cashier. ,397,871.85 Capital stock paid in ! $500, 000.00 5,190. 51 100, 000.00 150,000.00 I Surplus fund 250,000.00 Undivided profits, less current expenses and taxes paid 67,949.49 135,000.00 48, 500.00 National bank notes outstanding. 79,283.62 State-bank notes outstanding 34, 000.00 I 420,740.79 30.00 Due to other national banks 82, 378.86 Due to State banks and bankers.. | 302,905.39 13, 591.18 607,392.26 Dividends unpaid j 90.00 2,116. 80 1,223,103. 58 13,331.52 || Individual deposits 15,945.00 ;l Certified checks 1,600.00 1,580.65 j United States deposits | 173,429.24 160,602.00 ! Depositsof U.S.disbursingofficers-1 51,570. 76 107,825.00 || Notes and bills rediscounted ! Bills payable i 6,750.00 j Liabilities other than those above j stated 2,976,389.25 Total I 2,976.389.25 German National Bank, Louisville. J. M. MCKNIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bond8 on hand •.. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S , Total. No. 2062. $451,190.92 8,500,00 200,000. 00 1,546. 87 96, 227.50 7,167. 55 23, 908.04 2, 972. 06 4,136.60 30, 920. 60 395.00 21, 541. 04 1, 552. 00 330. 57 47, 592. 50 66,000. 00 8, 770.00 R. E. REUTLINGER, Cashier. Capital stock paid in I $251,500. 00 Surplusfund i Undivided profits, less current I expenses and taxes paid National-bank notes outstanding, i State-bank notes outstanding... .. i 28,400.00 5,172. §2 176,400.00 Due to other national banks j Due to State banks and bankers.. j Dividends unpaid ! 50,211.5t) 9, 352.52 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 446, 553.31 1,561.-00 Notes and bills rediscounted. Bills payable Liabilities other than those above ! stated Total i 3,600.00 972,751.25 330 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY* Louisville City National Bank, Louisville. No. 78. JAMES A. LEECH, President. W. S. PARKER, Cashier. Resources. Loans and discounts I Overdrafts ! tJ. S. bonds to secure circulation... U . S . bonds to secure deposit s TJ. S. bonds on hand !. Premiums on U. S. bonds !. Stocks, securities, etc | Bank'ghouse,furniture,and fixtures' Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. ! Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house. Bills of other national banks Fractional currency, nickels, cents.! Specie I Legal-tender notes i TJ. S. certificates of deposit I Redemption fund with Treas. U. S. j Due from Treasurer TJ. S \ Total . Liabilities. $735, 428. 27 I Capital stock paid in | 1,061.31 50, 000, 00 ! Surplus fund i Undivided profits, less current j expenses and taxes paid I National-bank notes outstanding. 32, 292. 00 ! State bank notes outstanding . 35, 000. 00 1,000.00 Due to other national banks 9, 338. 76 Due to State banks and bankers.. 15,370. 61 ! 42,173. 01 i Dividends unpaid 14, 651. 82 I Individual deposits 10,747. 00 j United States deposits 197.03 i Deposits of U.S.disbursingofficers 63, 664. 00 30, 000.00 Notes and bills rediscounted. Bills payable 2,250 00 Liabilities other than those above | stated 1, 043,173.81 $400, 000.00 80, 000. 00 11, 371. 45 45,000. 00 79, 081. 79 100,730.34 326, 990. 23 Total . 1,043,173.81 Union National Bank, Louisville. L. O. Cox, Cashier. GEO. W. SWEARING EN, President. No. 4145. Loans and discounts I $2, 001, 377. Capital stock paid m. $750, 000. 00 Overdrafts I 270. U. S. bonds to secure circulation... 75,000. Surplus fund 85, 000.00 U.S. bonds to secure deposits 250,000. Undivided profits, less current U. S. bonds on hand expenses and taxes paid 53,611.98 33,937. Premiums on U.S. bonds 67, 500. 00 National-bank notes outstanding. Stocks, securities, etc 67, 500. J State-bank notes outstanding Bank'ghouse.furniture and fixtures 1,000. Other real estate and mortg's owned j. 571, 298. 83 !! Due to other national banks "65*246. 547, 296. 60 Due from other national banks |j Due to State banks and bankers.. 25, 391. Due from State banks and bankers. 178,030. Due from approved reserve agents. l! Dividends unpaid 735.00 109. Checks and other cash items J~. 21,928. 725,157.40 Exchanges for clearing house Individual deposits 10, 500. 100,525. 86 Bills of other national jbanks United States deposits 746. 119, 529.14 Depositsof U.S. disbursing officers. Fractional currency, nickels, cents. 173. 917. Specie 118. 500. Notes and bills rediscounted ! Legal-tender notes U.S. certificates of deposit [. Bills payable <, Redemption fund with Treas. U. S. | 3, 375. 00 Liabilities other than those above Due from Treasurer U. S i stated | 6,177.13 Total 3,026,831.94 Total I 3, 026, 831.94 First National Bank, Mayfield. D. B. STANFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . S. P. RiDGWAY, Cashier. No. 2245. $195,595.48 Capital stock paid in. $150^^00. 00 709.18 40, 000. 00 Surplus fund 30, 000. 00 Undivided profits, less current 15, 836.37 expenses and taxes paid 36, 000. 00 National-banknotes outstanding. 3, 000. 00 State-bank notes outstanding 5, 000. 00 12, 658. 56 Due to other national banks Due to State banks and bankers.. 79, 350.36 1,178. 52 Dividends unpaid Individual deposits 5,530.00 • j United States deposits Deposits of U. S. disbursing officers. 4, 074. 60 3, 000. 00 Notes and bills rediscounted Bills payable 1, 800. 00 Liabilities other than those above stated 339,238.14 i Total . j 2, 260.00 92, 483. 21 339, 238.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 331 KENTUCKY. First National Bank, Maysville. ISro. 2467. S. A. PIPER, President. "W. W. BALL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... j TJ..S. bonds to secure deposits i U. S. bonds on band j Premiums on U. S. bonds | Stocks, securities etc. j Bank 1 gh6use,furniture,andfixtures! Otber real estate and mortg s owned! Due from otber national banks Due from State banks and bankers. I Due from approved reserve agents. Checks and otber cash item s | Exchanges for clearing house j Bills of other national banks 'l Fractional currency, nickels, cents, j Specie j Legal tender notes j IT. S. certificates of deposit ' Redemption fund with Treas. U. S. j Due from Treasurer U. S \ $413,107. 60 2, 402. 61 105, 000. 00 J $105, 000. 00 jj Surplus fund I | Undivided profits, less current i I expenses and taxes paid 7, 000. 00 |j National bank notes outstanding . 18, 240. 00 j| State-bank notes outstanding ' ! Capital stock paid in 21, 000. 00 1,000.00 !| j 750. 00 I Due to other national banks 1 6, 756. 05 iI Due to State banks and bankers.. 6.851.46 38, 924. 30 Dividends unpaid j 1.885.81 2, 396. 00 123.34 j Individual deposits ;| United States deposits i I Deposits ofU.S.disbursmg officers. 3, 410.90 298.77 398, 767. 58 22 677. 50 5, 000. 00 1 N otes and bills rediscounted 1 Bills payable 4, 725. 00 i Liabilities other than those above stated Total . 636,839.76 Total. 15, 492.51 92,870.00 :6,839.' State National Bank, Maysville. No. 2663. W M . H. COX, President. Loans and discounts .1 Overdrafts | U . S . bonds to secure circulation... i U. S. bonds to secure deposits j U . S. bonds on hand Premiums on U. S. bonds. I Stocks, securities, etc.. j Bank'ghouse, furniture, andfixturesj Other real estate and mortg's owned j Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. B. PEARCE, Cashier. $407, 672. 20 ! Capital stock paid in | $150, 000. 00 6,810. 44 j j| 50, 000.00 I Surplus fund 30,000. 00 ! Undivided profits, less current j I 14,562. 22 expenses and taxes paid National-bank notes outstanding! 45, 000. 00 j. 37,515.18 State-bank notes outstanding 21, 989. 63 12, 262. 69 Due to other national banks 12, 657.34 4, 614. 28 1,283.58 6, 335.85 Due to State banks and bankers.. 14, 547. 06 I 3, 502. 29 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. [ Notes and bills rediscounted... 2, 250.00 Bills payable Liabilities other than those above \ stated 149. 00 115. 29 17, 544. 00 10, 000.00 595, 307. 91 Total. 595, 307. 91 341, 804.77 Mount Sterling National Bank, Mount Sterling. JOHN G-. WINN, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits j U. S. bonds on hand j Premiums on U. S. bonds i Stocks, securities, etc Bank'ghouse,furniture,andfixtures; Other real estate and mortg'sowned; Due from other national banks j Due from State banks and bankers. Due from approved reserve agents.; Checks and other cash items i Exchanges for clearing house ! Bills of other national Tmnks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit ]. Redemption fund with Treas. U. S. ij Due from Treasurer U. S . Total . No. 2185. $133, 231. 77 4, 416. 53 25,000.00 PIERCE WINN, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6,425.00 | State-bank notes outstanding 7,000.00 j Due to other national banks 13, 340. 95 ! Due to State banks and bankers.. 7,420. 55 j 88,866.61 i Dividends unpaid 13, 000.00 Individual deposits. 620.00 United States deposits 40.87 Deposits ofU.S.disbursing officers. 18, 758. 00 1,000.00 j Notes and bills rediscounted. Bills payable 212,135. 69 3,784.13 22,500. 00 5, 420. 56 402.90 " 1,123. 00 i ! 307, 243. 28 Liabilities other than those above stated Total. 307, 243. 28 332 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Newport. T. B. YOUTSEY, Cashier. No. 2276. HENRY GDNKEL, President. Resources. Loans and discounts • ] Overdrafts U. 8. bonds to secure circulation... TJ. S. bonds to secure deposits '•. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate andmortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents.; Checks and other cash items ' Exchanges for clearing house !. Bills of other national banks ! Fractional currency, nickels, cents. | Specie I Legal-tender notes I. U.S. certificates of deposit i. Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $675, 577.20 Capital stock paid in ' 6, 470. 90 50. 000. 00 !j Surplusfand Undivided profits, less current !' expenses and taxes paid 6, 000. 00 National-bank notes outstanding 36, 790.27 1 State-bank notes outstanding 20,000.00 7, 316. 88 Due to other national banks 8, 243. 23 Due to State banks and bankers.. 263.53 14. 246. 63 Dividends unpaid , 5.494.38 Individual deposits 35.00 United States deposits 422. 35 ji DepositsofU.S.disbursingofficers. 48, 089.10 Notes and bills rediscounted. Bills payable 2, 250. 00 75,000.00 7,096. 06 45, 000. 00 15,398. 65 294. 50 1,548.00 536, 862. 26 Liabilities other than those above stated 881,199.47 Total. $200, 000.00 Total . 881,199. 47 German National Bank, Newport. No. 2726. SAMUEL SHAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer U. S 520,261.87 Total. E. C. REMME, Cashier. $405, 134.29 Capital stock paid in $100, 000.00 3. 428. 96 25. 000. 00 ; Surplus fund \ 50, 000. 00 | Undivided profits, less current expenses and taxes paid | 11, 596. 29 i National-bank notes outstanding.; 22,500.00 16,500.00 \ State-bank notes outstanding 2.012.29 21,171.55 ; Due to other national banks ! 16,381.18 324. 36 Due to State banks and bankers.. 7,179. 28 2,561.56 10, 266. 50 Dividends unpaid ''' 77. 25 312, 605.12 Individual deposits ! 1,150.00 United States deposits \. 633. 56 Deposits of U. S.disbursing officers. •. 10, 346. 55 20, 530. 00 Notes and bills rediscounted. Bills payable 1,125. 00 !| . Liabilities other than those above : stated L Total . 520, 261.87 Newport National Bank, Newport. JOHN C. SCHROLL, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on TJ. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture, andfixturesI Other real estate and mortgs owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I Bills of other national pan k8 ! Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tr^as. U. S Due from Treasurer U. S Total. No. 4765. S. G. DANKS, Cashier. $168, 585.18 Capital stock paid in. 2,214.01 25, 000. 00 j! Surplus fund $100, 000.00 1 Undivided profits, less current | 1 ii expenses and taxes paid I 3,250.00 I National-bank notes outstanding-J State-bank notes outstanding ! 12,394.67 Due to other national banks i Due to State banks and bankers. J 7,00 273 21 Dividends unpaid 896. 99 ! Individual deposits 265.00 I United States deposits 156. 69 DepositsofU.S.disbursingofficers. 1, 738. 60 8, 497. 00 1,125.00 ! 224,403.35 1, 000. 00 1,065.45 22, 500. 00 1,713.31 278.37 i 470.00 97, 376. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 224,403.35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 333 KENTUCKY. First National Bank, Nicholasville. No. 1831. JOHN A. WILLIS, President. A. H. BROWN, Cashier. Resources. Loans and discounts ;.. I Overdrafts j IT. S. bonds to secure circulation... i U. S. bonds to secure deposits !. ! U. S. bonds on hand . Premiums on U. S. bonds I. Stocks, securities, etc !. Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house . Bills of other national Trnnks. Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S Liabilities. $189, 306. 09 2, 863. 29 25, 000. 00 Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 20v000. 00 11,527.90 22, 500.00 5. 000. 00 9,671.84 Due to other national banks 2, 659. 53 Due to State banks and bankers.. 701.01 8. 934 20 Dividends unpaid. 5, 575.1G 93.23 Individual deposits United States deposits Deposits of U.S.disbursing officers 82, 797.02 Notes and bills rediscounted Bills payable 9, 593.32 Liabilities other than those above stated Total. Total. 252, 086. 63 First National Bank, Owensboro. No. 2576. J. D. POWERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand " . Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U, S Total. $168,619.38 14.32 PHIL. T. WATKINS, Cashier. Capital stock paid in i 130, 000. 00 j Surplus fund Undivided profits, less current I expenses and taxes paid ! National-bank notes outstanding. ' State-bank notes outstanding $137,900.00 27, 580.00 6,278.60 106.540.00 6, 000. 00 2, 072. 37 92.53 79,117. 44 1,587.22 4, 030. 00 24.91 17,310.00 5, 850. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofiicers. 43,119. 64 417.00 92, 882. 93 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 414, 718.17 Total. 414,718.17 Owensboro National Bank, Owensboro. RICHARD MONARCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ; Fractional currency, nickels,cents.! Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4006. LAWSON RENO, Cashier. $290,861.11 | Capital stock paid in. 1,938.46 I 31,250.00 I Surplus fund 200,000.00 j Undivided profits, less current expenses and taxes paid 18, 638.90 National-bank notes outstanding. 1,225.35 State-bank notes outstanding 2, 241. 05 Due to other national banks 22. 52 Due to State banks and bankers. 11,025.22 45, 828. 63 Dividends unpaid 5,931.30 Individual deposits United States deposits 615. 00 Deposits of U. S.disbursing officers. 42, 051. 05 5, 600. 00 Notes and bills rediscounted Bills payable 1, 406. 00 Liabilities other than those above stated 658, 634.59 Total. 6, 551.44 14,701.39 273, 953. U 179,127.15 840.31 658, 634.59 334 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Owenton. No. 2868. G. W. FORSEE, President. PLORIAN COX, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation.. IJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture. and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $175, 897. 26 Capital stock paid in j $126, 000.00 2, 586. 50 41,500.00 ! Surplus fund | 16,171.00 | Undivided profits, less current ! expenses and taxes paid j 2,701.88 i National-bank notes outstanding.! 37,350.00 1 State-bank notes outstanding 2, 850. 00 Due to other national banks I 1, 453. 81 2,790.77 2, 050. 31 Due to State banks and bankers.. | 6,190. 91 Dividends unpaid ; Individual deposits 800.00 i1 Uniteu States deposits 143, 80 !i DepositsofU.S.disbursingofficers. 4,170.00 6,012.00 I i Notes and bills rediscounted [ Bills payable 1,867.' 50 I Liabilities other than those above i stated 244,068.31 |i Total . 53, 624. 87 3, 975. 98 244, 068. 31 Farmers' National Bank, Owenton. No. 2968. W M . LINDSAY, President. Loans and discounts | Overdrafts ! TJ. S. bonds to secure circulation... | TJ. S. bonds to secure deposits ' TJ. S. bonds on hand Premiums on TJ. S. bonds l Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate an'd mortg'sownedi Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Joanks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit • Redemption fund with Treas. U. S.j Due from Treasurer TJ. S $138, 796. 20 3,114.00 33,000. 00 $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding-! State-bank notes outstanding ! 4, 000. 00 3, 506. 42 77.49 3, 293. 84 2, 576. 68 2, 850. 47 12, 000. 00 10, 890. 77 29 700 0 0 ' ' Due to other national banks ! Due to State banks and bankers.. i Dividends unpaid 924. 83 295. 81 Individual deposits 610. 00 United States deposits 1 110.74 DepositsofU.S.disburshigofficers-! 4,590. 25 1, 500. 00 Notes and bills rediscounted... Bills payable 1, 485. 00 350, 00 Liabilities other than those above stated 62, 080. 68 199, 861. 09 Total . J . HOLBROOK, Cashier. Capital stock paid in. Total . . 9, 969. 00 14, 000. 00 199, 861. 09 First National Bank, Paducah. M. G. COPE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ' U. S. bonds on hand ! Premiums on U. S. bonds j Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned: Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items I Exchanges for clearing house \ Bills of other nationalbanks \ Fractional currency, nickels, cents. I Specie | Legal-tender notes i ! TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S '..< Total. No. 1599. T. A. BAKER, Cashier. $297,617.59 I Capital stock paid in 2, 307. 42 25, 000. 00 I Surplus fund I i Undivided profits, less current ; I expenses and taxes paid I National-bank notes outstanding.! 1 !! State-bank notes outstanding.. 3.000. 00 54, 920. 33 60.00 36,061.10 14, 629. 00 I Due to other national banks ! Due to State banks and bankers.. i Dividends unpaid $100, 000. 00 100,000.00 37, 030. 99 22, 500. C O 8, 235. 74 2,146. 61 Individiial deposits j '33,'iio.'6o' ! United States deposits 1 106.28 DepositsofU.S.disbursing officers, i 8, 250. 00 9, 000. 00 j Notes and bills rediscounted. Bills payable 1,125. 00 j Liabilities other than those above j stated 215, 273. 38 485,186. 72 I 485,186.72 Total. REPORT OF THE COMPTROLLER OF THE CURRENCY. 335 KENTUCKY. American-German National Bank, Paducah. GEO. C. THOMPSON, No. 2070. President. E D . L . ATKINS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand j Premiums on U. S. bonds I Stock, securities, etc I Bank'ghouse,furniture,andfixtures| Other real estate and mortg s owned! Due from other national banks | Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items | Exchanges for clearing house j Bills of othernationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . Liabilities. $404 069. 72 Capital stock paid in. 9, 544. 35 50 000.00 I Surplus fund $230, 000. 00 53, 000.00 ; Undivided profits, less current expenses and taxes paid 5,000 00 | National-bank notes outstanding. 75.00 j State-bank notes outstanding 18, 083. 07 45, 000. 00 24, 645 00 ! Due to other national banks 7, 456. 43 1,168. 74 ; Due to State banks and bankers..! 43. 947. 19 | 7. 566 82 Dividends unpaid Individual deposits J 273. 00 94.14 |! United States deposits ! 20, 070. 50 ; DepositsofU.S.disbursingofiicers. 8, 000. 00 Notes and bills rediscounted ! Bills payable 2. 250. 00 ! Liabilities other than those above stated Total . 584,160.89 15,097. 02 3,985.19 218, 995.61 584,160. 89 City National Bank, Paducah. ELBRIDGE PALMER. No. 2093. President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... U, S. bonds to secure deposits TJ. S. bonds on hand j Premiums on U. S. bonds : Stocks, securities, etc | Bank'gbouse,furniture,and fixtures! Other real estate and mortg's owned I Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S stated 605, 022. 22 Total - CHAS. E. RICHARDSON, Cashier. > 700. 07 | j Capital stock paid in. t 31.465.05 200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 9, 644. 00 State-bank notes outstanding 5, 000. 00 Due to other national banks 22,061.39 Due to State banks and bankers. 302. 38 4, 811. 25 Dividends unpaid 1, 069. 77 Individual deposits 5, 264.' 00 United States deposits Deposits of U. S.disbursing officers 11,833.31 3, 871. 00 N otes and bills rediscounted Bills payable 9, 000. 00 Liabilities other than those above $200, 000. 00 75, 000. 00 18.891.65 180, 000. 00 4, 024. 52 4,420.79 3, 053. 00 112,082.26 5, 000.00 , Total. First National Bank, Pineville. J . F . SLUSHER. Prei Loans and d i s c o u n t s . . . Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture v and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendei notes U. S. certificates of. deposit Redemption fund with Treas. U. S. Duo from T r e a s u r e r U . S Total. No. 4598. $46,309. 60 421.41 12, 500. 00 1,467.49 9, 569. 05 170.79 3, 843. 87 3 455.69 116.85 J . R. RICE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 562.50 82,772.93 500. 00 569.17 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits j United States deposits j. Depositsof U.S.disbursingofficers.j. 2, 212. 68 2,143. 00 $50, 000.00 20,453.76 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 82,772.93 336 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Princeton. R. B. RATLIFF, President. No. 3064. EDWARD GARRETT, Cashier. Resources. Loans and discounts Overdrafts U. S. hoods to secure circulation... U. S bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.andfixturesj Othei real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks | Fractional currency, nickels, cents.; Specie j Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Liabilities. $139,758.01 1,091.04 18, 750. 00 9, 950. 00 26.871.61 27, 764.62 7, 339.00 53.12 7, 674. 00 $50, 000 00 25, 000.00 Capital stock paid in Capital stock paid in not capital.. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. | State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits U nited States deposits Deposits ofbills disbursing officers. Notes and U.S. rediscounted. Bills payable 4, 896. 24 16. 850. 00 11,103.46 60.00 132,584.20 Liabilities other than those above stated ! Total. Total. 240,493. 90 Second National Bank, Richmond. J . STONE WALKER, President. Loans and discounts | Overdrafts ., U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture.and fixtures! Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. I Trej Due from Treasurer U. S. Total. R. E. TURLEY, Cashier. No. 2374. $429,883.85 16, 560. 51 50, 000.00 2, 888.25 184. 48 18, 554.82 850.00 1,050.00 37.09 9, 830.00 3, 500. 00 2, 250. 00 I Capital stock paid in. $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 4, S08. 08 45, 000.00 Due to other national banks | .Due to State banks and bankers.. j Dividends unpaid 1, 466. 71 2,473.18 Individual deposits United States deposits Deposits of U. S.disbursing officers.! 206, 346.18 Notes and bills rediscounted Bills payable Liabilities other than those above stated 35, 394. 85 Total . 535, 589. 00 535,589. 00 Farmers' National Bank, Richmond. JOHN BENNETT, President. Loans and discounts Overdrafts TT. S. bonds to secure circulation... TJ. S. bonds to secure deposi ts U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1309. $257, 680.22 6.577.40 50, 000.00 1.400.00 6, 500.00 5,504.91 1,999.03 332.28 21.435.33 134. 95 Capital stock paid in S. S. PARKES, Cashier. j $150,000.00 Surplus fund j Undivided profits, less current ; expenses and taxes paid I National-bank notes outstanding.! State-bank notes outstanding | 30,000.00 4,235.65 44,430.00 Due to other national banks I Due to State banks and bankers.. I Dividends unpaid 5,914.01 3,463.86 Individual deposits 2,040.00 United States deposits 4.50 ! DepositsofU.S.disbursingofficers. 12,415.50 1,000.00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above i stated 369, 274.12 Total ! 129,270.55 1,960.05 369T274Tl2 REPORT OF THE COMPTROLLER OF THE CURRENCY. 337 K E N T U C K Y. Madison National Bank, Richmond. No. 1790. A . R. BURNAM, President. C. D. CHENAULT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits j TJ. 8. bonds on hand j Premiums on U. S. bonds • Stocks, securities, etc j Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. | Due from approved reserve agents. | Checks and other cash items Exchanges for clearing house !. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $343,981.08 Capital stock paid in | 7, 000. 00 50, 000. 00 Surplus fund 75, 000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding-. 321.60 8, 977.11 124. 60 25, 218. 96 600. 00 69.13 12, 500. 00 2, 200.00 2, 250. 00 528, 242.48 Total . Due to other national banks...... i Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. $200,000.00 70,000.00 23, 602.91 44, 300. 00 478.53 1, 973. 58 120, 343. 37 61, 590. 53 5, 953. 54 Notes and bills rediscounted... Bills payable Liabilities other than those above i stated Total .. 528, 242. 48 Richmond National Bank, Richmond, J . W. CAPERTON, President. No. 4430. J . E. GREENLEAF, Cashier. Loans and discounts $292, 399.70 Capital stock paid in $200,000. 00 Overdrafts -•4,753.34 U. S. bonds to secure circulation... 50,000.00 Surplus fund 29,000.00 U. S. bonds to secure deposits j . . . Undivided profits, less current i U.S.bonds on hand I expenses and taxes paid j| 2,484.62 Premiums on U, S. bonds | 6,500.00 National-bank notes outstanding.| National-bank outstanding. 45,000.00 Stocks, securities, etc j State-bank notes outstanding.....! Bank'ghouse ; furniture,andfixtures 12, 549.89 Other real estate andmortg's owned Due to other national banks j 1,610.41 Due from other national banks i 1,394.94 Due to State banks and bankers.. j 1,483.71 Due from State banks and bankers. 314.59 Due from approved reserve agents. 17,109.05 Dividends unpaid j. Checks and other cash items i Individual deposits I Exchanges for clearing house 122, 527. 88 ! Bills of other national banks 2, 500.00 United States deposits Fractional currency, nickels, cents. 35. 11 Deposits of U.S.disbursingofficersJ Specie 10, 300 00 Legal-tender notes 2, 000. 00 Notes and bills rediscounted. Bills payable TJ. S. certificates of deposit i Redemption fund with Treas. U. S. | 2, 250.00 Liabilities other than those above Due from Treasurer U. S ! stated Total. 402,106. 62 J . M. RICHARDSON, President. 402,106. 62 First National Bank, Somerset. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national b a n k s . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUB, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis Total . J . A . M C G E E , Cashier. No. 3832. $155,445. 00 Capital stock paid in 1, 414. 33 25, 000.00 Surplus fund Undivided profits, less current 3, 738. 581 20,000. 00 expenses and taxes paid 22,500.00 National-bank notes outstanding. 35, 365. 75 State-bank notes outstanding 2, 000. 00 24. 837. 70 Due to other national banks 1,996. 21 Due to State banks and bankers.. 9,823.07 838. 45 69, 566. 21 Dividends unpaid 1, 000. 00 80.10 20, 000. 00 2, 000. 00 1,125. 00 335,831.05 22 Individual deposits ,... j United States deposits \ Depositsof U.S.disbursingofficers-1 Notes and bills rediscounted Bills payable j. J. Liabilities other than those above j stated | Total . 152, 368. 25 2,563.45 335, 831. 05 338 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY, First National Bank, Springfield. No. 1767. B. L. LITSEY, President. A. C. MCELROY, Cashier. Resources. Loans and discounts j Overdrafts i IT. S. bonds to secure circulation...; U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'gbouse,furniture,and fixtures! Other real estate and mortg's owned Due frdm other national banks j Due from State banks and bankers. j Due from approved reserve agents. i Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U.S.I Due from Treasurer U. S \ Total. Liabilities. $172, 675.96 1,959.87 37, 500.00 9, 310.00 7, 000. 00 1, 091. 88 483. 83 5, 568. 95 445.00 3.50 11, 083. 75 4,100. 00 jj j| 1, 687. 50 j $100, 000. 00 Surplus fund j Undivided profits, less current | expenses and taxes paid j National-bank notes outstanding.! State bank notes outstanding i Capital stock paid in 20,000.00 3, 240.11 33,750.00 i Due to other national banks I Due to State banks and bankers.. j Dividends unpaid \. 3,601. 29 2, 361.05 Individual deposits j United States deposits i Depositsof U.S.disbursing officers.' 89, 957. 79 Notes and bills rediscounted. Bills payable Liabilities other than those above ! stated Total . 252,910.24 I 252, 910.24 First National Bank, Stanford. J . S. HOCKER, President. Loans and discounts i Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on band Premiums on U.S. bonds Stocks, securities, etc j Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JNO. J. MCROBERTS, Cashier. No. 2788. $260, 581.43 j Capital stock paid in $200,000.00 7,291.72 \ 50,000.00 j Surplus fund 23, 700. 00 i Undivided profits, less current j j expenses and taxes paid ' 965. 32 i National-bank notes outstanding.! 44,650.00 14, 243. 31 j State-bank notes outstanding ! 9,150.00 | i Due to other national banks ! 16,123. 71. 6, 611.24 ! 7,775. 21 2, 389. 73 | Due to State banks and bankers.. | 15, 943.60 j | 3,055.47 Dividends unpaid Individual deposits \ United States deposits j Depositsof U.S.disbursingofficers. Notes and bills rediscounted j 1,480.00 Bills payable i Liabilities other than those above ! stated I 3,150. 00 47.61 7, 702.45 4, 573.00 Total. 386,219.56 i| 86, 694. 62 6, 310.70 6,219.56 Citizens' National Bank, Winchester. W. MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. No. 2148. $279, 224.95 6, 228.58 50,000.00 A. H. HAMPTON, Cashier. ! $175,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 7,767.82 j State-bank notes outstanding 21,000. 00 1, 358.99 Due to other national banks 18, 779.41 Due to State banks and bankers. 2,191. 88 16, 523.40 Dividends unpaid 501.77 Individual deposits | * 3,392.66 United States deposits j. 175. 00 Deposits of U. S.disbursingoflficers. i. 8,571.10 1, 500.00 Notes and bills rediacounted. Bills payable 1,583.24 i Liabilities other than those above stated 35, 000. 00 418, 798.14 Capital stock paid in Total . 16,128. 61 45,000.00 16,173. 05 1, 782. 82 129, 713.66 418, 798.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 339 KENTUCKY. Clark County National Bank, Winchester. JOHN W. BEAN, President. No. 995. B. F. CURTIS, Cashier. Resources. Liabilities. Loans and discounts $378, 345. 33 Overdrafts 8, 812. 79 U. S. bonds to secure circulation... 200,000.00 j U. S. bonds to secure deposits \ j U. S. bonds on hand !.... j Premiums on U.S. bonds | 18,937.50 Stocks, securities, etc ! 26,110. 00 j Bank'g bouse,furniture,and fixtures | Other real estate and mortg's owned I 7, 700.00 Due from other national banks 6, 550. 01 Due from State banks and bankers. 873.44 Due from approved reserve agents. 15, 799. 07 Checks and other cash items.' 3,969.81 Exchanges for clearing house ! Bills of other national banks j 6, 600. 00 Fractional currency, nickels, cents. 110.53 Specie '. 13, 300. u0 Legal-tender notes " 7,000.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 8, 960. 00 Due from Treasurer U. S \ i Total. 703,068.48 i Capital stock paid i n . . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. Slate-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States'deposits Deposits of U.S.disbursingofficers. $200,000.00 100, 000. 00 20, 914.57 180. 000.00 22. 603.83 9, 668. 77 5.00 169, 876. 31 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 703,068.48 340 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA. First National Bank, Baton Rouge. No. 2633. M. GARIG, President. 1). M. REYMOND, Cashier. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $215,629. 22 24,365.12 25, 000. 00 Capital stock paid in 2. 500. 00 5, 490.16 2, 321. 00 520. 00 Due to other national banks j 6, 979. 86 Due to State banks and bankers. J 9. 514. 50 20, 976. 32 Dividends unpaid.. ! 170. 00 865. 47 22, 337. 50 2,173. 00 1,125.00 Individual deposits j United States deposits j. Deposits of C. S.disbursing officers. j . $100, 000.00 40, 000. 00 11,470.70 22. 500. 00 165, 996.45 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 339, 967.15 Total. I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 339, 967.15 First National Bank, Franklin. J. M. BURGUIERES, President. Loans and discounts » Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 4555. H. S. PALFREY, Cashier. $143, 952. 69 Capital stock paid in. | $50,000.00 52.30 12, 500. 00 Surplus fund 18, 000. 00 Undivided profits, less current expenses and taxes paid 3, 939. 92 550.00 National-bank notes outstanding. 10, 350.00 50,125.00 State-bank notes outstanding 6, 600. 00 Due to other national banks Due to State banks and bankers. 14, 269. 72 j Dividends unpaid.... 734. 05 ! Individual deposits 149, 639.69 25.00 j United States deposits 80.25 Deposits of U.S. disbursingoffieers. 8, 795.10 7, 205.00 | Notes and bills rediscounted 8, 772. 00 4, 750. 00 ; Bills payable 562.50 Liabilities other than those above stated 245,451. 61 Total. 245, 451. 61 Homer National Bank, Homer. W. P. OTTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency,nickels, cents. Specie Legal-tender notes ,.. TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 4216. C. O. FERGUSON, Cashier. $91,786.55 i Capital stock paid in . 6,775.85 i 12,500.00 I: Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 526. 50 State-bank notes outstanding 4,443. 30 390.53 Due to other national banks 2, 078. 51 Due to State banks and bankers. 386. 92 12, 204. 78 Dividends unpaid 8, 741. 40 ! Individual deposits ! 305.00 I United States deposits 49.27 ! Deposits of U.S.disbursing officers. 1, 695. 70 1, 750. 00 Notes and bills rediscounted. Bills payable 562.50 ! Liabilities other than those above | stated ! 144,196.81 Total. $50, 000.00 14, 500. 00 3, 780. 90 11, 250. 00 360. 52 350. 00 49, 455. 39 14, 500. 00 144.196.81 REPORT OF THE COMPTROLLER OF THE CUREENCY. 341 LOUISIANA. First National Bank, Lake Charles. No. 4154. GEORGE LOCK, President. A. L. WILLIAMS, Cashitr. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse.furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $178,644.40 i Capital stock paid in 938. 63 12, 500. 00 I Surplus fund , Undivided profits, less current expenses and taxes paid 1,625.00 National-bank notes outstanding. State-bank notes outstanding 1, 500. 00 700.00 Due to other national banks j 467.77 Due to State banks and bankers..' 1,584.13 ! 4, 832. 26 Dividends unpaid 772. 89 Individual deposits I 30.00 United States deposits 61.98 Deposits of U.S.disbursingofficers. I 2,438. 65 11,537.00 I Notes and bills rediscounted I ' Bills payable j 562. 50 ! Liabilities other than those above j [ stated i 218,195.21 Total. $50, 000. 00 12,500. 00 3, 558.19 11,250.00 4.82 49.41 118,914.76 21,918.03 218,195. 21 Monroe National Bank, Monroe. L. D. MCLAIN, President. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds. Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house I Bills of other national banks , Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . T. E. FLOURNOY, Cashier. No. 4082. ! ;109,147.85 Capital stock paid in '.. ' $6o,oooToo 16,581.17 j 15, 000.00 Surplus fund 20,000. 00 Undivided profits, less current j 9, 333.45 expenses and taxes paid ' 1, 800.00 13, 500. 00 National-bank notes outstanding, j State-bank notes outstanding L 2, 400. 00 786.15 3, 995. 78 770. 59 140.00 41.78 2,005.25 1, 484.00 675. 00 Due to other national banks Due to State banks and bankers..| i Dividends unpaid I Individual deposits United States deposits Deposits ofU.S.disbursingofficersJ Notes and bills rediscounted Bills payable Liabilities other than those above stated 154, 827. 57 Total. . 839. 62 540. 71 15.00 35, 617.10 9, 981. 69 5, 000.00 154,827. 57 Ouachita National Bank, Monroe. D. A. BREARD, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc I Bank'ghouse,furniture, and fixtures' Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3692. $213, 619. 09 50, 087.14 12, 500. 00 12,974. 27 5, 755. 95 504.20 2, 958.73 6, 648. 34 1, 525. 63 i," 200.* 00 27.00 3, 500. 00 5, 300. 00 562.50 317,102.85 | J . J . JORDAN, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 60, 000.00 59,858.60 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4,931.51 Individual deposits United States deposits Deposits of U.S.disbursing officers. 131,122.74 Notes and bills rediscounted. Bills payable Liabilities other than those above ; stated i Total. 317,162.85 342 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA. New Iberia National Bank, New Iberia. J . A. BREAUX, President. No. 3G71. P . L. RENOUDET, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . TJ. S. bonds t o secure deposits U . S. bonds on hand P r e m i u m s on TJ. S. bonds I Stocks, securities, etc | Bank'ghouse,furniture,and fixtures Other real estate and m o r t g ' s owned D u e from other national b a n k s i D u e from State b a n k s and bankers D u e from approved reserve a g e n t s . C h e c k s a n d other cash items E x c h a n g e s for clearing house Bills of o t h e r national b a n k s Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $260, 412. 76 1 Capital stock paid i n . 1 60.44 12, 500.00 Surplus fund Undivided profits, less c u r r e n t expenses a n d taxes paid 1, 375.00 National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g 2, 250. 00 Due to other national banks Due to State banks and bankers "8," 669. 29 | Dividends unpaid 216. 65 I Individual deposits 610.00 United States deposits 1,065. 46 Depositsof U.S.disbursingofficers 10,911.00 2, 413. 00 Notes and bills rediscounted Bills payable 562 50 I I Liabilities other than those above I stated " 10," 808. 98 Total 311, 855. 08 $50,000.00 86, 000. 00 2, 577. 39 10, 730. 00 565. 23 139, 029.12 22, 953. 34 311, 855. C People's National Bank, New Iberia. No. 4524. S. O. THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand I Premiums on TJ. S. bonds I Stocks, securities, etc I Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers.! 'Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national/banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. E. SATTERFIELD, Cashier. $103,980.28 i Capital stock paid in. 88.69 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid { 1,500. 00 National-bank notes outstanding.) State-bank notes outstanding j 1, 700. 00 444.10 Due to other national banks Due to State banks and bankers.. I 27, 887. 27 Dividends unpaid.. 4, 564. 64 Individual deposits 25.00 United States deposits 150.80 Depositsof U.S.disbursing officers. 3,014. 00 290. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total 156,707.28 i $50, 000. 00 15, 000. 00 4, 228.90 11,250.00 48.00 76,180. 38 356,707.28 American National Bank, New Orleans. H. GARDES, President. Loans and discounts Overdrafts • TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3978. $603,430.16 44, 604.00 50, 000. 00 6, 500. 00 1, 000. 00 9,880. 36 9, 386. 80 18, 597. 92 38, 613. 59 1,312.20 40, 926. 54 900. 00 69.31 42,998. 50 14, 000. 00 2, 250. 00 W. W. GIRAULT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingoflicers. Notes and bills rediscounted Bills payable 27, 500. 00 2, 817. 21 45, 000.00 70, 497. 22 19, 615. 71 564. 00 356, 031. 78 13, 265. 55 149,177. 91 Liabilities other than those above stated 884,469. 38 Total . 884,469.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 343 LOUISIANA. Germania National Bank, N e w Orleans. No. 1591. J. C. DENIS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S ,003,478.95 42, 060. 00 50, 000. 00 Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 169,208,97 State-bank notes outstanding 115, 500. 00 Due to other national banks 6,353.12 Due to State banks and bankers.. 1,247. 47 68, 045. 94 Dividends unpaid * 797664." 58* Individual deposits Certified checks 175. 69 United States deposits 30, 522. 50 Deposits of U.S.disbursingofficers. 78, 370. 00 Notes and bills rediscounted . Bills payable 200,000.00 1, 850. 00 1, 645, 877. 22 Total. F. DIETZE, Cashier. Liabilities. Liabilities other than those above stated Total. 44, 345.11 43, 295. 00 6,152. 79 1, 625.14 2, 330. 00 1, 047, 508.89 620. 29 1, 645,877. 22 Hibernia National Bank, New Orleans. J . W. CASTLES, President. No. 2086. CHARLES PALFKEY, Cashier. $2, 301,472. 58 Loans and discounts Capital stock paid in j $300,000.00 61,174. 00 Overdrafts 150,000.00 U. S. bonds to secure circulation... Surplus fund 250,000.00 U. S. bonds to secure deposits Undivided profits, less current 30,560.42 U. S. bonds on hand expenses and taxes paid 135, 000. 00 15,500.00 Premiums on U. S. bonds I National-bank notes outstanding 39, 000.94 State-bank notes outstanding Stocks, securities, etc J 50, 000. 00 Bank'g house,furniture,and fixtures. 174,274.49 Other real estate and mortg's owned Due to other national banks 117, 749.11 225, 769.04 Due from other national banks Due to State banks and bankers.. 12, 635. 75 Due from State banks and bankers. 244,360.90 5, 527. 00 Due from approved reserve agents. Dividends unDaid 1, 896. 67 Check 8 and other cash items 92,113.17 Exchanges for clearing house Individual deposits 2, 383,369.67 2,000.00 Bills of other national banks United States deposits j 4, 700. 50 Deposits of U.S. disbursing officers. ] Fractional currency, nickels, cents. 202, 647. 00 Specie 202,000.00 Notes and bills rediscounted ' Legal-tender notes U. S. certificates of deposit Bills payable I * 6," 750* 00 Redemption fund with Treas. U. S. 500. 00 Liabilities other than those above Due from Treasurer U. S Total. 3, 504, 500. 62 stated Total. 3, 504, 500. 62 Louisiana National Bank, N e w Orleans. R. M. WALMSLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1626. $],789, 672.99 127, 345. 45 50, 000.00 6, 500. 00 1, 531, 774. 52 100, 000. 00 45,184. 66 239, 903. 90 325, 000. 00 191, 586. 09 35,446. 00 220.22 576, 083. 50 245, 000.00 2, 250. 00 5, 265,967.33 LEON F . JANIN, Cashier. ___. ___________ Capital stock paid in. Surplus fund 150,000.00 Undivided profits, less current 93, 094. 68 expenses and taxes paid 45, 000.00 National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers,. Dividends unpaid Individual deposits United States deposits Deposits ofbills disbursing officers Notes and U.S. rediscounted. Bills payable 168, 343. 81 122,932. 54 1,116.00 4,185, 480.30 Liabilities other than those above stated Total . 5, 265,967.33 344 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA. Mutual National Bank, New Orleans. J . A. SHAKSPEARE, President. No. 1898. J A S . J . TARLETON, Cashier. Liabilities. Re sources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house s o j Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $567, 293. 71 9,158. 53 50, 000. 00 5, 000. 00 8, 686.12 45,179. 68 29,500.00 7,047.17 9, 279. 23 12,421.71 4, Oil. 29 18, 666. 88 6, 000. 00 63.02 30, 979. 60 35, 200. 00 2, 250. 00 840,746. 94 Total. Capital stock paid in j Surplusfund .| Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $200,000.00 1,000. 00 10,138,23 44,300. 00 9,689.24 18,493.43 782.00 Individual deposits Certified checks | ] United States deposits Deposits of U.S. disbursing officers. | Notes and bills rediscounted j Bills payable j i Liabilities other than those above stated Total. 421, 580.66 4, 040.00 130,723. 38 840, 746. 94 New Orleans National Bank, New Orleans. ALBERT BALDWIN, President. No. 1778. Loans and discounts. I $2,031,806.66 Overdrafts ! 242,909.00 XL S. bonds to secure circulation... i 50,000. 00 U. S. bonds to secure deposits... 10,750. 00 U. S. bonds on hand 399,76 Premiums on U. S. bonds 778, 980.06 Stocks, securities, etc 98, 677. 28 Bank'ghouse,furniture,andfixtures 15, 340. 00 Other real estate and mortg's owned 50, 574. 51 Due from other national banks 9, 610. 41 Due from State banks and bankers. 276, 230.43 Due from approved reserve, agents 1, 824. 95 Checks and other cashitems 78,699. 58 Exchanges for clearing house 13, 798, 00 Bills of other national banks 4, 699.14 Fractional currency* nickels, cents. 169.590.00 Specie 100,000.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S ! $200, 000. 00 800, 000.00 77, 011. 70 44, 250. 00 National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.divsbursingofficers. Notes and bills rediscounted. Bills payable 62, 037. 99 71, 345.13 450. 00 2, 276, 306.75 4, 738.21 400, 000. 00 Liabilities other than those above stated 3,936,139. 78 Total. WILLIAM PALFREY, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid Total J 3,936,139.78 State National Bank, New Orleans. J . H. O'CONNOR, President L,oans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U.S.bonds on hand Premiumson U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1774. $781, 388. 78 23, 042.52 50,000. 00 330, 677. 30 130,457. 76 19,988. 25 11,826.98 35. 886. 47 103,860. 64 324, 48 52,235. 09 1,985.00 1,542.34 81,330.50 120,340.00 2, 250.00 C. H. CULBERTSON-, Cashier. Capital stock paid in . $300,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 20, 208. 30 45, 000.00 Due to other national banks Due to State banks and bankers.. 55,401. 77 72, 657.85 Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable _ 60, 000.00 1, 859. 25 1,139,941.58 1,867. 36 50, 000.00 Liabilities other than those above stated 1, 746, 936.11 Total j 1,746,936.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 345 LOUISIANA. Union National Bank, New Orleans. S. CHALARON, President. No. 1796. Loans a n d discounts ! Overdrafts I TJ. S. bonds to secure c i r c u l a t i o n . . . IT. S. bonds to secure deposits U. S. bonds onhand P r e m i u m s on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned D u e from other national b a n k s I D u e from State b a n k s and b a n k e r s . ! Due from approved reserve a g e n t s . j Checks and other cash items I Exchanges for clearing house Bills of other nationallaanks Fractional currency, nickels, c e n t s . Specie \ Legal-tender notes | U. S. certificates of deposit. i Redemption fund with Treas. U . S. | Due from Treasurer U. S i Total A. LABARTHE, Cashier. "1 Resources. $920, 065.32 172, 000. 00 50, 000.00 6,000.00 449,138. 70 115, 500,00 13, 000. 00 69, 272.31 48,166, 89 153, 094.86 136, 510.83 22,324.00 377. 50 182,490.00 25,000. 00 2, 250. 00 Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding ! Due to other national banks ,! Due to State banks and bankers.. j Dividends unpaid ! ! Individual deposits ! Certified checks United States deposits ! Deposits of U.S.disbursingofficers. | $500,000.00 150, 000.00 4, 083. 91 44, 550. 00 1(3,789.59 22, 468. 20 6, 287. 21 1,371,835.70 12, 093. 77 Notes and bills rediscounted. Bills payable Liabilities other than those above stated \ 2,365,190.41 237,082. 03 Total ! 2,365,190.41 Whitney National Bank, New Orleans. J. T. HAYDEN, President. No. 3069. $3,178, 937. 62 37,419.14 400,000.00 Loans and discounts Overdrafts U . S. bonds t o secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand P r e m i u m s on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and m o r t g ' s o w n e d D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house Bills of other national b a n k s Fractional currency, nickels, c e n t s . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . D u e from Treasurer TJ. S Total 35, 800. 00 100, 00 8, 925. 37 "41," 020.* 28* 23,142,76 515,179. 08 124, 593. 94 4, 050. 00 728. 33 319,412.50 253, 550. 00 18, 000. 00 3, 570. 00 j J. M. PAGAUD, JR., Cashier. Capital stock paid in ...\ $400,000.00 ; Surplus fund Undivided profits, less c u r r e n t | expenses and taxes paid | National-bank notes outstanding.! State-bank notes outstanding I. Due to other national banks 775, 000.00 36,773.35 360J 000.66 | 81,183.41 70, 792.35 Due to State banks and b a n k e r s . . j Dividends unpaid 276.00 I Individual deposits ! Certified checks j United States deposits I. Deposits of U.S.disbursingofficers.!. Notes and bills rediscounted !. Bills payable !, 220, 242. 76 20,161.15 Liabilities other than those above stated 4,964,429.02 Total 4,964,429.02 First National Bank, Shreveport. EDWARD JACOBS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and otber cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3595. $366, 496. 32 129,443.77 100.000.00 6,438.58 3, 625.81 14,328. 50 27, 957. 82 7.295. 89 7,875.00 550. 00 67,148. 60 8, 000. 00 *W. B. J A C O B S , Capital stock paid in.. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Cashier. 40, 000.00 11, 094. 67 89, 997. 50 1, 966. 23 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicersJ Notes and bills rediscounted. Bills payable 400, 601.89 4, 500. 00 743, 660. 29 Liabilities other than those above | stated j Total. 743,660.29 346 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA. Commercial National Bank, Shreveport. S. LEVY, JR., President. J . H. Ross, Cashier. No. 3600. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... j TJ. S. bonds to secure deposits IJ. S. bonds on hand j. Premiums on U. S. bonds I Stocks, securities, etc | Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. tJ. S. Due from Treasurer U. S Total. Liabilities. $267, 991. 61 101,018.59 25, 000. 00 19, 031. 95 1,000.00 10, 790. 21 5.919.11 1,583. 65 48, 635. 43 8, 962. 31 4, 000. 00 23.20 37, 270.00 2, 500.00 1,125.00 534, 851.06 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. $100,000. 00 21,000.00 23,165. 88 22, 500. 00 2, 035.06 2, 817. 90 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 313, 332. 22 50,000.00 Liabilities other than those above stated Total. 534, 851.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 347 MAINE. First National Bank, Auburn. JEREMIAH DINGLEY, JR., President. No. 154. H. C. DAY, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U.S. bonds Stock s, securi ties, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers, j Due from approved reserve agents, j Checks and other cash items. j Exchanges for clearing house j Bills of other national banks ! Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S Liabilities. $290, 512.33 415. 20 50, 000. 00 ! $150, 000. 00 Surplus fund , j Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 10,103.23 | State-bank notes outstanding. 2, 600. 00 2,108.92 Due to other national banks ! 3, 880. 41 Due to State banks and bankers.. j 16,404.37 Dividends unpaid. 33, 000. 00 453. 36 2.195. 00 20. 09 13,023.00 2. 050. 00 2, 250. 00 Capital stock paid in Individual deposits United States deposits DepositsofU S.disbursingofficers.l 3, 886. 72 48.00 160, 067. 74 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 396, 015. 91 Total. 4. 013.45 Ah. 000.00 Total . 396, 015.91 National Shoe and Leather Bank Auburn. No. 2270. A. CUSHMAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $532, 893. 49 262. 09 55, 000. 00 5, 937. 50 102, 740. 00 5. 000. 00 928. 33 14, 859. 62 53, 403. 66 82.72 2,874. 88 1, 360. 00 131.16 39, 938. 00 3, 000. 00 2, 475. 00 1,180.00 822, 066. 45 E L. SMITH, Cashier. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding $400, 000.00 5, 000.00 13,059.18 49,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11,093.96 Individual deposits United States deposits Depositsof U. S. dis bursingofficers. 343, 395. 31 18.00 Notes and bills rediscounted. Bills payable Liabilities other than those above | stated j. Total. 822, 066.45 First National Bank, Augusta. O. HOLWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc \ Bank'ghouse^urniturejandfixturesj Other real estate and mortg'e owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit... Redemption fund with Treas. TJ. S. Due from Treasurer U . S . Total . No. 367. C S, HICHBORN, Cashier. $542, 752. 42 Capital stock paid in j $250, 000.00 2,791.87 75, 000. 00 Surplus fund 60, 000. 00 Undivided profits, less current expenses and taxes paid 32. 524. 65 National bank notes outstanding. 66,160. 00 6,000.00 State-bank notes outstanding 1,427.99 52, 471. 55 1, 969.27 1, 545. 00 126. 64 38, 022. 00 500.00 3, 375.00 725,981. 74 Due to other national banks Due to State banks and bankers.. |. 18,938.10 i Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 298, 358.99 Notes and bills rediscounted. Bills payable Liabilities other than those above | stated i. Total. 725,981.74 348 REPORT OF THE COMPTROLLER OF THE CURRENCY, MAIME. Augusta National Bank, Augusta. No. ELIAS MILLIKEN, President. 3271. J . R. GOULD, Cashier Resources. Liabilities. Loans and discounts I Overdrafts j U. S. bonds to secure circulation... I U. S. bonds to secure deposits i U. S. bonds on band Premiums on U. S. bonds i j Stocks, securities, etc B a n k g house, furniture, and fixtures Other real estate and mortg's owned ! Due from other national banks Due from State banks and bankers Due from approved reserve agents.! ! Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie i Legal-tender notes ! U. S. certificates of deposit ' Redemption fund with Treas. U. S.i Due from Treasurer U. S | Total. $214,611.54 j Capital stock paid in 1 375.14 ! 45,000 00 ; Surplus fund I ! Undivided profits, less current | i expenses and taxes paid | 4,500.00 j National-bank notes outstanding-! 3,500.00 j State-bank notes outstanding.. $100, 000.00 ! Due to other national banks 1, 307.67 ! Due to State banks and bankers.. 11,021.67 Dividends unpaid 1, 223. 91 i Individual deposits 736. 00 United States deposits 83.91 j Deposits of U.S.disbursingomcers 12,770.00 j 1,500.00 j Notes and bills rediscounted j Bills payable 2, 025. 00 i ' Liabilities other than those above j stated | 13, 579. 60 17,500.00 3,402.10 40, 500.00 568. 00 123,105.14 i 298,054.84 298, 654.84 Total . Granite National Bank, Augusta. No. 498. JOHN W. CHASE, President. TREBY JOHNSON, Cashier. Loans and discounts •• $223, 942.31 Capital stock paid in. -I Overdrafts 2, 248. 57 XJ. S. bonds to secure circulation... 100,000.00 i! Surplus fund U. S. bonds to secure deposits 80,000.00 ji Undivided profits, less current | expenses and taxes paid U. S. bonds on hand Premiums on IT. S. bonds 12,500.00 !i National-banknotes outstanding. Stocks, securities, etc j| State-bank notes outstanding Bank'g house, furniture, and fixtures 8,000.00 Other real estate and mortg's owned jj Due to other national banks Due from other national banks ! 1.56 |; Due to State banks and bankers.. Due from State banks and bankers Due from approved reserve agents.! 3, 550.09 j Dividends unpaid Checks and other cash items j 2,758.20 [ Exchanges for clearing house ' ! I Individual deposits Bills of other nationafbanks 882.00 j j United States deposits Fractional currency, nickels, cents. 588.28 j I Deposits of U. S.disbursing officers Specie 23,357. 50 I Legal-tender notes. I 3,500. 00 j ! Notes and bills rediscounted U. S. certificates of deposit ! j | Bills payable Redemption fund with Treas. U. S. J 4,500.00 I Due from Treasurer U. S ^ ! Liabilities other than those above Total. 465, 828.51 stated Total. $100, 000.00 25, 000. 00 11, 039. 65 90, 000. 00 2,755.87 56.00 133,321. 26 405. 23 64, 250.50 39,000. 00 465,828.51 First National Bank, Bangor. EDWARD STETSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds j Stocks, securities, etc J Bank'g house, furniture,and fixtures Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 112. E. G. WYMAN, Cashier. $717,178. 94 j Capital stock paid in. ~~.7.~.7~~.J .50 300, 000.00 Surplus fund 50,000.00 | Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 12,000.00 Due to other national ban us 326. 01 Due to State banks and bankers. 96, 785. 38 Dividends unpaid 1,685.91 Individual deposits 9, 516. 00 United States deposits 5.52 Deposits of U. S.disbursing officers. 38,100. 00 1, 300.00 Notes and bills rediscounted. Bills payable 13,500. 00 Liabilities other than those above j stated , I 1,240,398,26 Total $3oo,oooToo 100,000.00 87, 544. 89 266, 798. 00 48, 083. 04 1,160.00 371.812.33 43, 998. 30 1,001.70 20,066.66 1,240,398.26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 349 Second National Bank, Bangor. No. 306. NATHAN C AYER, President. GEO. A. CROSBY. Cashier, Resources, Liabilities. Loans and discounts ! Overdrafts, i U S. bonds to secure circulation ..\ U S bondc* to secure deposits '• U S. bonds on hand j Premiums on U. S. bonds. \ Stocks, securities,etc. j Bauk'g house, furniture, and fixtures'1 Other real estate and rnortg's owned Due from other.national banks j Due from State banks and bankers. I Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house ! Bills of other national banks I Fractional currency, nickels cents.! Specie I Legal tender notes ! U. S certificates of deposit j Redemption fund with Treas. U . S . Due from Treasurer U, S Total . $569, 204. 44 100. 31 50,000.00 122 000.00 Capital stock paid in | $150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.j State-bank notes outstanding j 261,422.75 45,000.00 30, 000. 00 Due to other national banks j Due to State banks and b a n k e r s . . ! . . . . . 151,523.42 723.36 Dividends unpaid. ; Individual deposits 3, 020.00 | United States deposits 5.00 I Deposits of U.S.disbursingofficers. 31,655.00 | 1,000.00 j Notes and bills rediscounted. I Bills payable 2,250.00 Liabilities other than those above 931,481.53 89.32 stated Total . 444, 969.46 931,481.53 Kenduskeag National Bank, Bangor. F. W. HILL, President. No. 518. Loans and discounts Overdrafts U S. bonds to secure circulation U. S. bonds to secure deposits... U . S . bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'guouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $358, 638. 67 157.86 35, 000. 00 W. H. S LAWRENCE, Cashier. Capital stock paid in $100, 000. 00 5,156. 25 37,990. 00 Surplus fund ,,..,. Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding 35,242. 02 31, 500.00 743.73 Due to other national banks. Due to State banks and bankers., 6, 543.01 54,674. 25 ""30 "666,'66' 71,553.80 j Dividends u n p a i d . . . , , , 11,874.69 Individual deposits 8.460.00 United States deposits.., 10.22 Depositsof U.S. disbursing officers. 17,222.00 i 12, 690.00 Notes and bills rediscounted. Bills payable..„,,„..., 1, 575. 00 Liabilities other than those above stated 591, 072. 22 Total. 20,000.00 340, 742. 94 2, 370. 00 591,072.22 Merchants' National Bank, Bangor. No. 1437. E H. BLAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc | Bank'g house,furniture,and fixtures! Ofher real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U, S,j Due from Treasurer U. S I Total. I ALBERT P . BAKER, Cashier. $430,491.97 Capital stock paid in I 2, 206. 14 56,150. 00 Surplus fund j Undivided profits, less current ! expenses and taxes paid j National-bank notes outstanding. 49, 819. 00 State-bank notes outstanding ; 6, 000. 00 Due to other national banks 423.17 Due to State banks and bankers.. 82,134. 78 Dividends unpaid 2, 596. 58 Individual deposits j 3,260. 00 United States deposits j. 87. 19 Depositsof U.S.disbursing officers. I. 33 417. 20 ] , 620.00 2, 526. 75 670, 732. 78 Notes and bills rediscounted Bills payable $100,000.00 20,000.00 156,671.42 50,535. 00 16,291.89 908.48 770.00 325,555. 99 i. I. Liabilities other than those above stated Total - 670, 732. 78 350 REPORT OF THE COMPTROLLER OF THE CURRENCY. UI A * N E , Veazie National Bank, Bangor. No. C. V. LORD, President. 2089. A. B. TAYLOR, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,and fixtures) Other real estate and mortg'sownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $292, 507. 86 .32 50, 000. 00 46, 264. 3, 320. 19, 870.51 1. 017.86 18, 912.91 2. 846. 96 5, 112.48 605. 00 100.77 16, 021.50 1, 816. 00 2, 250. 00 460, Total . 83 87 647. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding $100, 000. 00 20, 000. 00 12,550. 97 45, 000.00 Due to other national banks 12, 589. 05 Due to State banks and bankers.. 23,043. 59 Dividends unpaid Indi vidua 1 deposits I United States deposits j Depositsof bills rediscounted Notes and U.S.disbursingofficers.j Bills payable 247,464. 26 Liabilities other than those above stated Total 87 460, 647. 87 First National Bank, Bath. No. G-ALEN C. MOSES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other iiationallmnks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S I Total . 2743. W. D. MUSSENDEN, Cashier. $520,793.01 || Capital stock paid in | 3,691.79 50,000.00 Surplus fund j Undivided profits, less current | expenses and taxes paid i 10,125. 00 National-bank notes outstanding. 15, 600. 00 State-bank notes outstanding 7,125,27 1,591.27 Due to other national banks Due to State banks and b a n k e r s . . 59, 640.05 Dividends unpaid 382,. 18 Individual deposits 305. 00 United States deposits 119.18 DeposilsofU.S.disbursingorh'cers. 27,179.00 1, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 699, 801.75 stated Total. $200,000.00 50, 000.00 11, 935.16 45, 000. 00 14, 823. 69 378, 042. 90 699, 801. 75 Bath National Bank, Bath. ARTHUR SEWALL, No. President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds t« secure deposits \J. S. bonds on hand ! Premiums on U. S. bonds j Stocks, securities, etc i Ban k'ghouse,furniture, and fixtures Other real estate and mortg's owned| Due from other national banks i Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items." Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . 494. F. D. H I L L , Cashier. $166,130. 70 I Capital stock paid in $125,000.00 568.05 125, 000. 00 Surplus fund 40,000.00 Undivided profits, less current j expenses and taxes paid 3, 733. 53 National-bank notes outstanding.! 110, 800. 00 j. 37, 500. 00 State-bank notes outstanding 10, 000. 30, 502. 813. 00 94 53 '*3,'684.'66" 15.75 3, 950. 00 3,000. 00 5, 625. 00 Due to other national banks j Due to State banks and bankers.. j. Dividends unpaid Individual deposits ! United States deposits j. DepositsofU.S.disbursingorncers. . 70 220. 00 9, 814. 29 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 386,189. 97 2, 467. Total. 34,154.45 386,189. 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 351 MAINE. Lincoln National Bank, Bath. CHARLES DAVENPORT, President. F. H. Low, Cashier. No. 761. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . - : U. S. bonds to secure deposits U. S. bonds on h a n d | P r e m i u m s on U. S. bonds Stocks, securities, e t c B a n k ' g h o u s e , furniture, andfixtures Other real e s t a t e and m o r t g ' s owned] D u e from o t h e r n a t i o n a l b a n k s j Due from State b a n k s a n d b a n k e r s . Due from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house Bills of o t h e r national b a n k s F r a c t i o n a l c u r r e n c y , nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund w i t h Treas. U. S.I Due from T r e a s u r e r U. S [ $238, 781. 46 478.24 50, 000. 00 9, 937. 50 20, 590. 75 16, 000. 00 5,538.40 26,468.41 257. 85 105. 08 2,100. 00 98.11 9, 696. 70 2,262.00 " 2," 250." 00" Capital stock paid i n . Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 23, 000. 00 7, 500. 88 45, 000.00 332. 50 108,731.12 Notes and bills rediscounted Bills payable Liabilities otberthan those above stated 384,564.50 Total . $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 384, 564.50 Total . Marine National Bank, Bath. No. 782. E. C. HYDE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer "U. S $205,060. 08 3, 710.11 100, 000. 00 6,176.00 4, 949. 30 4, 589. 97 12,303.45 198. 96 Surplusfnnd Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1, 095. 00 United States deposits 105.19 Deposits of U.S.disbursingofficers. 15, 683. 00 2,000.00 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 360, 371. 06 Total. H. A. DUNCAN, Cashier. Capital stock paid in. Total . $100, 000.00 25,000.00 14, 064. 67 89, 310. 00 75.00 131, 921. 39 360, 371.06 Belfast National Bank, Belfast. J . G. BROOKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. W. WESTCOTT, Cashier. No. 840. $298, 604.16 Capital stock paid in. $150,000.00 694. 66 50,000.00 Surplus fund 33, 000. 00 Undivided profits, less current expenses and taxes paid 30,999. 24 National-bank notes outstanding. 45, 000. 00 56, 837. 57 State-bank notes outstanding..... 15, 000.00 6, 714.00 Due to other national banks 266. 47 318.34 Due to State banks and bankers.. 32,492.14 33, 831. 85 Dividends unpaid 1,060.00 2, 054. 07 Individual deposits 193,027. 67 2, 888. 00 United States deposits 76.52 Deposits of U.S.disbursingofficers 13,479.35 3, 097. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities otherthan those above stated 485, 845. 52 Total . 485, 845.52 352 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE, People's National Bank, Belfast. No. 4806. LEWIS A. KNOWLTON, President. FRANK ^ . WIGGIN, Cashier. Resources. Liabilities. $107,953. 06 j Capital stock paid in Loans and discounts Overdrafts 1,340.71 U. S. bonds to secure circulation... 50,000. 00 !j Surplus fund U. S. bonds to secure deposits .;! Undivided profits, less current U. S. bonds on hand • ! | expenses and taxes paid ; 7, 681. 25 \\ National-bank notes outstanding-! Premiums on XJ. S. bonds 33,122. 67 I State-bank notes outstanding Stocks, securities, etc | 5, 489.00 Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned | Due to other national banks Due from other national banks -i! Due to State banks and bankers. Due from State banks and bankers.' Due from approved reserve agents. j 26,976.90 |! Dividends unpaid.. 251.20 i Cbecksand other cash items I Exchanges for clearinghouse !• I Individual deposits 1, 980. 00 j! United States deposits Bills of othernational banks. Fractional curreney, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total | 15.25 I Deposits of U.S.disbursing officers. 5, 550. 00 6, 000. 00 I Notes and bills rediscounted 1 i! Bills payable 2, 250. 00 330. 00 Liabilities other than those above stated 248,940.94 | Total. $50,000. 00 2,500.00 2, 802. 00 44, 997.50 148, 641. 44 248, 940. 94 First National Bank, Biddeford. No. 1089. E. H. BANKS, President. Loans and discounts ! Overdrafts -I U.S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds Stocks, securities, etc \ Bank'gho%use, furniture, andfixture* Otherrealestate and mortg's owned Due from othernational banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U.S.! Due from Treasurer U. S , Total. CHAS. A. MOODY, Cashier. $214,885.76 j Capital scock paid in. 20.30 100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. 8, 815. 00 State-bank notes outstanding... $100, 000.00 Due to other national banks Due to State banks and bankers.. 58,774. 88 I Dividends unpaid 835. 45 Individual deposits 1,162. 00 ! United States deposits 24.15 : Deposits of U.S.disbursing officers. 19,540.88 1, 714.58 50,000.00 5,815.96 90,000.00 60.00 142, 354.48 12,039.20 5,000.00 Notes and bills rediscounted. | Bills payable 4,500.00 .|! Liabilities other than those above j stated i. 407,771.32 I Total. 407,771.32 Biddeford National Bank, Biddeford. R. JORDAN, President. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation...' U.S.bonds to secure deposits j U. S. bonds on hand j Premiums on U. S bonds j Stocks, securities, etc ! Bank'gnouse,furniture,andfixtures! Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes tJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1575. $210,583. 56 542.81 50, 000.00 C. E. GOODWIN, Cashier. Capital stock paid in. Surplus fund i Undivided profits, less current $150,000.00 37,000.00 expenses and taxes paid 5,500.00 ! National-bank notes outstanding. 24,300.00 i ! State-bank notes outstanding 16,112. 73 45, 000. 00 Due to other national banks Due to State banks and bankers.. 16, 749. 59 Dividends unpaid 13,501.82 I Individual deposits 1,094.00 6.47 ; United States deposits 5, 708. 50 Deposits ofU.S.disbursing officers. 66.063.00 7, 724. 87 2,446. 70 1, 500. 00 2, 250. 00 328,406.50 728.95 Notes and bills rediscounted. Bills payable Liabilities other than those above | stated Total. 328,406.50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 353 MAINE. First National Bank, Brunswick. N. T. PALMER, No. 192. President. J. P. WINCHKLL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $60,304. 63 50, 000. 00 123, 686. 70 1, 000. 00 852. 04 7,488.05 68.41 10, 241. 00 267. 85 3, 808. 90 1,100. 00 Capital stock paid in 50, 000.00 Due to other national banks Due to State banks and bankers.. 3, 686. 25 2, 769.98 Dividends unpaid 36, 261. 62 45,000.00 818. 00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable 57, 531. 73 15,000.00 2, 250. 00 Liabilities other than those above stated 261,067. 58 Total $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 261, 067. 58 Pejepscot National Bank, Brunswick. No. 1315. JOHN BISHOP, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $35, 388. 54 L. H. STOVER, Cashier. Capital stock paid in. $50, 000. 00 50, 666. 66" Surplus fund Undivided profits, less current expenses and taxes paid. 4, 000.00 National-bank notes outstanding . 25,400. 00 State-bank notes outstanding 10, 000.00 1,425. 48 43,900. 00 4, 200. 00 2,154.57 5,166.19 804. 75 940. 00 70.70 2,016. 00 Due to other national banks , Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 3,600. 00 147.00 23,318. 27 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total . 132, 390.75 132, 390. 75 Union National Bank, Brunswick. H. A. RANDALL, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due»from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of d e p o r t Redemption fund with Treas. U. S. j Due from Treasurer U. S i Total. No. 1118. $55,"942. 30 50, 000. 00 22, 000.00 4, 400. 00 26, 823.65 26, 111. 64 4, 425. 65 "*3,"845."o6" 29.16 5, 935. 00 1,000. 00 2, 250. 00 202, 762. 40 J". "W. FISHER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers.. Dividends unpaid• Individual deposits j United States deposits Depositsof U.S.disbursing officers. $50,000.00 10, 000.00 13, 387. 79 44, 997. 50 263. 05 746. 00 83, 368. 06 Notes and bills rediscounted. Bills payable Liabilities other than those above i stated I. Total . 202, 762. 40 354 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Bucksport National Bank, Bucksport. EDWARD SWAZEY, President. No. 1079. JOHN N . SWAZEY, Cashier. Liabilities. Resources, Loans and discounts Overdrafts U. S. bonds to secure circulation.,. U. S. bonds to secure deposits . . . . . . i U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers, j Due from approved reserve agents.I Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $111,243.98 926. 41 50. 000. 00 1,100. 00 30. 00 8,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 9, 520. 54 Dividends unpaid 1, 380. 24 Individual deposits 7, 392. 00 United States deposits 71.41 DepositsofU.S.disbursingofncers. 15,441.75 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 10, 000.00 26, 714. 27 40, 890. 00 666.05 208, 022. 38 Total. $50, 000. 00 Capital stock paid in I 76.00 80,342.11 Total . 208, 022. 38 Calais National Bank, Calais. No. 1425. L. G. DOWNES, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on band | Premiums on U. S. bonds I Stocks, securities, etc Bank'gbouse, furniture, and fixturesj Other real estate and wortg's owned. Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes .......... U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in ~ ~ . . . . . . ! $100, 000.00 ""25,OOO."oo" Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 241.49 1, 300. 00 24, 500. 00 2, 1, 27, 1, 240. 00 462. 79 307. 47 248.18 1, 600.00 54.39 15, 735, 50 5, 234. 00 "i" 125." 66' 6, 771. 07 22, 500. 00 2, 942. 20 Individual deposits United States deposits j. DepositsofU.S.disbursingoffieers-j. 94.72 148, 032. 70 I Notes and bills rediscounted Bills payable [. j. Liabilities other than those above I stated i. 341,582,18 Total 341,582.18 Total. FRANK NELSON, Cashier. $234,774.85 Camden National Bank, Camden. H. L. ALDEN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U, S Total . No. 2311. $96, 588. 79 99. 96 50, 000.00 7, 035. 00 4, 500. 00 J. F . STETSON, Cashier. I Capitalstockpaidin. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 10, 000. 00 32,472.76 43, 300.00 Due to other national banks 17, 873.85 29. 204. 94 2, 347.49 2, Oil. 66 5.03 12,403. 00 2, 250. 00 224,319.06 Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits | DepositsofU.S.disbursingofficersNotes and bills rediscounted... Bills payable Liabilities other than those above j stated i Total . 108,116. 30 224,319.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 355 MAINE. First National Bank, Damariscotta. E. Ross, President. No. 446. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. JOEL P. HUSTON, Cashier. Liabilities. I $72,548.59 j Capital stock paid in. $50,000. 00 ""i2," 500." obi Surplus fund Undivided profits, less current expenses and taxes paid 1 400. 00 National-bank notes outstanding14,214.00 i State-bank notes outstanding 3, 000. 00 ; 2,100. 00 Due to other national banks Due to State banks and bankers.. 14,353.79 Dividends unpaid Individual deposits 290. 00 United States deposits 90.99 Depositsof U.S.disbursingofficers. 5,340. 50 100.00 Notes and bills rediscounted . Bills payable 562.50 Liabilities other than those above stated C, 940.10 11, 250. 00 210. 00 59, 015. 27 126,500.37 Total . 126, 500. 37 2,085. 00 First National Bank, Dexter. No. 2259. C. W. CURTIS, President. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes.. U. S. certificates of deposit Redemption fund with Treas. U.S.. Due from Treasurer U. S Total. $187, 843.22 CHARLES M. SAWYER, Cashier. Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 20, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 398. 65 15, 476.27 Individual deposits 2,355.00 I United States deposits 138.72 I Deposits of U.S.disbursing officers 6,924.85 i 419. 00 | Notes and bills rediscounted . Billspayable 1, 125. 00 Liabilities other than those above stated 73, 600.98 25, 000. 00 19,855.95 21, 650.00 1, 000. 00 4, 550. 00 5, 576. 26 18,106. 63 63.17 Total. 253,101. 85 120.00 253,101.85 Kineo National Bank, Dover. E. A. THOMPSON, President. Leans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house,furniture, and fixtures; Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit •Redemption fund with Treas.U. S. Due from Treasurer U, S Total. No. 3690. 5156, 992.58 574.47 12, 500.00 2, 765. 99 20, 775. 71 2, 249. 74 2,100. 00 134. 39 10, 718. 50 1,000.00 562 50 210, 373. 88 C. B. EITTREDGE, Cashier. _____ Capital stock paid in. 10, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding j 7,872.93 11, 250.00 Due to other national banks Due to State banks and bankers.. 12, 746.15 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers 52.50 118, 452. 30 Notes and bills rediscounted. Billspayable Liabilities otherthan those above stated Total. 210, 373.88 356 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAOE. Frontier National Bank, Eastport. No. 1495. E. E. SHEAD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds.; Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estai eand mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie \ Legal-tender notes X S. certificates of deposit J Redemption fund with Treas. TJ. S. Due from Treasurer U, S Total. $153,450.04 GEORGE H. HAYES, Cashier. Liabilities. Capital stock paid in. $75, 000. 00 43," 666." 00' Surplus fund Undivided profits, less current expenses and taxes paid , National-bank notes outstanding. 38, 500. 00 State-bank notes outstanding 6, 500. 00 Due to other national banks Due to State banks and bankers.. 96, 530. 23 8, 630. 00 23. 50 5, 250. 00 16, 000. 00 1,935.00 I 369, 818. 77 30, 000. 00 13,-687.43 38, 700. 00 4,012.55 6, 222. 38 Dividends unpaid 806. 00 Individual deposits United Stat es deposits DepositsofU.S.disbursmgofricers.j 201, 390. 41 Notes and bills rediscounted. BiJls payable Liabilities other than those above | stated Total. | 369,818.77 First National Bank of Bar Harbor, Eden. CHARLES C. BUERILL, President. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate* and mortg's owned Duefrom other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3941. OLIVER C. GOULD, Cashier. Capital stock paid in. $50, 000. 00 $99, 870. 58 728.09 12, 500.00 1,500.00 17, 482. 63 2, 500. 00 """232." 66' 23, 078. 48 2, 674. 42 "2," 486. 66 319. 70 7, 996. 05 691.00 562. 50 300.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 616. 92 Individual deposits United States deposits Deposits of II. S.disbursingofBcers. 103,198. 65 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 172, 921. 54 Total. 1, 200.00 4, 655. 97 11, 250. 00 Total. 172, 921. 54 First National Bank, Ellsworth. A. P. WISWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse, furniture, andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checksand other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3814. •$204,630 91 736. 92 50,000. 00 5, 796. 87 100, 777. 71 HENRY W. CUSHMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 4, 096. 60 42,950. 00 7,000.00 808.00 52, 286. 85 1,149. 90 630.'66' 48.25 17, 085.40 2, 228. 00 2, 250. 00 445,428.81 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 507. 09 18, 643.43 Individual deposits U nited States deposits Deposits of U.S.disbursing officers. 316,199. 69 32.00 ISotes and bills rediscounted. Bills payable LiabiJities other than those above stated Total. 445, 428.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 357 MAINE. Burrill National Bank, Ellsworth. CHARLES C. BURRILL, President. No. 3804. J A S . E. PARSONS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Ban k 'g house, furniture, andfi x tures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks i Fractional currency, nickels, cents.] Specie '. Legal-tender notes U. S. certificates of deposit _... Redemption fund with Treas. U. S.j Due from Treasurer U. S $156, 736. 98 Capital stock paid in. 12, 500. 00 Due to other national banks Due to State banks and bankers.. 29,407.96 I Dividends unpaid 440.47 I Individual deposits 400.00 ij United States deposits 223.03 DepositsofU .S. disbursingofficers. j 24,729.35 ! 8,200.00 |j Notes and bills rediscounted i h Bills payable j 562. 50 Liabilities other than those above stated 14, 222.49 5,146. 38 1, 500.00 1,850.00 5, 267. 85 1, 472.20 243, 290. 34 Total . $50,000. 00 Surplus fund ! Undivided profits, less current j expenses and taxes paid : National-bank notes outstanding, j State-bank notes outstanding \ "* 12,500. 00 2, 019. 96 11,250.00 45.50 144,006. 01 2,100. 00 2, 000.00 243, 290. 34 Total . National Bank, Fairfield. No. 4973. C. G-. TOTMAIJ, President. Loans and discounts . Overdrafts U. S. bonds to secure circulation.. IJ. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andmortg's owned. \ Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . $81, 341. 54 672. 66 25, 000.00 3,500.00 W. W. MERRILL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6,000.00 1, 701.47 5,457.82 1, 055.00 3, 535.00 4.14 5, 766. 50 500. 00 1,125. 00 135, 659.13 j $50,000.00 260.00 1,161. 05 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 90.50 12, 842. 24 Individual deposits United States deposits Deposits of U.S. disbursing officers. 44, 790. 34 Notes and bills rediscounted Bills payable 15.00 4, 000. 00 Liabilities other than those above stated Total . 135, 659.13 First National Bank, Farmington. J . C. HOLMAN, President Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 4)ue from Treasurer U. S Total. J . H. THOMPSON, Cashier. No. 4459. $96,870. 24 Capital stock paid i n . $50,000.00 52.16 17,500.00 Surplus fund 1,500. 00 Undivided profits, less current 2, 332. 33 expenses and taxes paid 2, 375. 00 National-bank notes outstanding. 15, 350. 00 43, 200. 00 State-bank notes outstanding 2,145.00 966. 69 Due to other national banks 1, 574, 38 16, 929. 30 Due to State banks and bankers.. 9,122. 04 Dividends unpaid 168.19 Individual deposits | 127, 770. C 140. 00 United States deposits |. 13.07 Deposits of U.S.disbursingofficers. I, 6,891. 50 3,300. 00 Notes and bills rediscounted. Bills payable 787. 50 Liabilities other than those above stated 199, 494.00 Total. 199,494.00 358 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE . Fort Fairfield National Bank, Fort Fairfield. J . F . HACKER, President. No. 4781. H. B. KILBURN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $142,365. 32 162. 74 12, 500. 00 Surplus fund Undivided profits, less current ! expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 15, 000.00 4,716.16 11, 250. 00 2, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 11,778.50 22.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 696.00 265.23 6, 564.45 2, 000.00 Notes and bills rediscounted Bills payable 562.50 68,450.58 30,000.00 Liabilities other than those above I stated I Total . 179,416.74 Total. $50, 000.00 Capital stock paid in. 179,416.74 Gardiner National Bank, Gardiner. No. 1174. I . J . CARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S $135, 836, 35 21.14 12,500.00 $50, oooToo Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,125. 00 4,750.00 8, 396. 25 Due to other national banks 20, 000. 00 969. 43 11,250. G O 5,406. 62 j Due to State banks and bankers.. 4, 876. 21 37.00 | Dividends unpaid 906.00 liI 275.47 !! 7, 526. 25 7, 461. 00 " 5 6 2 . 50' • Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted j. Bills payable | Liabilities other than those above stated Total. 184, 273.17 Total. ALVAN C. HARLOW, Cashier. Capital stock paid in 127.50 86, 519. 62 10, 000.00 184,273.17 Merchants' National Bank, Gardiner. DAVID DENNIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc J Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3219. $181,161. 43 60.64 25, 000. 00 HENRY FARRINGTON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 750.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 380.51 Individual deposits United States deposits Deposits of U .S.disbursing officers. 82,834.11 Notes and bills rediscounted Bills pa3'able Liabilities other than those above stated 4,000. 00 6,000.00 4, 574. 41 21, 900. 00 3,500.00 107.56 I 11, 590. 88 624. 56 810. 00 82.26 550. 70 7, 838. 00 1,125.00 232,451.03 Total. 12.00 23L,451. 03 &EPORT OF THE COMPTROLLER OF THE CURRENCY. 359 MAINE. Oakland National Bank, Gardiner, JOSHUA GRAY, President No. 740. NATHANIEL C.BARSTOW, Cashier. Eesources. Liabilities. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents^ Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. U. S. Due from. Treasurer U, S $96,799.31 277.21 12, 500. 00 1, 000.00 5, 048. 78 9, 700. 00 2.94 10, 490. 57 308.26 | Capital stock paid in. 10, 000.00 23,156.16 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 346. 00 Individual deposits 220.00 i| United States deposits 56.61 i| Deposits of U.S.disbursing officers 781.05 jj 4,190.00 ! Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 141,937.23 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 46, 735.07 450.00 141,937.23 Total. First National Bank, Guilford. HENRY HUDSON, President. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and morcg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4780. $113, 025. 52 258. 46 12, 500.00 1,250.00 "i,"787~37" 447.21 2,147. 32 19,165. 54 265.30 H. W. DAVIS, Cashier. I Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 4, 000.00 2,221,43 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 45.00 Individual deposits 75." 66" United States deposits • 23.69 Deposits of U .S.disbursing officers. 5,182. 30 838. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 157,528.27 3, 204.86 157,528.27 Total. Hallowell National Bank, Hallowell. JOHN GRAVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S, bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S. Total. No. 3247. W. H. PERRY, Cashier. $107,063.23 j Capital stock paid in. 40.55 j 12,500.00 i Surplus fundUndivided profits, less current expenses and taxes paid 140.62 National-bank notes outstanding. 1. 649. 78 State-bank notes outstanding 2, 707. 89 Due to other national banks Due to State banks and bankers. 24,160. 61 Dividends unpaid 171.01 Individ ual deposits 1,574.00 United States'deposits 14.98 Deposits of U .S.disbursing officers. 4, 767.50 1,600.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 156, 952.67 Total. 15,000. 00 7,846.73 11, 250.00 2, 685.77 140.00 70, 030.17 ' 156,952.67 360 REPORT OF THE COMPTROLLER OF THE CURRENCY. Northern National Bank, Hallowell. No. 532. J. H. LEIGH, President. GEO. A. SAFFORD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts XL S. bonds to secure circulation... II. S. bonds to secure deposits... XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $142,910.11 ! Capital stock paid in I 126.89 I 100,000.00 Surplus fund Undivided profits, less current } expenses and taxes paid ! National-bank notes outstanding. State bank notes outstanding 2,435. 51 Due to other national banks '"2*273"94" Due to State banks and bankers.. 21, 014. 55 Dividends unpaid 2, 206. 90 Individual deposits 545.00 United States deposits 111.50 Deposits of U.S.disbursingofficers. 5, 866.00 193. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 282,183. 40 Total. Total . $100, 000.00 25, 000.00 2,034.47 90, 000. 00 1,307.67 5, 772.87 81.50 57, 986. 89 282,183. 40 First National Bank, Houlton. WALTER MANSUR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits TJ. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2749. $141,983.28 227. 37 20, 000. 00 WILLIAM C. DONNELL, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 300. 00 i National-bank notes outstanding. 1, 000.00 State-bank notes outstanding 1,450.00 Due to other national banks Due to State banks and bankers. 13,788.87 2,189.54 1, 930. 00 99.95 15, 275.00 900. 00 25, 000. 00 18.153. 39 16, 900. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 81, 590. 62 Notes and bills rediscounted Bills payable. Liabilities other than those above stated 8, 500. 00 Total . 200,144.01 200,144.01 Farmers' National Bank, Houlton. LEWIS B. JOHNSON, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... XT. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousejfurniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4252. $141,805.78 85.31 12, 500. 00 6, 000. 00 GEO. A. GTORHAM, Cashier. Capital stock paid in I $50, 000.00 Surplus fund | Undivided profits, less current 1 expenses and taxes paid !! National-banknotes outstanding. !| State-bank notes outstanding 10, 000. 00 ' ( Due to other national banks Due to State banks and bankers. . 4,153. 76 11,250.00 737. 85 Dividends unpaid 314. 56 872.00 25.04 6, 540. 25 3, 000. 00 562.50 171, 705.44 Individual deposits '.. \ United States deposits Deposits of U.S. disbursing officers.!. Notes and bills rediscounted. Bills payable 85, 563.83 10,000. 00 Liabilities other than those above stated Total . 171,705.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 361 MAINE, Ocean National Bank, Kennebunk. No. 1254. E. W. LORD, President. CHAS. R. LITTLEFIELD, Cashier. Eesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on D. S. bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. i Checks and other cash items i Exchanges for clearing house I Bills of other national banks | Fractional currency, nickels, cents-! Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $83, 916. 29 25, 000. 00 32, 894. 94 3,500.00 11,992.00 4, 922. 37 35, 980. 09 1,012.42 Capital stock paid in. 75,000. 00 Surplus fund , Undivided profits, less current expenses and ta . paid. National-bank notes outstanding. State-bank notes outstanding 2. 338. 26 22, 500. 00 7, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 324. 98 Individual deposits United States deposits Dex>osits of U.S. disbursing officers. 111,728.35 " 9 " 135.00 ' 124. 63 G, 796. 35 5,000.00 Notes and bills rediscounted. Bills pay able 1,125. 00 Liabilities other than those above stated Total . 221, 405. 09 13.50 221, 405. 09 First National Bank, Lewiston. Y. SCRUTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State bants and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 330. $859, 523. 71 226. 01 400, 000. 00 ALBERT L. TEMPLETON, Cashier,. Capital stock paid in. $400, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 476. 36 10. 000. 00 12, 913. 20 Due to other national banks Due to State banks and bankers.. 33, 015. 35 Dividends unpaid 178. 95 2,512.57 Individual deposits 6, 720. 00 United States deposits 126. 20 Deposits of U.S.disbursing officers. 33, 218. 50 8, 500. 00 Notes and bills rediscoun ted. Bills payable 18, 000. 00 Liabilities other than those above stated Total. 1, 389, 410. 85 200, 000. 00 38, 670. 95 354, 380. 00 4, 082.13 805.00 371, 472. 77 20, 000.00 1, 389, 410. 85 Manufacturers' National Bank, Lewiston. J. M. ROBBINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total. No. 2260. $413 118.45 280. 81 50, 000. 00 5, 700. 5, 700. 22, 000. 12, 000. 00 00 00 00 ADDISON SMALL, Cashier. Capital stock paid in. 40, 000. 00 Due to other national banks Due to State banks and bankers.. 13,853.43 14, 828. 40 Dividends unpaid 4, 567.64 927. 00 312. 44 14, 856. 00 2, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2. 250. 00 $2oo,Wo7oo Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Notes and bills rediscounted Bills payable 6, 296.18 45, 000. 00 186. 50 228,204. 63 15,000.00 Liabilities other than those above stated 548, 540. 74 Total. 548, 540. 74 362 REPORT OF THE COMFTKOJLL.EK OF THE CURRENCY. MAINE. Limerick National Bank, Limerick. No. 2785. J . M. MASON, President CHARLES G-. MOULTON, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts | U. S. bonds to secure circulation... j U.S. bonds to secure deposits ! U.S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S Total. $353, 249. 68 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 48," 237.14 ! State-bank notes outstanding 50, 000.00 12, 500. 00 Due to other national banks Due to State banks and bankers., 29,373,87 ! Dividends unpaid. 111.50 ! Individual deposits. 50.00 United States deposits 43. 51 Deposits of U.S.disbursing officers. 18, 661. 80 5, 405.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 5, 231. 69 10, 950. 00 1, 828. 57 Total. 470,023.57 j 32.85 102. 00 343, 707. 03 10, 000.00 470, 023. 57 First National Bank, Madison. No. 4647. OMAR CLARK, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit, Redemption fund with Treas. U. S. Due from Treasurer U. S 4, ooo. 66 10,117. 03 $75, 000. 00 5, 000.00 2, 430. 83 16, 240. 00 Due to other national banks. Due to State banks and bankers. 16, 396. 72 ! Dividends unpaid 64.42 Individual deposits 266.66 United States deposits 8.75 Deposits of U. S.disbursing officers. 4, 396. 50 4, 965. 00 Notes and bills rediscounted.. Bills payable 843. 50 Liabilities other than those above stated 224,981.20 Total. M. A . HEWETT, Cashier. $163,112.28 i Capital stock paid in I 18,750*00 Surplus fund | Undivided profits, less current ; expenses and taxes paid |j National-bank notes outstanding. 2,127. 00 ;! State-bank notes outstanding. Total. 126, 310. 37 224, 981. 20 New Castle National Bank, New Castle. T . C. K E N N E D Y , President. L o a n s a n d discounts Overdrafts U . S. bonds t o secure c i r c u l a t i o n . . . U . S. bonds t o secure deposits U . S. b o n d s o n h a n d P r e m i u m s on U . S. bonds Stocks, securities, e t c . Bank'ghouse,furniture,and fixtures O t h e r real e s t a t e a n d m o r t g ' s owned D u e from other national b a n k s D u e from State b a n k s a n d b a n k e r s . D u e from a p p r o v e d reserve a g e n t s . C h e c k s a n d other c a s h i t e m s E x c h a n g e s for clearing h o u s e . Bills of other national b a n k s . . F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 953. D . W. CHAPMAN, $58, 915. 80 Capital stock paid in. * 32," 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 697. 50 20,000.00 1, 725. 00 30, 043.47 97.00 200. 00 .30 5, 333. 32 920.00 270. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Cashier. $50, 000.00 20,000. 00 4, 410. 66 28, 800. 00 133.00 46,858.73' Notes and bills rediscounted Bills payable Liabilities other than those above stated 150, 202. 39 Total. 150,202.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 363 MAINE. North Berwick National Bank, North Berwick. !F. 0. SNOW, President No. 1523. C. W. GREENLEAF, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Otherreal estate andmortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks i Fractional currency, nickels, cents. \ Specie | Legal-tender notes \ TJ. S. certificates of deposit | Redemption .fund with Treas. U. S. I Due from Treasurer U. S ! Liabilities. $70, 507. 93 519. 03 20, 000. 00 Capital stock paid in. 10, 000. 00 3, 416.64 18,000. 00 2, 400. 00 6, 005. 92 448.11 314.00 2.99 4, 072.50 Due to other national banks Due to State banks and bankers..! Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 429.06 23, 324. 78 | Notes and bills rediseounted. | Bills payable 900. 00 Liabilities other than those above stated , 105,170. 48 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 105,170. 48 Norway National Bank, Norway. C. N. TUBBS, President. Loans and discounts i Overdrafts j U. S. bonds to secure circulation... | U. S. bonds to secure deposits | U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit , Redemption fund with Treas. TJ. S J Due from Treasurer U. S Total. No. 1956. $192, 419. 83 Capital stock paid in. H. D. SMITH, Cashier | 25, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,900.00 il National-bank notes outstanding. 940.00 1 State-bank notes outstanding..... 1 4,150.00 | Due toother national banks 9,199. 98 200. 26 j Due to State banks and bankers.. 5, 778. 09 ; Dividends unpaid 2,146. 31 1, 055. 181. 7, 070. 2, 912. 00 73 00 00 1,125. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 255, 078. 20 $100,000.00 20, 000.00 5,109. 64 21, 770. 00 937. 09 339. 00 102, 640. 35 4, 282.12 255, 078.20 Messalonskee National Bank, Oakland. A. J. LIBBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2231. J. E. HARRIS, Cashier. $116,390.58 j Capital stock paid in. "'"2o,"66o."oo"i Surplus fund Undivided profits, less current expenses and taxes paid 2, 000. 00 National-bank notes outstanding. 100. 00 State-bank notes outstanding $75,000.00 13, 500. 00 1,836. 91 18, 000. 00 1,275.00 10, 679. 36 123. 04 1,000.00 93.34 624. 00 2,998. 00 900. 00 156,183.32 Due to other national banks ;. Due to State banks and bankers.. j Dividends unpaid Individual deposits United States deposits Deposits ofU. S.disbursing officers. Notes and bills rediscounted. Bills payable 82.26 40, 764.15 7, 000. 00 Liabilities other than those above stated Total . 156,183. 32 364 REPORT OF THE COMPTROLLER OF THE CURRENCY MAINE. Phillips National Bank, Phillips. No. 4957. N. B. BEAL, President. H. H. FIELD, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... ! XJ. S. bonds to secure deposits XJ. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie \ Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XJ. S $71,103.12 I $50, 000. 00 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid •. .. 3, 078.13 National-bank notes outstanding.! 6,444. 00 State-bank notes outstanding ; 4, 256. 51 Due to other national banks Due to State banks and bankers. 30, 708. 85 Dividends unpaid 4, 094. 54 Individual deposits 205. 00 United States deposits .36 Deposits of U.S.disbursing officers. 5, 246. 85 1, 800. 00 Notes and bills rediscounted i Bills payable 1,125.00 I Liabilities other than those above Capital stock paid in. 3, 500. 00 77,178.11 stated 153, 062.36 Total. 1,214.25 21,170. 00 153, 062. 36 Total. Pittsfield National Bank, Pittsfield. No. 4188. A. P. McMASTER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total - W. L. PUSHOR, Cashier. $162,174.28 !l Capital stock paid in. 336.05 ij 12,500.00 \\ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 20, 500. 00 State-bank notes outstanding 350.00 Due to other national banks Due to State banks and bankers.. 1,065.44 I Dividends unpaid. 237.54 | . ! Individual de 3,390. 00 United States deposits 114.75 Deposits of U. S .disbursing officers 8,466.15 2,066.00 i Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 212,804. 53 Total. $50,000. 00 9, 500. 00 7,310.88 11, 250. 00 134, 668. 65 75.00 212, 804. 53 First National Bank, Portland. FREDERIC ROBIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Mils of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XT. S Total. No. 221. $1, 591,785. i 55. i 50, 000. ( 5, 000. 36, 259. 160, 000. 281,919. 11,178. 218, 450. 1,099. 21, 303. 16,123. 142. 78, 560. 10, 000. 2, 250. 00 2, 484,128.40 JAMES E. WENUREN, Cashier. Capital stock paid in $1,000, 000.00 Surplus fund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 175, 000. 00 Due to other national banks Due to State banks and bankers.. 208, 726. 52 47, 847.63 Dividends unpaid Individual deposits United States deposits. Deposits of U. S.disbursing officers. 30,420. 20 45, 000. 00 504.99 976, 629.06 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 2, 484, 128.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 365 MAINE • Canal National Bank, Portland. W. W. THOMAS, President. No. 941. G. C. PETERS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estateand mort.g's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S -| Total. Capital stock paid in. 4, 000. 00 16,213.73 5,000. 00 67, 200. 70 4, 670. 72 205, 430. 54 1, 569.15 7, 942. 84 3, 615. 00 620. 70 51,612.75 8, 428. 00 "'2,"25(h6o' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks, Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. $600, 000. 00 120, 000. 00 200, 031. 99 45, 000. 00 77, 988. 75 380. 00 535,951.20 Notes and bills rediscounted Bills payable Liabilities other than those above 1,579,351.94 stated Total 1,579, 351. 94 Casco National Bank, Portland. S. R . SMALL, No. 1060. President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $1, 326, 921. 04 464.47 550,000.00 79, 233. 50 269, 828. 91 45, 000. 00 171,005.40 47,908.17 358,341.65 1,241.00 18,711.58 3,770. 00 742. 89 60, 702. 25 3, 240. 00 24, 750. 00 1,000.00 MARSHALL R. GODING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills redisconnted. Bills payable $800, 000.00 200, 000.00 39, 946. 01 488, 380. 00 96,121, 52 99, 001. 56 5, 331.10 987.195.13 246, 885. 54 Liabilities other than those above stated 2,962,860.86 I Total . 2, 962, 860.86 Chapman National Bank, Portland. C. 0. CHAPMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other rational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4868. $401, 607. 61 22. 02 50, 000. 00 5, 906. 25 17, 720. 00 841. 88 CHESTER H. PEASE, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . " . Due to other national banks "'24,'869." 29* Due to State banks and b a n k e r s . . 5. 914. 44 18, 470. 09 Dividends unpaid 6.25 2,135.34 Individual deposits 2, 030. 00 I United States deposits 1.51 j Deposits of U.S. disbursing officers 1 13, 876. 90 12, 399.00 Notes and bills rediscounted Bills payable 2,250.00 I Liabilities other than those above 558, §50.58 stated Total. $100, 000. 00 6, 000.00 5,301.00 45,000.00 22, 893. 50 4,423.72 9.00 374, 423. 36 558, 050. 58 366 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Cumberland National Bank, Portland. W M . H. MOULTON, President. No. 1511. WILLIAM H. SOULE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation-.. tJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixturesj Other real estate andmortg'sowned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. IT. S. Duefrom Treasurer XJ. S $373, 075. 72 Capital stock paid in "'50* 000.'00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4,000.00 15, 000. 00 30,601.82 351.-06 51, 5flO. 17 6, 609.12 4,341.23 5, 600. 00 122. 27 8,100. 00 17, 605. 00 '"""'i,'250." 66" 1, 000. 00 $250, 000. 00 50,000. 00 21, 678.13 44, 600. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 323.80 Individual deposits United States deposits Depositsof U.S.disbursing officers. 203,644.46 Notes and bills rediscounted Bills payable Liabilities other than those above stated "570724673?" Total. j Total. 570,246 39 Merchants' National Bank, Portland. GEO. S. HUNT, President. No. 1023. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes *. XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $970, 576. 28 16,633.14 150,000.00 60, 000. 00 C. O. BANCROFT, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 7 "066 ."66* National-bank notes outstanding State-bank notes outstanding..... 4, 300. 00 175, 000. 00 64,195. 79 133, 360. 00 20,000. 00 " 14,' 452." 43" 1, 648. 02 53, 927. 22 3, 899. 77 11, 696. 27 7. 882. 00 143.16 39, 960. 00 15, 000. 00 6, 750. 00 6, 573. 62 Duo to other national banks Due to State banks and bankers. Dividends unpaid 382. 50 Individual deposits United States deposits Depositsof U.S.disbursing officers. 528,259. 54 4, 881. 69 37,715.15 Notes and bills rediscounted. Bills payable 133, 500.00 Liabilities other than those above stated Total 1,383,868.29 j 1,383,868.29 National Traders' Bank, Portland. W M . G. DAVIS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premium s on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. No. 1451. $464, 566.29 JOHN M. GOULD, Cashier. Capital stock paid in 27, 240. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding J 3,158.53 856. 03 167,859. 91 Due to other national banks Due to State banks and bankers.. Dividends unpaid 50, 000.00 16, 345.44 3,200. 00 108. 03 26, 902. 00 1, 500. 00 2, 250. 00 1,000.00 774, 986.23 Individual deposits United States deposits Depositsof U.S. disbursingofficers. | $300, 000.00 60, 000. 00 27,186.46 44,420. 00 50.00 232.50 343, 097.27 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 774, 986. 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 367 MAIWE . Portland National Bank, Portland. F R E D . E. RICHARDS, President. No. 4128. CHARLES G. ALLEN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie . * Legal-tender notes IT. "S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $1, 060,789. 71 14.08 150, 000, 00 31, 000. 00 210,829.21 1, 000. 00 61,525.12 7, 938.44 146, 320.10 10,168.25 19, 600. 37 9, 880. 00 48.02 34,011.20 40, 300. 00 6, 750. 00 Capital stock paid in. 17, 000. 00 32, 627.16 133, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 46, 908. 31 153, 227.06 Individual deposits United States deposits DepositsofU. S. disbursing officers. 1,107,134.97 27.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1, 790,174. 50 Total. $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,790,174.50 Total. Presque Isle National Bank, Presque Isle. C. P . DAGGETT, President. No. 3827. Loans and discounts Overdrafts * U. S.bonds to secure circulation... TJ. S. bonds to secure deposits! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc I Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie „ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $154,364.94 794.45 12, 500.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding " $50, 000.00 15, 000.00 5, 414. 73 10,750.00 5,500.00 4, 035. 81 1,196. 26 3, 290.00 40.38 12, 863. 60 2, 000. 00 562. 50 197,147,94 Total. A. H. JENKS, Cashier. Capital stock paid in. Due to other national banks Due to State banks and bankers.. Dividends unpaid 5,000.00 Individual deposits United States deposits Depositsof U.S disbursing officers 93, 967. 21 Notes and bills rediscounted Bills payable Liabilities other than those above stated 12, 000. 00 5,000. 00 Total. 16.00 197,147. 94 First National Bank, Richmond. C. H. T. J. SOUTHARD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds tc secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U.S Total. J . M. ODIOBNE, Cashier. No. 662. $51,306.52 ; Capital stock paid in. $50, 000.00 89.46 i 50,000.00 I Surplus fund 10, 000.00 Undivided profits, less current expenses and taxes paid 1, 860. 99 4, 400. 00 National-bank notes outstanding. 39, 200. 00 5,900.00 State-banknotes outstanding200. 00 Due to other national banks Due to State banks and bankers.. 41, 975. 60 126.00 910.00 33.08 3, 012.50 1, 000. 00 1, 550. 00 160, 503.16 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers. 6.00 59,436.17 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 160, 503.16 368 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE . Richmond National Bank, Richmond. GEO.H. THEOBALD, President. No. 909. W. H. STUART, Cashier. Liabilities. Loans and discounts. Overdrafts U. IS. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fumiture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalTjanks Fractional currency, nickels, cents. Specie *• Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S- $77, 363.91 30, 000. 00 3, 375. 00 47, 620. 00 Capital stock paid in. 3, 000. 00 5,185. 3fi 25. 220. 00 1,000.00 3,275.37 36, 835. 45 328.25 1,877. 00 15.75 2,910. 00 3,000. 00 1,350. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,141. 20 Individual deposits United States deposits Deposits of U. S. disbursing officers. 76,150.67 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 208, 945. 73 Total. $96, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,948.50 208,945. 73 Lime Rock National Bank, Rockland. G. W. BERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills B of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S T. H. MCLAIN, Cashier. No. 2097. $133,695.90 j Capital stock paid in. $105, 000.00 398.82 I 40, 000. 00 i Surplus fund 15, 650.00 Undivided profits, less current expenses and taxes paid 1.788.46 1,500.00 National-bank notes outstanding35,500.004,000. 00 State-bank notes outstanding 1,000. 00 2, 658. 74 Due to other national banks 147. 63 Due to State banks and bankers.. 38, 095. 09 793.40 1, 000. 00 47. 98 6,110.54 2, 829. 00 1, 800. 00 Dividends unpaid- 69 812. 60 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 231, 270.73 Total. 71^.30 Individual deposits „ United States deposits ,. Deposits ofU.S.disbursing officers Total. 231, 270,73 North National Bank, Rockland. S. M. BIRD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U, S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fraction HI currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2371. $170,240.11 9.13 25, 000.00 27, 000. 00 1,000.00 FRED R. SPEAR, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers,. 68, 360. 74 1, 504. 08 2,117. 00 27.58 7, 052.10 13, 352.00 1,125. 00 316,787.74 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers $100,000. 00 20,000.00 20,943.10 22,500 00 380. 54 228,00 152, 736.10 Notes and bills rediscounted. Bills payable „ Liabilities other than those above stated Total. 316, 787. 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 369 MAINE. Rockland National Bank, Rockland. JOHN S. CASE, President No. 1446. Resources. G. HOWE WIGGIN, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cento. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $344,551. 61 232. 71 50, 000. 00 20, 225. 00 5, 000. 00 22, 806.42 62, 887.13 4,172. 34 3,102.66 130.56 14,880.60 6, 000. 00 2, 250.00 536, 238. 37 Total. Capital stock paid i n . $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 50,000.00 30, 856. 32 43, 860. 00 1, 26.7. 93 1, 550. 83 374. 00 258, 329. 29 536,238. 37 Saco National Bank, Saco. No. 1535. R. JORDAN, President. Loans and discounts Overdrafts U. S. bouds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S " 70," 666.' 6o "I $100,000.00 Surplus fund Undivided profits, lesa current expenses and taxes paid 10, 450.00 National-bank notes outstanding. 30, 838 46 State-bank notes outstanding 8,036. 44 20, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 274. 79 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 60,637.10 14,785, 34 289. 83 3,185. 00 15.07 5,989. 50 2, 300. 00 3,150. 00 400. 00 246, 940. 31 Total. S. S. RICHARDS, Cashier. $97, 500. 67 I Capital stock paid in 4, 723. 96 58, 000.00 304. 46 246,940. 31 York National Bank, Saco. R. F . C. HARTLEY, No. 1528. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis 24 $237, 555. 90 "ioo.'ooo* 66 17,139. 27 7, 500. 00 3, 948. 85 9, 836.86 9, 030.16 1, 960. 00 36.70 9,211.00 10,000. 00 SUMNER 0. PARCHER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 50,000.00 11, 757. 66 88, 800. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10, 944.50 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 149, 216. 58 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 410, 718. 74 Total. . 410, 718.74 370 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE, Searsport National Bank, Searsport. ]S T o. 2 6 4 2 . J. G. PENDLETON, President. CHAS. F . GORDON, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house .furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks i Fractional currency, nickels, cents.) Specie i Legal-tender notes j U . S . certificates of deposit J Redemption fund with Treas U. S.j Due from Treasurer U. S j Total. Liabilities. $102, 883. 36 311. 68 42,000.00 5,162.00 7, 000. 00 1,046.95 36, 263.82 705.86 1,133. 00 2.19 6, 075. 40 400. 00 990, 00 Capital stock paid in. $50,000. 00 Surplus fund Undivided p , profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 25, 000. 00 Due to other national banks Due to State banks and bankers.. 318. 34 Dividends unpaid 12, 972. 51 37, 200. 00 672. 00 Individual deposits United States deposits Deposits of U. S.disbursing office 77,811.41 N otes and bills rediscountod. Bills payable Liabilities other than those above stated 203,974.26 I Total . 203,974. 26 First National Bank, Skowhegan. JAMES B. DASCOMB, President. Loans and discounts Overdrafts... U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures' Otherreal estate and mortg's owned; Due from other national banks ; Due from State banks and bankers.! *Due from approved reserve agents. iChecksand other cash items ; iExchanges for clearing house j 'Bills of other national banks j |Fractional currency, nickels, cents, j Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 15, 000. 00 46, 000. 00 10,000.00 1, 646. 04 10,123. 44 12, 393.04 30, 734. 00 185.12 21,155.00 6,750. 00 Capital stock paid in $150,000.00 Surplus fund ... Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 17, 653.80 134, 300. 00 Due to other national banks Due to State banks and bankers.. 14, 044. 64 Dividends unpaid 50,000 00 120. 00 Individual deposits United States deposits Deposits ofU. S.disbursing officers. 230, 979. 02 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 597,097.46 Total. GEO. N. PAGE, Cashier. No. 239. $286, 457. 43 6, 653. 39 150,000. 00 597,097.46 Second National Bank, Skowhegan. R. B. SHEPHEED, President. Loans and discounts ! Overdrafts ; U. S. bonds to secure circulation... i U. S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc i Bank'g house,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks | Due from State banks and bankers - j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 298. $143, 363.04 13,431.56 125, 000.00 6,000.00 16, 800.00 JAMES FELLOWS, Cashier. Capital stock paid in. $125,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,141. 02 110,760.00 Due to other national banks Due to State banks and bankers.. 121. 92 25, 000.00 4, 400. 00 939. 49 8, 380. 79 139. 05 1, 268. 00 57. 72 5, 750. 00 300.00 5, 625.C 331,454. 65 Dividends unpaid Individual deposits United States deposits { Deposits of U. S.disbursing officers - 174. 00 69, 257. 71 Notes and bills rediscountedBills payable Liabilities other than those above stated : Total . 331, 454.65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 371 MAINE. South Berwick National Bank, South Berwick. G. C. YEATON, President. No. 959. C. H. WENTWORTH, Cashier. Kesources. Liabilities. Total. $60,783.19 Capital stock paid in. 999,02 ! 100,000.00 j Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 81,850. 00 State-bank notes outstanding 1, 000. 00 Due to other national banks Due to State banks and bankers. 4, 938. 91 Dividends unpaid 24.00 Individual deposits ""805 "66' United States deposits 75.41 Deposits of U.S. disbursing officers. 3, 766. 00 2, 493. 00 Notes and bills rediscounted. Bills payable 4,500.00 Liabilities other than those above ! stated |. 5100,000.00 261, 234. 53 Loans and discounts Overdrafts U. S. bonds to secure circulation... U S. bonds to secure deposits TJ S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc | Bankghouse.furniture, and fixtures: Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house.. . . . Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S 26L 234. 53 Total . 20, 000. 00 16, 050. 65 90,000, 00 518. 00 34, 665.88 Georges National Bank, Thomaston. E. E. O'BRIEN, President. No. 1142. JOHN C. LEVENSALER, Cashier. Loans and discounts $157,462.08 Capital ~ stock paid in. Overdrafts " " 3 0 , ' 000.' 66' Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand j National-bank notes outstanding. Premiums on U. S. bonds ]... State-bank notes outstanding Stocks, securities, etc | Bank g house, furniture, and fixturesj 4, 550. 00 Due to other national banks Ot her real estate and mortg's ownedDue from other national banks Due 10 State banks and bankers.. Due from State banks and bankers 27, 348.18 Dividends unpaid Due from approved reserve agents 2, 255.92 Checks and other cash items Individual deposits Exchanges for clearing house 1,773. 00 United States deposits Bills of.other national banks 1.60 Deposits of U. S.disbursing officers. Fractional currency, nickels, cents. 6, 645. 00 Specie 500. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund wtth Treas. U. S. 1,350,00 Liabilities other than those above Due from Treasurer U. S stated Total. $110, 000.00 15,900.00 5, 360. 51 26,677.50 5, 001.18 2,021.90 627.00 66,297.69 Total. 231,885.78 231,885.78 Thomaston National Bank, Thomaston. C. H. WASHBURN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 890. $78, 077.52 2.73 50, 000.00 12, 000.00 5,930.93 109, 509. 70 17, 400. 00 42.52 11,991.40 694.02 1,070.00 .78 9, 400.00 220.00 2, 250. 00 298, 589. 60 F . H. JORDAN, Cashier. Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers..I. Dividends unpaid Individual deposits | United States deposits I. Deposits of U. S.disbursing officers. j . $100,000. 00 20, 000. 00 23, 882. 76 43, 960. 00 894.16 1, 476. 00 108, 376. 68 Notes and bills rediscounted. Billspayable Liabilities other than those above I stated :. Total. 298, 589. 60 372 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAI NE . Medomak National Bank, Waldoboro. S. W. JACKSON, President. No. 1108. Resources. D. W. POTTER, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds i Stocks, securities, etc | Bank g house.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $89,188.09 38. 78 50, 000. 00 13, 200. 00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 9, 443. 87 Dividends unpaid. 1, 370.63 Individual de 3, 568. 00 United States deposits . 75 Deposits of U.S.disbursing officers 7, 760. 00 Notes and bills rediscounted Bills payable 2, 250. 00 j Liabilities other than those above 176, 820.12 stated Total. 10, 000. 00 4, 359. 82 45, 000. 00 800. 00 66, 660.30 176, 820.12 Merchants' National Bank, Waterville. No. 2306. JOHN WARE, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... | TJ. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ; Baiik'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers .'• Due from approved reserve agents, i Checks and other cash items j Exchanges for clearing house \ Bills of other national banks j Fractional currency, nickels, cents.! Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S - Total . H. D. BATES, Cashier. $167,887.68 ; Capital stock paid in 25. 98 25, 000. 00 j Surplus fund j Undivided profits, less current expenses and taxes paid : j National-bank notes outstanding. 19, 904. 70 ! State-bank notes outstanding. 9,000.00 i j Due to other national banks . . j Due to State banks and bankers.. j 10, 028. 95 | Dividends unpaid 2, 011. 06 | | Individual deposits 1, 682. 00 I United States deposits 299.89 I Deposits of U.S.disbursingofficers. 10,150.25 I 2,434.00 | Notes and bills rediscounted Bills payable 1,125 00 I Liabilities other than those above 249, 549.51 stated Total .. $100, 000.00 30, 000. 00 19,166. 89 21, 600. 00 15.00 78, 767. 62 249, 549.51 People's National Bank, Waterville. J. W. PHILBRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No.* J. F. PERCIVAL, Cashier. $269,024.14 Capital stock paid in. 220.15 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5,500.00 I National-bank notes outstanding. 3,880.68 ! State-bank notes outstanding 10,000.00 ( I j Due to other national banks ' 2," 659.' 94" Due to State banks and bankers.. 1,935. 79 Dividends unpaid 1, 206. 56 Individual deposits "3," 606." 06' United States deposits 373. 68 Depositsof U.S.disbursingofficers. 9, 995. 84 2,430. 00 Notes and bills rediscounted. Bills payable 2,250.00 j 362, 476.78 Liabilities other than those above stated Total. $200, 000.00 40, 000.00 4,641.06 45, 000. 00 3,118.91 2, 500. 00 547. 00 66, 669. 81 362, 476.78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 373 MAINE. Ticonic National Bank, Waterville C. K. MATHEWS, President. A. A. PLAISTED, Cashier. No. 762. Resources Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers .1 Due from approved reserve agents I Checks and other cash items .. ] Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S $129,142. 87 1, 034. 75 Capital stock paid in.. 25,000.00 j| Surplusfund ;j Undivided profits, less current and taxes paid expeni j National-bank notes outstanding. 3, 639. 49 ii State-bank notes outstanding..... 9,000.00 1 1 I Due to other national banks I 1,020. 41 | Due to State banks and bankers.. 43, 355. 44 j Dividends unpaid. 659.16 j| I Individual deposits 3,980.00 1 United States deposits 1 30.00 Deposits of U.S.disbursingofficers. 8,645.00 i i Notes and bills rediscounted I Bills payable. 1,125.00 i | Liabilities other than those above i stated , 226,632.12 Total. Total. $100,000.00 17, 271.17 22, 500. 66 887. 66 552.00 85,421.29 226, 632.12 National Bank of Winthrop. CHAS. M. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U- S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg'sownedj Due from other national banks i Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasu rer U. S Total. No. 553. JOHN M. BENJAMIN, Cashier. $106,794.51 ; Capital stock paid in $50, 000.00 33.18 12,500.00 i Surplus fund 10,000. 00 36, 500.00 29, 236.18 1, 822. 65 1,575.00 16.88 9, 438. 00 1, 63O.*OO 562. 50 200,108. 90 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 13, 006. 42 10, 850. 00 466.50 115,785.98 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 200,108. 90 First National Bank, Wiscasset. H. ING ALLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, i Checks and other cash items j Exchanges for clearing house | Bills of other national banks i Fractional currency, nickels, cents, j Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1549. F. W. SEWALL, Cashier. $84,031.86 Capital stock paid in j $100, 000. 00 682.87 50, 000. 00 j Surplusfund 11, 000. 00 Undivided profits, less current expenses and taxes paid 1,984.71 4,766.32 National-bank notes outstanding. 43, 500.00 26, 682.50 State-bank notes outstanding 1, 626. 64 5,217.07 Due to other national banks 49.30 1. 443. 04 Due to State banks and bankers.. 341. 79 594. 89 Dividends unpaid 679. 50 75.00 Individual deposits i 22, 593.14 United States deposits j. 13. 25 Deposits of U.S.disbursingofficers. i. 2,365.00 400.00 Notes and bills rediscounted i. Bills payable 2,250.00 [ Liabilities other than those above stated 180,148. U Total. 180,148.44 374 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. York County National Bank, York Village. J . T. DAVIDSON, President. No. 4844. A. M. BRAGDON, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. Liabilities. $105, 219.78 1, 322.11 15,000.00 Capital stock paid in. $60, 000.00 2, 653. 92 500.00 4.10 3, 529. 50 3, 200. 00 675. 00 384,409. 66 000. 00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 2, 025.00 38, 049.53 12, 230. 72 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,126. 77 Individual deposits United States deposits ! Depositsof U.S.disbursingofficers J 725. 96 500. 00 100, 056. 93 Notes and bills rediscounted j Bills payable Liabilities other than those above stated Total . 184,409. 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 375 MARYLAND. First National Bank, Aberdeen. "WILLIAM B. BAKER, President. No. 4634. R. HARRY WEBSTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits I TJ. S. bonds on hand | Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse.furniture,and fixtures j Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks J Fractional currency, nickels, cents. Specie I Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $146, 647. 59 Capital stock paid in 1, 733. 21 12,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,500.00 | National-bank notes outstanding. State-bank notes outstanding..... $50, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7,177. 42 217.36 Individual deposits I United States deposits |. Depositsof U.S.disbursingofficers. |. 66, 300. 09 Notes and bills rediscounted Bills payable 5, 000. 00 30, 000.00 8, 444. 25 11,250.00 ""7," 266." 66'i '274. s i I 2.42 j 7, 942. 23 521. 06 98." 66' 105. 20 2, 025. 30 3, 278. 00 562, 50 | Liabilities other than those above stated 184,390.02 | Total. 6, 000. 00 Total . 184,390.02 Farmers' National Bank, Annapolis. No. 1244. J. W I R T RANDALL, President. Loans and discounts , Overdrafts TJ. S. bonds to secure circulation -.. IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nick els, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S $381, 373. 63 978.10 50,000. 00 i $251,700. 00 Surplus fund_ j Undivided profits, less current | expenses and taxes paid i National-bank notes outstanding.| State-bank notes outstanding. .."..'• 60,000.00 135,162. 01 13,156.92 16, 001. 09 Due to other national banks I 81,959. 37 42,133. 71 Due to State banks and bankers..J 87, 256. 01 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. 1,335. 00 703.73 101, 027. 75 8, 000, 00 Notes and bills rediscounted. j Bills payable 2, 250. 00 3, 070. 00 17, 457. 99 38, 350. 00 12, 603. 86 826. 21 651. 04 544, 758. 22 Liabilities other than those above stated 924,407. 32 Total. G. A. CULVER, Cashier. Capital stock paid in Total . 924, 407. 32 First National Bank, Baltimore. JOHN W. HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouae,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total ...r No. 204. $2, 237,120. 74 2.22 50, 000. 00 5, 000. 00 114, 200. 00 107, 907. 92 102, 979. 38 14, 059.12 212, 862. 37 4, 095. 04 60,197.12 5, 512. C O 910. 00 238,210. 00 21, 879. 00 10, 000. 00 2, 250. 00 5, 000.00 3,192,184.91 E. J. PENNIMAN, Cashier. il, 110, 000. 00 Capital stock p a i d i n . Surplus fund Undivided profits, less current expenses and taxes paid I National-bank notes outstanding-! State-bank notes outstanding j 275, 000. 00 Due to other national banks j Due to State banks and bankers.. | 339, 476. 36 25,113. 05 Dividends unpaid I Individual deposits Certified checks United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 32, 683. 62 36, 890. 00 1, 374. 00 1, 355, 498. 50 16,149. 38 Liabilities other than those above stated Total 3,192,184.91 376 REPORT OF THE COMPTROLLER OF THE CURRENCY. ARYLA Second National Bank, Baltimore. No. 414. CHAS. C. HOMER, President. J. H. BAWDEN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures!1 Other realestateand mortg's owned Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. ,613,448.44 58.07 50, 000.00 1, 000. 00 15, 000. 00 23, 995. 61 998. 81 131,751.03 1,553.06 21, 585. 24 1, 250. 00 250.00 64, 930. 00 25, 850. 00 20, 000. 00 2, 250.00 Capital stock paid in. $500, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 500, 000. 00 Due to other national banks Due to State banks and bankers.. 12, 203. 55 855. 53 917. 50 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1, 973, 920. 26 82, 410. 59 45,000. 00 Total. 823, 395. 93 4,107.16 5, 000. 00 1,973, 920. 26 Third National Bank, Baltimore. GEORGE B. BAKER, President. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits ' ! U. S. bonds on hand Premiums on TJ. S. bonds I Stocks, securities, etc j Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ! Legal-tender notes I U. S. certificates of deposit L.. Redemption fund with Treas. U.S.! Due from Treasurer U. S !... No. 814. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 2,250.00 | | Liabilities other than those above stated 1,190, 533. 69 Total. J. F. SIPPEL, Cashier. Capital stock paid in Total 44, 000. 00 11, 972.16 44,160. 00 80, 732. 50 4, 524.52 830. 72 502, 590. 84 1, 722. 95 1,190,533.69 American National Bank, Baltimore. JOSHUA HORNER, President. Total. S. P . SCHOTT, Cashier. No. 4518. Loans and discounts { $675,462. 68 Overdrafts I 271.11 U. S. bonds to secure circulation... I 100, 000.00 U. S. bonds to secure deposits I U. S. bonds on hand ! Premiums on U. S. bonds I 9,000.00 i Stocks, securities, etc j Bank'ghouse,furniture,and fixtures '57*215."57 i Other real estate and mortg's owned | Due from other national banks 21,614.79 j Due from State banks and bankers. 8,335. 20 Due from approved reserve agents. 34, 603.90 Checks and other cash items 707.60 Exchanges for clearing house 13, 300.46 Bills of other national banks • Fractional currency, nickels, cents. 748. 23 Specie YM 33UH851,399.00 .Legal-tender notes 13,500. 00 U. S. certificates of deposit Redemption fund with Treas. U. S4, 500. 00 Due from Treasurer U. S 990,658.54 ; I Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000. 00 Due to other national banks Due to State banks and bankers.. 131, 687. 32 38, 855.63 Dividends unpaid Individual deposi ts Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 26, 000. 00 5,198. 94 90, 000.00 2, 840. 00 492, 856. 67 3, 219. 98 Liabilities other than|those above stated Total.. 990,658.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 377 M A BYLAKD. Citizens' National Bank, Baltimore. No. 1384. HENRY JAMES, President. Resources. $2,013,901.04 Loans and discounts Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ S bonds on hand Premiums on U. S. bonds 99, 000. 00 Stock, securities, etc 27, 000. 00 Bank'g house, furniture and fixtures 21, 049. 51 Other real estate and mortg's owned 124,579. 51 Due from other national banks 13,840. 03 Due from State banks and bankers 270.740.41 Due from approved reserve agents 2, 470, 07 Checks and other cash items 68,469.77 Exchanges for clearing house 9, 740. 00 Bills of other national banks 242,20 Fractional currency, nickels cents 313,952 80 Specie 16; 420. 00 Legal tender notes TJ. S. certificates of deposit Redemption fund with Treas U. S2,250 00 Dv^irom Treasurer XJ. S Total - - -. Wi . H. O'CONNELL, Cashier. J 3, 033, 655. 34 Liabilities. Capital stock paid in $500, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding . 500, 000.00 Due to other national banks Due to State banks and bankers.. 210,409.49 49,664.68 Dividends unpaid 176, 668 02 20, 300. 00 1,745.90 Individual deposits United States deposits Deposits of D. S. disbursing officers. 1, 574, 867. 25 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 3, 033, 655. 34 Commercial and Farmers' National Bank, Baltimore. J o s . H. RlEMAN, President. No. 1303. $1, 088, 568. 68 Loans and discounts 22.96 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 5, 000. 00 Premiums on U. S. bonds 15. 010. 00 Stocks, securities, etc 49,450. 00 Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned 39, 631. 56 Due from other national banks 11,426.83 Due from State banks and bankers. 45, 288. 81 Due from approved reserve agents. 6, 458. 31 Checks and other cash items 10, 578. 54 Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. 177, 223.45 Specie 8, 000. 00 Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . LAWRENCE B. KEMP, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable $512, 560.00 130,000.00 18, 865. 49 43, 435.00 870.00 136, 572. 35 14,646. 70 641,715.86 1,254.24 Liabilities other than those above stated 1, 508, 909.14 Total . 1, 508, 909.14 Continental National Bank, Baltimore. W. F. JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of depositRedemption fund with Treas. U. SDue from Treasurer U. S Total . No. 4533. $640, 016. 53 ""56*600*60 6, 000. 00 J . WESLEY GUEST, Cashier. Capital stock paid in $300, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding... 21, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 216,812. 82 40, 429. 52 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 380, 273. 77 5,678.44 45, 000.00 8, 948.46 74. 915. 32 19,364.69 115, 349. 26 3, 931. 52 14. 397.95 730. 00 32, 3, 40, 2, 068. 235. 000. 250. 32 00 00 00 2, 012. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above 1, 011,207.05 stated Total . 1,011,207.05 378 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Drovers and Mechanics' National Bank, Baltimore. JAMES CLARK, President. No. 2499. J . D. WHEELER, Cashier. Resources. Liabilities. $1, 525, 529.90 Loans and discounts 10,153.79 Overdrafts j 100, 000, 00 U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S bonds on hand 10,000. 00 Premiums on U. S. bonds ! 43,492. 50 Stocks, securities, etc ! 220, 474.14 Bank'g house,furniture,and fixtures; Other real estate and mortg's owned . 223.578.57 Due from other national banks ! Due from State banksand bankers.! 21,471.97 Due from approved reserve agents J 202, 506.63 Checks and other cash items 625. 24 32,880. 59 Exchanges for clearing house 10, 000. 00 Bills of other national banks 1, 360. 00 Fractional currency, nickels, cents. 112, 283. 00 Specie 31,000.00 Legal-tender notes 160, 000.00 U.S. certificates of deposit 4, 500. 00 Redemption fund with Treas. U.SDue from Treasurer U. S Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000.00 Due to other national banks Due to State banks and bankers.. 449,113. 67 229, 343.94 Dividends unpaid Individual deposits. Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and billsrediscounted. Bills payable 960. 00 1,417,046.29 8, 341. 71 Liabilities other than those above stated Total. 2, 709,856. 33 Total. 100, 000. 00 115,050.72 90, 000.00 2, 709, 856. 33 Equitable National Bank, Baltimore. J . D. FERGUSON, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse^urniture.and fixtures Other real estate and mortg s o vvned Due from other national banks Due from State banksand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels cents. Specie Legal tender notes U. g certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4530. $859,699.42 1, 200. 00 50,000. 00 7, 075.00 61 692.50 87.500. 00 9, 348. 83 73.107.88 28, 386.56 109,115.80 879. 77 27, 592. 48 1, 055. 00 148. 54 44, 028. 50 10, 000. 00 50, 000. 00 2, 250. 00 HENRY B. WILCOX, Cashier. Capital stock paid in . $500, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 43, 000. 00 8,135.13 45, 000. 00 Due to other natio^-l banks Due to State banks and bankers.. Dividends unpaid 143,283.17 84, 009. 72 Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers 596, 509. 77 2, 940. 98 201. 51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1,423, 080. 28 1, 423, 080. 28 Farmers and Merchants' National Bank, Baltimore. JAMES SLOAN, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds.. Stocks, securities, etc Bankghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1337. $1, 553, 052. 74 735. 64 50, 000. 00 171, 500.63 158, 797. 60 CHAS. T. CRANE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 120, 051.14 Due to State banks and bankers.. 3, 263. 83 178,245. 84 Dividends unpaid 4, 736. 40 79.795.10 Individual deposits 32,147.00 Certified checks.. 75.88 United States deposits 246, 500. 00 Deposits of U. S.disbursingofficers 5, 000.00 Notes and bills rediscounted. 30, 000. 00 Bills payable 2, 250.00 Liabilities other than those above stated 2, 636,151. 80 Total . $650, 000.00 325, 000. 00 64, 776. 25 25, 670. 00 394. 660. 07 40,436. 82 10, 880.07 1,123,611.86 1,116. 73 2, 636,151.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 379 MARYLAND. Manufacturers' National Bank, Baltimore. W. J". DICKEY, President. No, 2623. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $840,372. 58 138. 81 75, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 8, 60«. 11 State-bank notes outstanding 2, 000. 00 52,422.11 | 13, 544. 26 i 88,267.03 ! 922.53 ! 32,997.08 !; 4,000.00 !; 788.11 |i 20,000.00 si Due to other national banks I Due to State banks and bankers.. j Dividends unpaid. .j Individual deposits j Certified checks I United States deposits \. Deposits of U.S.disbursing officers. !• <t ooo. oo i! Notes and bills rediscounted , j l Bills payable 3,375.66 |! Liabilities other than those above ! stated | 1,146,433.62 Total . CHAS. W. DORSEY, Cashier. Liabilities. Total $500,000. 00 25, 250. 00 14, 814. 78 64,100. 00 116,341.94 23, 778. 69 1, 283.72 350, 532.14 332. 35 50,000.00 1,146,433.62 Merchants' National Bank, Baltimore. No. 1336. DOUGLAS H. THOMAS, President, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghuuse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S . . 267,740. 65 2.465. 39 142, 720. 21 5, 700. 00 384. 22 345,931.00 18, 000. 00 2,"256."6o" Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. 1,914,971. 02 200.00 129,466. 28 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 4, 917, 873. 74 Total. E. H. THOMSON, Cashier. 100,925.41 | Capital stock paid in. $1,500, 000.00 500, 000.00 50, 000. 00 Surplus fund 122,000. 00 Undivided profits, less current 85, 970. 32 expenses and taxes paid 45, 000. 00 National-bank notes outstanding 1, 000.00 State-bank notes outstanding 36, 800. 00 576,291.59 622, 251. 87 Due to other national banks 50, 000. 00 117,581.65 Due to State banks and bankers.. 178, 886. 43 17,778.84 1,432. 60 Dividends unpaid Total 4,917,873.74 National Bank, Baltimore. CHEISTIAN DEVRIES, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer (J.S Total J . THOS. SMITH, Cashier. No. 1432. $2,400,358. 88 Capital stock paidin $1, 210, 700.00 434. 64 400,000.00 50,000. 00 Surplus fund Undivided profits, less current 98, 665. 24 expenses and taxes paid 44,000. 00 National-bank notes outstanding. 2, 238. 00 178,187.67 State-bank, notes outstanding 215, 000. 00 Due to other national banks 204,660.02 93, 896. 33 165, 068. 97 Due to State banks and bankers.. 68, 296.99 Dividends unpaid 4,876.31 33,138. 31 7. 054.06 1,446, 295. 90 pos 38, 592.90 Certified checks 364.48 5, 470. 00 United States deposits 318.11 Deposits of U.S.disbursingofficers 200, 525. 75 101,000.00 Notes and bills rediscounted. 40,000.00 Bills payable 2, 250. 00 Liabilities other than those above stated 3,505,696.28 Total 3,505,696.28 880 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. National Bank of Commerce, Baltimore. EUGENE LEVERING, President* No. 4285. JAMES R. EDMUNDS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghqnse.furniture.and fixtures Other reai estate and m o r t i s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $572. 907. 57 32. 98 250, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 34, 063. 75 National-bank notes outstanding. 120,500.00 I State-bank notes outstanding 100,000.00 i Due to other national banks 17, 747. 66 Due to State banks and bankers.. 9, 240. 20 50, 698. 27 Dividends unpaid 3, 283.73 16,197. 42 Individual deposits 885. 00 Certified checks 154. 61 United States deposits 44, 348. 05 Deposits of IT .S. disbursing officers. 13,000. 00 Notes and bills rediscounted. Bills payable 11,250.00 Liabilities other than those above stated Total 1,244,309.24 Total. $300, 000. 00 80, 000. 00 8, 759. 67 225, 000. 00 128, 225. 95 24,152. 32 281. 23 473, 046. 42 4, 843. 65 ! 1,244,309.24 National Exchange Bank, Baltimore. J O B SCOTT, Cashier. No. 1109. $1, 429, 066. 08 Loans and discounts Capital stock paid in. $600, 000. 00 28.40 Overdrafts Surplusfund 120, 000. 00 300, 000. 00 U. S. bonds to secure circulation... Undivided profits, less current i U. S. bonds to secure deposits j 60, 633. 97 expenses and taxes paid TJ. S. bonds on hand 270, 000. 00 National-bank notes outstanding. 52, 268.24 Premiums on U. S. bonds ! State-bank notes outstanding i. Stocks, securities, etc .{ 128, 040. 00 Bank g house,furniture,andfixtures; 399, 394. 63 Due to other national banks j Other real estate and mortg's owned; 205, 396. 74 121, 201. 64 Due from other national banks j Due to State banks and bankers.. j 31, 839. 08 Due from State banks and bankers, j 2, 322.00 Dividends unpaid j 99,357. 78 Due from approved reserve agents .j 859, 463.87 922.66 Checks and other cash items j Individual deposits I 1,150.00 23, 099. 45 Exchanges for clearing house Certified checks j 32, 000. 00 Bills of other national jbanks United States deposits I. 337. 88 Fractional currency, nickels, cents. 203, 000. 00 Deposits of U.S.disbursing officers, j. Specie 43, 700. 00 Notes and bills rediscounted Legal-tender notes Bills payable 40, 000. 00 U. S. certificates of deposit WM. T. DIXON, President. Redemption fund with Treas. TJ. S. Due from Treasurer U. S 13, 500. 00 2, 518, 361. 21 Total. Liabilities other than those above stated Total. 2, 518, 361. 21 National Farmers and Planters' Bank, Baltimore. ENOCH PRATT, President. No. 1252. RICH'D CORNELIUS, Cashier. Loans and discounts $2,574,793/40 || Capital stock paid i n . . $800, 000. 00 Overdrafts 1 urplu IJ. S. bonds to secure circulation... """ 250,' 666! 66' 1 Surplus fund 600, 000. 00 TJ. S. bonds to secure deposits Undivided profits, less current 55, 621. 68 TJ. S. bonds on hand expenses and taxes paid 22, 000.00 National-bank notes outstanding. 220, 200. 00 Premiums on U. S. bonds 90,196. 99 State-bank notes outstanding Stocks, securities, etc j 1,000. 00 Bank'gtiouse,furniture,and fixtures! 207, 567. 55 Other real estate and mortg's owned Due to other national banks 28, 237. 64 Due from other national banks Due to State banks and bankers. 12, 520. 28 Due from State banks and bankers. 50,140. 79 Dividends unpaid Due from approved reserve agents . 1,908.31 Checks and other cash items Exchanges for clearing house 113,234.62 Individual deposits 1, 748, 619. 48 8,456. 00 United States deposits Bills of other national banks j 309. 50 DepositsofU.S.disbursingofficers. Fractional currency, nickels, cents. 367, 883. 50 Specie 24, 397. 00 Notes and bills rediscounted. Legal-tender uotes 100, 000. 00 Bills payable TJ. S. certificates of deposit 11,250.00 Redemption fund with Treas. TJ. S. Liabilities other than those above ) Due from Treasurer U. S stated Total 3,662,154.66 Total 3, 662,154.66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 381 MARYLAND. National Howard Bank, Baltimore. No. 4218. HENRY CLARK, President. WM, H. ROBERTS, JR., Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $671, 309. 22 50.50 50, 000. 00 6, 000. 00 2, 500. 00 35, 000. 00 " 38," 098! 82 1,290.09 69, 102. 08 842. 67 8, 588. 45 2, 000. 00 53.99 45, 522. 25 2. 000. 00 10, 000. 00 2, 250.00 Capital stock paid in D u e to other national b a n k s Due to State b a n k s a n d b a n k e r s . . 27, 500. 00 11.099.65 45,000.00 7, 525. 85 154. 25 918. 92 Dividends unpaid I n d i v i d u a l deposits Certified checks United States deposits Deposits of U. S. disbursingofficers. Notes and bills rediscounted. Bills payable 555. 059. 86 2, 349. 54 65, 000. 00 Liabilities other than those above stated 944, 608. 07 Total. $230,000. 00 Surplus fund. Undivided proiits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g Total . 944, 608. 07 National Marine Bank, Baltimore. JOHN M. LITTIG, President. No. 2453. $1, 555,189. 63 Loans and discounts 5, 298. 89 Overdrafts 60, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 887. 50 Premiums on U. S. bonds 290.01 Stocks, securities, etc 87, 200.00 Bank ! g house,furniture,and fixtures Other real estate and roortg's owned; 37,231.94 Due from other national banks | 10,802.41 Due from State banks and bankers 74,093.38 Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house * 30*832.83 30, 754.00 Bills of other national banks 140. 00 Fractional currency, nickels, cents. 79, 080. 96 Specie 23, 000. 00 Legal-tender notes 150, 000. 00 U. S. certificates of deposit 2, 700. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total JAMES Y. WAGNER, Cashier. Capital stock paid in I $400, 000. 00 Surplus fund | Undivided profits, less current j expenses and taxes paid \ National bank notes outstanding. State bank notes outstanding Due to other national banks Due to State banks and bankers.. 100, 000.00 96, 570. 38 54, 000. 00 85,591.12 10,173.42 742. 68 Dividends unpaid Individual deposits Certified checks | United States deposits j Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 1, 306, 238.16 4,185. 79 90, 000.00 Liabilities other than those above stated 2,147, 501. 55 Total. 2,147, 501. 55 National Mechanics' Bank, Baltimore. JOHN B, RAMSAY, President. Total JAMES SCOTT, Cashier. No. 1413. Loans and discounts I $2,654,532.24 Overdrafts U. S. bonds to secure circulation... 950, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 146, 500. 00 Stocks, securities, etc 86, 400.50 Ban k'ghouse,furniture,and fixtures 40, 000. 00 Other real estate and mortg's owned 5, 500.00 Due from other national banks 79, 406. 52 Due from State banks and bankers. 19, 658. 25 Due from approved reserve agents. 9,013.24 Checks and other cash items I 15,615.80 Exchanges for clearing house 143, 6?7. 36 Bills of other national banks 5, 9f>0. 00 Fractional currency, nickels, cents. 19(5.46 Specie 202, 734. 00 Legal-tender notes 84, 596. 00 U. S. certificates of deposit 160, 000. 00 Redemption fund with Treas. U. S. 42, 750. 00 Due from Treasurer U, S 11,000.00 4,657,430.37 $1, 000, 000. 00 Capital stock paid in Surplus fund 300, 000. 00 Undivided profits, less current expenses and taxes paid , 83, 964.10 National-bank notes outstanding. 855, 000. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks U nited States deposits Deposits of U.S.disbursingoffi cers. Notes and bills rediscounted. Bills payable 332, 746. 29 28,190.17 10, 874.18 2,041.368.91 5, 286. 66 Liabilities other than those above stated •. Total 4,657,430.37 382 REPORT OF THE COMPTROLLER OF THE CURRENCY. H A RILAND, I National Union Bank of Maryland, Baltimore. WM. W. TAYLOR, President. No. 1489. J . s. WESTERMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds/. Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $1,723,141.97 3,408.68 50,000.00 1, 875. 00 76, 308. 73 78.391.74 i 23,329.40 ! 84,933.19 2,539.43 218,139.90 :, 7,066.03 i; 103,613.97 j 8,000. 00 i 1,227.58 ' 137,884.00 j1 47,000.00 I 20,000.00 : 2,250.00 Capital stock paid in $900, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding-.... 200, 000. 00 Due to other national banks Due to State banks and bankers.. 254, 904. 09 50, 137. 79 42, 328. 27 42, 840. 00 Dividends unpaid Individual deposits Certified checks | United States deposits | Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 4,410.64 1, 089, 783. 21 4, 699. 62 Liabilities other than those above stated Total. 2,589,109.62 j Total I 2,589,109.62 Traders' National Bank, Baltimore. No. 826. ISAAC S. GEORGE, President. C. CANNON, Cashier. Loans and discounts $590,171.19 Capital stock paid in Overdrafts 314. 36 U. S. bonds to secure circulation...! 50,000.00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits j expenses and taxes paid U. S. bonds on hand j National-bank notes outstanding. Premiums on U, S. bonds ; Stocks, securities, etc | 32, 565. 50 j State-bank notes outstanding Bank'g house, furniture, and fixtures' 32,500.00 j Other real estate and mortg's owned; I Due to other national banks Due from other national banks j 38, 273.95 j Due to State banks and bankers.. Due from State banks and bankers. 4, 222. 40 j Due from approved reserve agents. 20,283.80 j Dividends unpaid Checks and other cash items 271.47 | Exchanges for clearing house 29,718.64 ; Individual deposits Bills of other national banks 983. 00 Certified checks Fractional currency, nickels, cents. 56. 31 United States deposits Specie 42,140. 50 Deposits of U.S.disbursingofficers. Legal-tender notes 55,140. 00 Notes and bills rediscounted U. S. certificates of deposit 60, 000. 00 Bills payable Redemption fund with Treas. U . S . 2, 250. 00 Due from Treasurer U. S Liabilities other than those above $230,000.00 46, 000. 00 13, 869. 60 45, 000. 00 183, 525. 65 21,735.33 245. 35 414, 354. 36 4,180. 83 stated Total. 958,891.12 Total. 958, 891.12 Western National Bank, Baltimore. No. 1325. J . G. HARVEY, President. Loans and discounts I Overdrafts. U. S. bonds to secure circulation... U. S.'bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds | Stocks securities, etc ; Bank'g house,furniture,and fixtures; Other real estate and mortg's owned' Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks FractionaLcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total I , 675, 796. 20 Capital stock paid in. W. H. NORRIS, Cashier. $500, 000. 00 Surplus fund 300, 000. 00 Undivided profits, less current expenses and taxes paid 92, 656.18 i National-banknotes outstanding. 45, 000. 00 503. 00 235,994.00 State-bank notes outstanding 15, 000.00 Due to other national banks 454,212.88 14, 468. 61 121,151.06 Due to State banks and bankers.. 15, 825. 61 1,864.03 391, 327. 74 Dividends unpaid 12, 057.14 1,503, 425. 47 33,112. 87 Individual deposits 2, 630. 06 64,271.00 Certified checks 1,347.61 United States deposits 247,847. 00 Deposits of U.S. disbursing officers. 8, 780. 00 Notes and bills rediscounted. 40, 000.00 j Bills payable 2, 250. 00 ! Liabilities other than those above I stated 2,914,760.23 Total j 2, 914, 760.23 50, 000.00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 383 MARYLAND. Second National Bank, Bel Air. THOS. H. ROBINSON, President. No. 3933. WALTER FINNEY, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. U68, 581. 22 1,218.64 15, 000.00 2,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 5, 800. 00 3, 722. 03 Due to other national banks 3, 209. 06 Due to State banks and bankers. 3, 093.54 Dividends unpaid 169. 52 Individual deposits 315.00 United States deposits 20.10 Deposits of U.S.disbursing officers. 254. 70 1,241.00 Notes and bills rediscounted.. Bills payable 675.00 Liabilities other than those above stated 205, 299. 81 Total. $60,000.00 Capital stock paid in... 7, 000.00 14, 882.07 13, 500. 00 1,105. 88 411. 24 75, 400. 62 33, 000.00 205,299. 81 Total . Harford National Bank, Bel Air. S. A. WILLIAMS, President. Loans and discounts.. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house, furniture, and fixturesi Other real estate and mortg's owned j Due from other national banks i Due from State banks and bankers. I Due from approved reserve agents. j Checks and other cash items I Exchanges for clearing house i Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S No. 2797. $318,040.17 1, 257.75 15, 000. 00 12, 000.00 6, 887. 71 5, 293. 94 18,893. 55 1, 040. 08 460. 00 140. 49 7, 433. 20 230.00 675. 00 $50, 000. 00 Surplus ftfnd Undivided and taxesless current expenses profits, paid. National-bank notes outstanding. State-bank notes outstanding 35,000 00 27, 691. 66 13, 500. 00 Due to other national banks Due to State banks and bankers.. Pi vidends unpaid 17,995. 89 1,526.72 Individual deposits United States deposits Deposits of U.S.disbursing officers. 143, 233.35 Notes and bills rediscounted Bills payable Liabilities other than those above stated 48, 034. 27 50, 000. 00 387, 351.89 Total. WM. W. FINNEY, Cashier. Capital stock paid in. Total . 370.00 387, 351.89 Dorchester National Bank, Cambridge. HENRY LLOYD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4085. $160,087. 29 441.52 12, 500. 00 300. 00 15, 500. 00 8,000. 00 1, 539. 52 15, 827.99 524. 90 163." 66 466. 80 2, 475. 90 7,100. 00 ""*562.*56" 225, 489. 42 T. II. MEDFORD, Cashier. Capital stock paid in $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13, 298. 07 568.39 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 139, 202. 70 1,170. 26 11, 250. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 225,489.42 384 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. National Bank, Cambridge. WILLIAM H. BARTON, J R . , President. JSTo. 2498. Resources. W. F. DRAIN, Cashier. !| Liabilities. Loans and discounts $137,159.45 j Capital stock paid in. 123.88 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits | Undivided profits, less current U. S. bonds on hand | 5,500.00 i expenses and taxes paid Premiums on U. I . bonds S National bank notes outstanding. 2,053.97 jj State-bank notes outstanding Stocks, securities, etc 16,000.00 I! Bankghous6,furniture,and fixtures ()ther real estate and mortg's owned Due to other national banks 227.43 Due from otber national banks Due to State banks and bankers. Due from State banks and bankers. Due from approved reserve agents. 33,628.77 Dividends unpaid 193. 53 Checks and other cash items Exchanges for clearing house Individual deposits ""545." 66" United States deposits Bills of other uationarbanks Fractional currency, nickels, cents. 148. 27 Deposits of U.S.disbursingofficers. Specie 5, 794. 50 Legal-tender notes 5, 000. 00 Notes and bills rediscounted. U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above j Due from Treasurer U. S stated 258,624.80 | Total . $50, 000. 00 12, 000. 00 4.148.45 44, 240. 00 7,400. 65 301.14 138.00 140, 396. 56 Total . 258, 624.80 Canton National Bank, Canton. MARTIN WAGNER, President. No. 4799. J N O . "W. H. GTEIGER, Cashier. Loans and discounts J $317,987.44 Capital stock paid in Overdrafts U. ts bonds to secure circulation... j 25,000.00 Surplus fund U. S. bonds to secure deposits \ Undivided profits, less current U. S. bonds on hand ' expenses and taxes paid Premiums on U. S. bonds I 2,687.50 National-bank notes outstanding. Stocks, securities, etc • State-bank notes outstanding BaT)k'ghouse,furniture,and fixtures! 1, 292. 87 Other real estate and mortg's owned Due to other national banks Due from other national banks j 107. 50 Due to State banks and bankers. Due from State banks and bankers Due from approved reserve agents - j 6,415. 38 Dividends unpaid Checks and other cash items Exchanges for clearing house Individual deposits Bills of other national banks | j United btates deposits Fractional currency, nickels, cents 288.04 Deposits ol U.S. disbursing officers . Specie i 6,993.00 Legal-tender notes j Notes and bills rediscounted. II. S. certificates of deposit I Bills payable Redemption fund with Treas. U. S. 1,125.00 j Liabilities other than those above Due from Treasurer U. S stated 361, 896. 73 Total. $100, 000. 00 3, 250. 00 2,182. 27 22, 500.00 44.86 233,919.60 Total. 361, 896. 73 Centreville National Bank of Maryland, Centerville. WM. , President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation...; TJ. S. bonds to secure deposits j U. S. bonds on hand i Premiums on XJ. S. bonds Stocks, securities, e t c . . . Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2341. $234,107.70 26.45 19, 000.00 14, 946. 20 19, 032. 40 1, 450. 60 55,667.26 200.00 iio." 65' 627. 08 18, 002. 60 J. F. ROLPH, Cashier. Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 4,781.01 16, 650. 00 5, 882. 00 501.86 Due to other national bunks Due to State banks and bankers.. Dividends unpaid 600. 00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. | Notes and bills rediscounted. Bills payable. 200,640. 42 I 855.00 ; Liabilities other than those above stated , 364,055.29 j Total . 364, 055. 29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 385 MARYLAND. Queen Anne's. National Bank, Centerville. JOHN M. ROBINSON, President. No. 3205. EUGENE PENINGTON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits I U. S. bonds on hand I Premiums on U. S. bonds\ Stocks, securities, etc Bank'g house^'urniture.and fixtures; Other real estate and mortg s owned; Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. I Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes Lega I U. S. certificates of deposit ( Redemption fund with Treas. U. S. | Due from Treasurer U, S Total. Liabilities. $120, 320. 26 Capital stock paid in. 31.20 i 19. 000. 00 Surplus f and Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding-. 8,155. 00 ! Due to other national banks 343. 05 Due to State banks and bankers..! 56, 642. 01 Dividends unpaid ; 90. 00 165. 16 4,012.55 3, 595. 00 , 855.00 Individual deposits ! United States deposits j. Deposits otU.S.disbursing officers-1. I Notes and bills rediscounted !. Bills payable $75,000.00 15, 500. 00 3, 624.15 16,130. 00 3, 265. 62 156. 00 99, 533. 46 Liabilities other than those above stated Total. 213, 209. 23 213, 209. 23 Second National Bank, Chestertown. JAMES A. PEAECE, President. Loans and discounts i Overdrafts j U. S. bonds to secure circulation...) U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,andu'xturesj Other realestate and mortg's owned! Due from other national banks 1 Due from State banks and bankers.' Due from approved reserve agents. Checks and other cash items ! Exchanges for clearing house j Bills of other nationall)anks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4327. $169,667.12 74.50 12, 500. 00 1,500.00 13, 500. 00 200. 00 2, 733. 28 42, 874. 50 200.11 "4,55O."o6 170. 21 8,511.50 4,140. 00 562. 50 450. 00 W. B. COPPER, Cashier. Capital stock paid in j $50, 000. 00 Surplus fund I Undivided profits, less current I expenses and taxes paid National-bank notes outstanding-! State-bank notes outstanding j 2, 290. 23 11,250.00 Due to other national banks 3, 955. 70 Due to State banks and bankers.. Dividends unpaid 854. 53 I Individual deposits ! United States deposits ; Deposits of U.S.disbursingofficers- i Notes and bills rediscounted Bills payable | Liabilities other than those above ! stated 1 261, 633. 72 8, 600.00 Total. 184, 683. 26 261, 633. 72 Chestertown National Bank, Chestertown. CHARLES T. WESTCOTT, President. Loans and discounts. Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand ! Premiums on U. S. bonds i Stocks, securities, etc ' Bank'g house, furniture, and fixtures j Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers. Due from approved reserve agentsChecks acd other cash items Exchanges for clearing hojise Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U . S . j Due from Treasurer U, S 5, 500. 00 3,'55L87" 65, 531.47 1,011.72 -25 HARRY RICKEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits { 2, 820. 00 United States deposits j 27J.J4 Deposits of U. S.disbursing officers. 14, 913. 50 1,130.00 Notes and bills rediscounted Bills payable $60, 000. 00 12, 000. 00 12; 051.13 5, 753. 78 203, 465.83 Liabilities other than those above stated 293,270. 74 Total. PT 2 No. 3305. $183, 295. 52 245. 52 15, 000. 00 Total. 293, 270. 74 386 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. National Bank, Cockeysville. JOSHUA F . COCKEY, President. No. 4496. ? Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due fromother national banks j Due from Statebanks and bankers J Due from approved reserve agent s. j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S. Due from Treasurer TJ. S $82,981.25 89.19 12,500. 00 1,300.00 5r 000. 00 825.32 $50, 000.00 Capital stock paid in 2, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 755. 08 Dae to other national banks Due to State banks and bankers.. 3,235. 00 220.00 6.48 5, 257. 00 580.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable i Liabilities other than those above j stated ! Total. I l l , 994.24 Total. V M . H. BUCK, J R . , Cashier. Liabilities. Resources. 56, 739.16 I l l , 994.24 First National Bank, Cumberland. ROBERT SHRIVER, President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse furniture,andfixtures! Other real estate andmortg's owned; Due from otber national banks j Due from State banks and b a n k e r s ! Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house ! Hills of other national banks j Fractional currency, nickels, cents, j Specie i Legal-tender notes J U. S. certificates of deposit I Redemption fund with Treas. U. S. Due from Treasurer U. S No. 381. $397, 351. 89 229.00 25, 000. 00 100. 00 3, 011. 50 52, 669.50 30, 000. 00 60, 350. 58 4, 908. 54 17, 735. 66 9, 256.32 1, 000. 00 520. 67 36, 698.15 30, 565. 00 1,125. 00 | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks j Due to State banks and bankers.. j Dividends unpaid j. Individual deposits United States deposits Deposits of U.S.disbursingofficers $100,000. 00 100, 000. 00 12, 792.71 22, 500. 00 9, 255. 58 4, 572.14 421,401. 38 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 670, 521. 81 Total . J . L. GRIFFITH, Cashier. Capital stock paid in Total . 670,521.81 Second National Bank, Cumberland. LLOYD LOWNDES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'jr house furniture, and fixtures Other real estate and mortg's owned | Due from otber national banks j Due from State banks and bankers. I Due from approved reserve agents.j < 'hecks and other cash items | Exchanges for clearing house j Bills of other national banks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1519. $566,817.91 9,128.64 100, 000.00 50, 000. 00 200.00 2, 835.10 118,300.00 35, 000. 00 128, 034.38 4, 598.91 56,696. 03 8,428. 47 D : ANNAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 Due to other national banks Due to State banks and bankers.. 12, 097. 53 10,581.53 4, 500.00 1,179, 360. 37 14,710.18 90, 000. 00 Dividends unpaid Individual deposits * 2. 501." 00 United States deposits 2, 002. 93 DepositsofU.S.disbursingofficers. 56, 865.00 33,452. 00 175, 000.00 731, 971.13 45, 000.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1,179, 360.37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 387 MARYLAND. Third National Bank, Cumberland. No. 2416. W. E. WEBER, President. Re sources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $153,170.89 ! Capital stock paid in. 156.15 ! 75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid . 7, 000. 00 National-bank notes outstanding. 37, 600. 00 State-bank notes outstanding 22, 000. 00 Due to other national banks 10,159. 86 Due to State banks and bankers.. 5, 208. 22 19, 591. 65 Dividends unpaid 3, 396. 31 Individual deposits United States deposits 215.32 Depositsof U.S.disbursingofiicers. 12, 276. 85 4, 645. 00 Notes and bills rediscounted... Bills payable 3, 375. 00 $100, 000. 00 40,000. 00 10,173.13 67, 500. 00 543. 30 1,184.44 313. 59 134,080.79 Liabilities other than those above stated 353, 795.25 Total. H.E.WEBER, Cashier. Liabilities. Total .. 353, 795. 25 Denton National Bank, Denton. B. G-. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 2547. THOS. C. WEST, Cashier. $50, 000.00 Capital stock paid in. Surplus fund 20, 000. 00 Undivided profits, less current expenses and taxes paid 7, 615.97 45, 000. 00 3, 500. 00 National-bank notes outstanding. State-bank notes outstanding $146,957.40 211.75 50,000.00 8, 700. 00 3,924. 65 76, 628.15 4.18 30.00 251. 73 10, 070.00 3, 941. 00 2, 250. 00 306,468.86 Total. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 15,114. 21 781. 79 167, 956.89 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 306,468.86 Baston National Bank of Maryland, Easton. ROBERT B. DIXON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc '. Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. R. THOMAS, Cashier. No. 1.434. $514, 382. 09 338. 62 100,000.00 Capital stock paid in. $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 33,652.08 1,154.91 Individual deposits 4, 960. 00 United States deposits 1, 022. 97 Depositsof U.S.disbursingofficers . 39, 087. 75 1,090.00 Notes and bills rediscounted. Billspayable 301,453.92 14,360.00 12, 000.00 3, 585. 62 10, 222. 37 158.40 73, 255. 07 1.00 4, 500.00 778, 963. 89 13.142. 98 79, 370. 00 190.00 Liabilities other than those above stated Total. 778, 963.89 388 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Farmers and Merchants' National Bank, Easton. ISAAC A. BARBER, President. No. 4046. HARRY M. MASON, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts J U. S. bonds to secure circulation U. S. bonds to secure deposits LT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash itemi Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. $108, Capital stock paid in. $75,000.00 Surplus fund tJnr vided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding... I. 18. 2,000. 00 7 10, 000. 00 1, 306. 38 15, 050..00 780. 43 334. 32 j j Due to other national banks | Due to State banks and bankers.. | j Dividends unpaid |! ' | I 843.50 62,775. 90 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 166,247,09 (I Total . 1, 000. 00 166, 247. 09 Second National Bank, Elkton. WILLIAM T. WARBURTON, President. No. 4162. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds ; Stocks, securities, etc. Bank'g house, fumiture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S j $134, 707.10 j 875.15 I 12, 500.00 j j • ; 13, 300.19 619.19 186. 62 8 ,021. 47 4 ,338. 19 "320." 00 25. 58 11 ,956. 50 545. 00 562. 50 Cashier. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits jDeposits of U.S.disbursing officers.1 Notes and bills rediscounted Bills payable Liabilities other than those above stated 188, 017. 49 Total. ISAAC D. DAVIS, Capital stock paid in. Total . 5, 220. C O 1, 303. 40 11, 250. 00 153. 00 115, 783. 76 4, 307. 33 188,017.49 National Bank, Elkton. J . TOME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures' Other real estate and mortg's owned Due from other national banks \ Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ! Exchanges for clearing house j. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 1236. $354,258.82 155.37 31, 000. 00 CHAS. B. FINLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 32, 500.00 8,000.00 S j | Due to other national banks \ 2,326.63 ! Due to State banks and bankers..;. 117,904.58 I 150.87 ! 383.'00 58.43 28, 480. 05 5, 930. 00 0.00 50, 000. 00 22,671.33 26, 650. 00 31,366.60 Dividends unpaid Individual deposits United States deposits 1 . Deposits of U.S.disbursingoflicers-! 401, 854. 82 Notes and bills rediscounted . Bills payable 1, 395. 00 Liabilities other than those above ! stated ! 582, 542. 75 Total. 582, 542. 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 889 MARYLAND. Patapsco National Bank, Ellicott City. J. H. LEISHEAR, President. No. 3585. JNO. F. MCMULLEN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc I Bank'g house, furniture, and fixtures] Other real estate and niortg's owned j Due from other national banks j Due from State banks and bankers.; Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $181,114.46 i Capital stock paid in. 17.67 1 1 12,500.00 |j Surplus fund Undivided profits, less current expenses and taxes paid i National-bank notes outstanding. 18,001.31 \ State-bank notes outstanding 4, 500. 00 I Due to other national banks Due to State banks and bankers.. 15,895.72 : Dividends unpaid $50, 000. 00 16, 000. 00 8, 929.47 11, 250. 00 3, 701. 66 388.11 92.64 328.87 1 1 Individual deposits 2,000.00 !! United States deposits 83.47 jl Depositsof U.S.disbursing officers. 12,780.50 !j 2,000.00 |i JS otes and bills rediscounted Bills pay able 562."50"i| Liabilities other than those above stated 249,584.50 | 159,222. 62 Total. 249, 584. 50 First National Bank, Frederick. THOMAS (XORSUCH, No. 1589. President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items .Exchanges for clearing house Bills of other national banks! Fractional currency, nickels, cents. Specie , Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $141, 790.13 2, 696. 33 25, 000. 00 1, 300. 00 22, 621. 78 27, 000. 00 17, 600. 00 3,711.18 1, 698. 50 11,819.67 204. 84 400. 202. 22, 218. 750. 00 58 40 00 I R A TYLER, Cashier. Capital stock paid in. $100, 000.00 Surplus fund \ Undivided profits, less current I expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding I. Due to other national banks Due to State banks and bankers.. 20, 000.00 1, 877.44 22, 500. 00 2, 528. 70 177. 86 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing offic 133, 054.41 Notes and bills rediscounted . Bills payable 1,125. 00 Liabilities other than those above stated 280,138. 41 Total. 280,138.41 Central National Bank, Frederick. CHARLES "W. ROSS, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits i U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 1138. $272, 341. vl 5, 311. 85 75, 000. 00 7, 375.00 HENRY WILLIAMS, Cashier. Capital stock paid in I Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18,000.00 Due to other national banks i 27, 494. 70 3, 981. 38 j Due to State banks and b a n k e r s . . . 35, 714. 40 i 3, 445. 38 j Dividends unpaid 165. 00 602.83 6, 530. 50 9, 388. 00 3,375. 00 468, 725. 75 Individual deposits | United States deposits ! Deposits of U.S.disbursingofficers.' Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $200, 000. 00 40, 000. 00 12,023.11 59, 600. 00 1, 086. 38 1, 830. 07 154,186.19 468, 725.75 390 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Citizens' National Bank, Frederick. JOSEPH D. BAKER, President. No. 3476. ¥ M . G. ZIMMERMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of.deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $638,038.13 Capital stock paid in | 470.71 | 100,000.00 j Surplus fund ! Undivided profits, less current ! expenses and taxes paid 10, 000. 00 National-bank notes outstanding. 567, 444. 90 State-bank notes outstanding i 30, 000. 00 Due to other national banks I 25, 000. 00 196, 980. Q3 959. 98 130.00 419. 71 47,541.10 39, 575.00 4, 500. 00 Due to State banks and b a n k e r s . . ; Dividends unpaid $100, 000.00 85, 000. 00 30, 554.43 90,000.00 7,870.81 5, 629.80 j 66.00 Individual deposits 1, 436, 251.11 United States deposits | Deposits of U. S.disbursing officers. . Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 1, 755, 372.15 1, 755. 372.15 Farmers and Mechanics' National Bank, Frederick. D. C. WINEBRENER, President. Loans and discounts ' Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits i U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank 1 g ho use, furniture, and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1267. $263, 850. 3o 1, 323. 23 100, 000. 00 16,431.25 41, 398. 75 17, 000. 00 5,727.76 3,243. 22 13, 063.30 2,317.08 1,495.00 78.05 15, 552. 50 13, 599.00 4,500.66 500. 00 WILBUR H. DUVALL, Cashier. $125, 000. 00 Capital stock paid in Surplus fund .' Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 40, 000.00 Due to other national banks Due to State banks and b a n k e r s . . 8, 409. 80 4, 883. 24 6, 047.98 90, 000. 00 Dividends unpaid 221.25 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 225, 517. 22 Notes and bills rediscounted Bills payable Liabilities other than those above stated 500,079. 49 Total. 500, 079. 49 Frederick County National Bank, Frederick. Z. JAMES GITTINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, aud fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1449. $171, 548.19 210.49 135, 000. 00 10, 305. 00 63, 230. 00 7,000.00 1, 933. 59 1, 348. 58 5,563. 07 311.16 185. 00 239. 02 10,521.10 1, 615.00 J. W. L. CARTY, Cashier. Capital stock paid in Surplus fund j $150, 000.00 50, 000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6, 679. 02 114, 000. 00 Due to other national banks Due to State banks and bankers.. 982. 40 159. 70 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 434. 57 92, 829. 51 Notes and bills rediscounted. Billspayable 6, 075.00 Liabilities other than those above stated 415, 085.20 Total . 415, 085.20 BEPORT OF THE COMPTROLLER OF THE CURRENCY. 391 MARYLAND. First National Bank, Frostburg. No. 4149. B. STERN, President. R. ANNAN, Cashier. Resources. .1 Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $136, 607. 20 1, 284. 82 50, 000. 00 5,106. 32 39, 272. 50 1,291.80 2, 356. 69 944. 67 20,408. 54 290. 69 132.81 9. 844. 00 12, 970. 00 2, 250.00 282,760.04 Total. $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid Rational-bank notes outstanding. State-bank notes outstanding. 5, 000. 00 2, 383. 09 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 752. 88 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 171, 624. 07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 282, 760.04 Citizens' National Bank, Frostburg. DAVISON ARMSTRONG, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie v, Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4926. FRANK WATTS, Cashier. $124, 956. 55 ! I Capital stock paid in 335.78 ii 12, 500. 00 I Surplusfund | Undivided profits, less current j expenses and taxes paid 1, 253. 66 j National-bank notes outstanding. 12,086. 25 State-bank notes outstanding 3, 500. 00 Due to other national banks 1, 486. 96 Due to State banks and bankers.. 15.04 15, 263. 64 Dividends unpaid '. 239. 92 Individual deposits United States deposits 62.31 Deposits of U.S.disbursingofficers. 10, 647. 00 6, 000. 00 Notes and bills rediscounted. Bills payable $50, 000. 00 8, 000. 00 782.49 11,250.00 4,975.18 151.70 113,750.24 Liabilities other than those above 188, 909. 61 stated Total:. 188, 909. 61 First National Bank, Gaithersburg. UPTON DARBY, Pres-ldent. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... I U. S. bonds to secure deposits j U. S. bonds on hand j Premiums onU. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned] Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S ~ Total. R. B. MOORE, Cashier. No. 4608. $88,692.48 ii Capital stock paid in .1 1,165.27 S i 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,400. 00 National-bank notes outstanding. 2, 500. 00 State-bank notes outstanding 7, 438. 90 Due to other national banks Due to State banks and bankers.. 17, 752. 03 Dividends unpaid 28.12 1,337.80 5, 609. 00 562. 50 Individual deposits United States deposits DepositsofU.S.disbursingofficers. $50, 000.00 - 2,500.00 632.59 11,250.00 2, 584. 45 3.00 72, 016. 06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 138, 986.10 Total. 138,986.10 392 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND, First National Bank, Hagerstown. No. 1431. S. M. BLOOM, President. JOHN D. NEWCOMER, Cashier. Resources. Liabilities. Loans .and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand | Premiums on U.S. bonds j Stocks, securities, etc | Bank'ghouse,furniture, andfixturesj Other real estate and mortg's owned j Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents, j Specie | Legal-tender notes j U. S. certificates of deposit \ Kedemption fund with Treas. U. S.j Due from Treasurer U. S 1 Capital stock paid in Due to other national b a n k s 3, 000. 00 101,574.17 10,000. 00 60, 000. 00 28,994.39 2, 568.57 ii, 682.75 Due to State banks and b a n k e r s . . 1, 093. 88 124,437.11 i Dividends unpaid | 4, 765. 54 Individual deposits United States deposits 6, 820. 00 552.66 24, 023. 00 5, 000. 00 | | 12, 852. 24 67, 500. 00 3,077.28 2B9,116. 93 Depositsof U. S.disbursingofticers. | 1 Notes and bills rediscounted Bills payable "3," 375." 00* j I Liabilities other than those above j stated j 564,109. 41 Total . $100, 000. 00 Surplus fund I Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Total . 564,109. 41 Second National Bank, Hagerstown. No. 4049. J . J . FUNK, President. Loans and discounts j Overdrafts J U. S. bonds to secure circulation... j U. S. bonds to secure deposits j. U. S.bonds on hand i. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse. furniture, and fixtures! Otherreal estate and mortg's owned . Due from other national banks | Due from State banks and bankers, j Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house Bills of other national panks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S.j Due from Treasurer TJ. S i Total. $112, 859. 53 1, 280. 92 50, 000.00 |i ! I j! 4, 800. 00 jl 14, 000.70 31, 963. 61 JOHN V A N LEAR, Cashier. Capital stock paid in i $100,000.00 Surplus fund | Undivided profits, less current expenses and taxes paid j National-bank notes outstanding.j State-bank notes outstanding I 7,500.00 Due to other national banks I "7,913.19 I Due to State banks and bankers.. j 1.323. 59 15, 695. 99 |! Dividends unpaid 3,193.18 2,701.00 11.42 4.764.00 4, 570. 00 2, 250. 00 1,519.00 ! : I i: i i Individual deposits United States deposits DepositsofU.S.disbursingofticers. 565.12 45,000.00 24,175. 50 470. 40 998. 00 80,137.11 Notes and bills rediscounted Bills payable Liabilities other than those above J stated Total . 258,846.13 258,846.13 People's National Bank, Hagerstown. JOHN L. NICODEMUS, President. No. 4856. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures.! Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house ' Bills of other national banks Fractional currency, nickels, cents [ Specie ". j Legal-tender notes ! U. S. certificates of deposit | Redemption fund with Treas. TJ. S.j Due from Treasurer TJ. S Total ! A. B. BARNHART, Cashier, Capital stock paid in 5, 483. 75 2, 242. 92 606. 126. 6, 308. 705. 15, 37 81 19 64 11.15 3, 287. 50 3,881.00 2, 250. 00 257,318.56 ! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks $100, 000.00 2, 000.00 1, 038. 39 45, 000.00 1,826. 72 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits ! Depositsof U.S.disbursingofficers. i Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 319.31 107,134.14 257,318.56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 393 MARYLAND. First National Bank, Havre de Grace. A. P. MCCOMBS, President. No. 3010. R. K. YANNEMAN, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation...( I U. S.bonds to secure deposits TJ. S. bonds on hand \ Premiums on U. S. bonds j Stocks, securities, etc i Bank'ghouse,furniture.and fixtures! Other real estate and mortg s owned Due from other national banks I Due from State banks and bankers. I Due from approved reserve agents. • Checks and other cash items Exchanges for clearing house ] Bills of other national banks ' Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. ;318, 060.90 7, 685. 31 20, 000. 00 ],000.00 8, 000. 00 8, 000. 00 1,091.75 Capital stock paid i n . . ! $60, 000. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. I State-bank notes outstanding j 40, 000. 00 Due to other national banks i Due to State banks and bankers.. j 20,195. 59 144. 76 15,680.34 : Dividendsunpaid 2,806.00 | I Individual deposits -I 1, 945. 00 j United States deposits 131.83 j DepositsofU.S. disbursing officers, i. 10,305. 30 2, 975. 00 I Notes and billsrediscounted. i Bills payable 900.00 Liabilities other than those above j stated I 393,581.43 Total. Total . 24, 318. 77 18, 000.00 175, 922. 31 55, 000. 00 393, 581. 43 Citizens' National Bank, Laurel. CHARLES H. STANLEY, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4364. G. W. WALTERS, J R . . Cashier. $122,902. 93 | Capital stock paid in 271.13 12, 500. 00 Surplus fund I Undivided profits, less current I expenses and taxes paid 1,400.00 National-bank notes outstanding. 9, 063. 50 State-bank notes outstanding 7, 553. 00 2, 000. 00 Due to other national banks i Due to State banks and bankers.. \ 39,846.42 jj Dividendsunpaid. 1 Individual deposits 1 855. 00 |! United States deposits 382.09 I j Deposits of U. S.disbursing officers. 5, 514. 00 1,045.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 203, 895. 57 Total . 28,146. 98 468. 53 105.00 106, 712. 38 203, 895. 57 First National Bank, New Windsor. J O B HIBBERD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Billsof other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 747. NATHAN H. BAILE, Cashier. $71, 621. 34 i! Capital stock paid in 77.00!! 55, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 6, 434. 00 National-bank notes outstanding. 25,021. 00 State-bank notes outstanding 6, 600.00 Due to other national banks Due to State bf»nks and bankers.. 9, 410.13 Dividends unpaid 109.93 Individual deposits 955. 00 United States deposits 20.47 Deposits of U. S.disbursing officers. 3,203.50 2,795.00 I, Notes and bills rediscounted Bills payable 2,475.00 ' Liabilities other than those above stated 185,160.47 Total. $55,000.00 4, 500. 00 1, 548. 09 48, 800. 00 4, 571. 46 382.19 70, 358. 73 185,160.47 394 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Focomoke City National Bank, Pocoxnoke City. "WILLIAM DALE, President. No. 4191. W M . F . KING, Cashier. Resources. Liabilities. Loans and discounts | Overdrafts j tJ. S. bonds to secure circulation...! U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andlixtures Other real estate and mortg's owned I)ue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing housi Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. $130,069.89 1 Capital stock paid in. 1 357.92 1 1 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,500.00 ! National-bank notes outstanding. State-bank notes outstanding 6, 775. 88 2, 700. 00 Due to other national banks 303. 70 Due to State banks and bankers.. 1,003.14 73, 444.05 Dividends unpaid $50,000. 00 Individual deposits United States deposits Deposits of U.S disbursing officers. 158,403.42 175.00 137. 24 4, 552. 50 7,413.00 10, 000. 00 2,497. 94 11, 250. 00 8,997. 84 345. 62 Notes and bills rediscounted. Bills payable 562.50 i i Liabilities other than those above stated Total . 241,494.82 jj 241, 494. 82 Cecil National Bank, Port Deposit. No. 1211. JACOB TOME, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand j Premiums on U. S. bonds... ^ | Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 1396, 456. 54 186.72 35,000.00 46, 000. 00 1, 000. 00 39,126.44 77,579. 88 386. 90 475. 00 369. 36 20, 268. 50 8,130. 00 1, 575. 00 R. C. HOPKINS, Cashier. Capital stock paid i n . . Surplus fund Undivided profits, less currentexpenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 48, 620. 25 567. 52 Individual deposits United States deposits Depositsof U.S.dfsbursingofficers. 291, 577.17 Notes and bills rediscounted. Billspayable : Liabilities other than those above stated 606, 554. 34 Total. 606, 554. 34 National Bank, Rising Sun. H. H. HAINES, President. No. 2481. Loans and discounts j $139, 054. 35 Overdrafts I 4.46 U. S. bonds to secure circulation...\ 50, 000. 00 U. S. bonds to secure deposits \ U. S. bonds on hand j Premiums on U. S. bonds I 6, 000. 00 Stocks, securities, etc 19, 752. 43 Bank'ghouse,furniture,and fixtures 12, 500. 00 Other real estate and mortg's owned 1, 642. 77 Due from other national banks 6, 304.84 Due from State banks and bankers. 1, 424. 74 Due from approved reserve agents . 18, 013. 94 Checks and other cash items 3.85 Exchanges for clearing house Bills of other national banks 295. 00 Fractional currency, nickels, cents. 13.98 Specie 3, 842. 55 Legal-tender notes 1,610.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 1, 020. 00 Due from Treasurer U. S Total 261,482.91 CHAS. S. PYLE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. .$50, 000.00 25, 000. 00 4, 753.29 44, 300.00 5, 244. 25 50.28 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 132,135. 09 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 261,482.91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 395 MARYLAND Montgomery County National Bank, Rockville. SPENCER C. JONES. President. No. 3187. E. H. STOKES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures) Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. I Due from approved reserve agents. | Checks and other cash items j Exchanges for clearing house i Bills of other national banks j Fractional currency, nickels, cents, j Specie j Legal-tender notes j TJ. S. certificates of deposit j Redemption fund with Treas.TL S.i Due from Treasurer U. S $279, 039. 56 1, 685.40 100,000. 00 j $100, 000. 00 i Surplusfund i Undivided profits, less current j expenses and taxes paid 727.26 I National-bank notes outstanding. 206,719. 38 j State-bank notes outstanding ' Capital stock paid in 20, 000. 00 10, 000. 00 Due to other national banks Due to State banks and bankers.. 4, 202. 52 20, 000. 00 115,313.24 658.46 446,074.15 Notes and bills rediscounted. | Bills payable 4, 500.00 Liabilities other than those above stated .• 783, 032. 83 Total. 123,240. 50 1,068.19 560.00 Dividends unpaid j Individual deposits United States deposits 108. 21 Deposits of U.S. disbursing officers.! 23,728.80 16, 350.00 3,189. 99 88, 900.00 Total. 783, 032.83 Salisbury National Bank, Salisbury. ELIHU E. JACKSON, President • J N O . H . W H I T E , Cashier. No. 3250. Loans and discounts $163, 895. 71 Capital stock paid in. Overdrafts i 46.25 j TJ. S. bonds to secure circulation... j 24,500.00 Surplus fund Undivided profits, less current j TJ. S. bonds to secure deposits ! expenses and taxes paid | TJ. S. bonds on hand j | National-bank notes outstanding-! Premiums on U. S. bonds Stocks, securities, etc j 500.00 State-bank notes outstanding j Bank'gbouse, furniture, and fixtures: 6,900.00 Due to other national banks Other real estate and mortg's owned! Due from other national banks j 2,103.69 Due from State banks and bankers. j 563.72 Due to State banks and bankers.. Due from approved reserve agents. 27,534.19 Checks and other cash items 84. 25 Dividends unpaid. Exchanges for clearing house 314. 00 Individual deposits Bills of other national banks 1(5.84 Fractional currency, nickels, cents. 2,161. 00 United States deposits Specie 1, 600. 00 Depositsof U.S.disbursingofiicersLegal-tender notes Notes and bills rediscounted TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. | 1,102. 50 Bills payable Liabilities other than those above Due from Treasurer U. S | stated Total. 231, 322.15 Total. $50, 000.00 50, 000.00 2,208.41 22,050.00 5,132.18 330,58 101, 600.98 231,322.15 First National Bank, Snow Hill. JOHN WALTER SMITH, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gfcouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks , Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie " Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. I. T. MATTHEWS, Cashier. No. 3783. $137,270.24 | Capital stock paid in. 132.55 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid i National-bank notes outstanding. I State bank notes outstanding \ 7,864. 38 Due to other national-banks | 8.94 1, 227. < Due to State banks and bankers.. I 21,764. 52 Dividends unpaid. |( Individual deposits 150. 00 United States deposits 71.42 Deposits of U.S. disbursing officers. 7, 865. 00 3, 750.00 1 Notes and bills rediscounted. 1 ! Bills payable 562.50 i! 11,000.00 2, 027.11 10, 600.00 4,050.70 652.66 100. 00 114, 736. 74 . 1 Liabilities other than those above 1 stated 193,167. 21 Total . 193,167.21 396 REPORT OF THE COMPTROLLER OF THE CURRENCY* MARYLAJVD. Towson National Bank, Towson. JNO. CROWTHER, J R . , President. ' No. 3588. W. CLARENCE CRAUMER, Cashier, Resources. | Liabilities. Loans and discounts $163,888.18 Capital stock paid in. Overdrafts 175.55 i TJ . S. bonds to secure circulation... 12, 500.00 j Surplus fund Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand Premiums on U. S. bonds \ 1, 000. 00 i National-bank notes outstanding. Stocks, securities, etc ( 5.085.00 I State-bank notes outstanding Bank'ghouse^urniture^nd fixtures; 9,000.00 ! Due to other national banks Other real estate and mortg's owned Due from other national banks 1 Due to State banks and bankers. Due from State banks and bankers. | Due from approved reserve agents. j 16,098. 97 : Dividends unpaid Checks and other cash items ! 20.00 \ Individual deposits Exchanges for clearing house j Bills of other national jbanks ! 390.00 : U nited States deposits Fractional currency, nickels, cents. 49.57 i Deposits of U.S.disbursing officers. Specie 9,845.50 i Legal-tender notes 2, 395.00 j, Notes and bills rediscounted. U. S. certificates of deposit I Bills payable Redemption fund with. Treas. U. S. | 562.50 Due from Treasurer U. S 350.00 Liabilities other than those above stated 221,360.27 Total . $50, 000. 00 12, 000. 00 19, 891. 57 10, 750. 00 141. 00 128, 577. 70 221, 360.27 Total . First National Bank, Westminster. G. S. HAINES, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. 245. 00 72,150. 25 26, 994.93 [ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 6, 206. 03 3, 452. 60 Due to State banks and bankers. 11, 329. 94 i Dividends unpaid 699. 39 .)j Individual deposits 360. 00 1 United States deposits 1 166.69 II Deposits of U.S. disbursing officers. 12, 053. 70 8, 246. 00 i,i30.oo" $125,000.00 50,000. 00 2, 963.17 30, 600. 00 22, 652. 36 3,113. 94 718.81 146, 733. 54 Notes and bills rediscounted Bills payable Liabilities other than those above stated 381,781.82 ! i Total . GEO. R. GEHE, Cashier. No. 742. Total . 381, 781. 82 Farmers and Mechanics' National Bank, Westminster. H. W. SHRIVER, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... i U. S. bonds to secure deposits j U. S. bonds on hand ! Premiums on U. S. bonds i Stocks, securities, etc Bank'g Louse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. I Due from approved reserve agents J Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 1526. JNO. H. CUNNINGHAM, Cashier. $110,609.21 || Capital stock paid in $50, 000. 00 666.58 ! 12, 500. 00 ; Surplus fund 10, 000.00 i Undivided profits, less current j expenses and taxes paid ; 5,136.91 11,250.00 2, 000. 00 ' National-banknotes outstanding.! 1 State-bank notes outstanding 1 ' i i , 942. 89 D ue to other national banks i 2,041.30 565.99 "i," 862." 34" Due to State banks and bankers.. 363. Gl i Dividends unpaid 379. 22 1, 993.33 ; Individual deposits 1 70, 489.40 537. 00 United States deposits !. 10.36 Deposits of U.S.disbursing officers. j . 6, 290. 00 ! 525.00 I Notes and bills rediscounted . Bills payable i. 562. 50 Liabilities other than those above stated 149,862. 82 Total . 149, 862.82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 397 MARYLAND. Union National Bank, Westminster. J. K. LONGWELL, President. No. 1596. J. W. HERING, Cashier. Liabilities. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand'. Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ; $100, 000.00 Surplus fund j Undivided profits, less current exx>enses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40,000.00 Due to other national banks Due to State banks and bankers..| Dividends unpaid ! 27, 562.80 837.59 Individual deposits \ United States deposits Deposits of U.S.disbursing officers. 152, 673.43 Capital stock paid in Notes and bills rediscounted. Bills payable 7,895.74 87,800. 00 15, 000.00 Liabilities other than those above j stated j Total. Total. 432, 636. 44 Washington County National Bank, Williamsport. JAMES FINDLAY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furnitnre, and fixtures Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . No. 1551. $105,632. 59 "166, ooo. oo 8, 000. 00 20, 700. 00 4, 000.00 5,086. 72 5, 282.02 422.41 135.00 6.25 8, 950. 00 1,801. 00 3,130. 00 263.145.99 J . L. MOTTER, Cashier. Capital stock paid in j $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 20,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,645.24 Individual deposits United States deposits Depositsof U.S.disbursing officers. 6, 377.25 80,250.00 7,103.80 2,171.96 45,597. 74 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 263,145.99 398 REPORT OF THE COMPTROLLEB OF THE CURRENCY. MASSACHUSETTS. Abington National Bank, Abington. No. 1386. CHARLES N. COBB, President. G. R. FARRAR, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnituie, and fixtures Other real estate andmortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasury U. S $175, 367. 83 3.60 25,000. 00 2,000.00 375.00 15, 000.00 19, 760. 83 22,177.50 I Due to other national banks 1, 915. 95 j Due to State banks and bankers. 631.39 47,314.92 ; Dividends unpaid 241. 00 ij Individual deposits 781. 00 ' United States deposits. 222. 05 ! DepositsofU.S.disbursingomcers. 15,098. 60 4,485. 00 I Notes and bills rediscounted. ! Bills payable 1,125.00 Liabilities other than those above stated 274, 561. 34 Total. $75, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 142,623.01 274,561. 34 Total. First National Bank, Adams. No. 462. JAMES RENFREW, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand ' Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ... Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $199,430.37 101.63 100,000.00 11, 690. 00 89,150.78 27, 500.00 15, 000.00 1,121.58 $150,000.00 Surplus fund; Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding". Due to other national banks Due to State banks and bankers.. 58, 504. 61 Dividends unpaid. 1, 564. 34 Individual deposits 483. 00 United States deposits 200. 03 Deposits of U.S.disbursing officers. 7, 582. 65 5, 000. 00 Notes and bills rediscounted. Bills payable 50, 000. 00 45, 940.07 88, 000. 00 29, 679.89 76.00 158,133. 03 4, 500.00 Liabilities other than those above stated 521, 828. 99 Total. H. H. WELLINGTON, Cashier. Capital stock paid in. Total. 521, 828.99 Grey lock National Bank, Adams. W M . B. PLUNKETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits . . . . . . . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due froTtt other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4562. FRANK COENEN, Cashier. $465, 826. 88 | Capital stock paid in. 550.28 I 100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid 3, 875. 00 National-bank notes outstanding. 9, 000. 00 State-bank notes outstanding $100,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 44, 957. 62 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 366, 628. 81 1,630.60 73, 026. 22 555.79 650.00 21.23 3, 016.00 i 9,239,00 Notes and bills rediscounted. Bills payable 4, 500.00 Liabilities other than those above stated 671, 891. 00 Total. 50, 000.00 19,434.57 90, 000. 00 70.00 800.00 671, 891.00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 399 MASSACHUSETTS. Amesbury National Bank; Amesbury. . G. ELLIS, President. No. 2929. Resources. Loans anddiscoiu 4 Overdrafts U. S. bonds to serii/j circulation... U. S. bonds to secure deposits...... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for cfearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. SJ Due from Treasurer U. S j $229,621.76 Capital stock paid in | 8,403.67 I 99,000.00 | Surplus fund Undivided profits, less current expenses and taxes paid 11, 500. 00 National-bank notes outstanding. State-bank notes outstanding 28, 500. 00 1, 800. 00 Due to other national banks 1, 269. 01 Due to State banks and bankers.. "l8,"274."i4" Dividends unpaid • $100,000.00 Individual deposits j United States deposits ' Deposits ofbills rediscounted Notes and U.S.disbursingofficers.! 168,468. 08 200. 00 141. 97 5,302. 65 1, 419. 00 *4,'455.'oo' Bills payable 20, 000. 00 1, 813.24 89,100.00 1,638,83 11,312.96 19, 000. 00 Liabilities other than those above stated 411, 333. 71 Total. G. E. GALE, Cashier. Liabilities. Total . 411,333.71 Powow River National Bank, Amesbury. GEORGE F. BAGLEY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie • Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S No. 1049. ALBERT B. BROWN, Cashier. $666,242.07 i Capital stock paid in. $200, 000. 00 36.75 i 50,000.00 j Surplus fund 90, 000.00 4, 000. 00 7, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 45,104. 77 5, 275.44 2, 631. 00 72.17 22, 455.10 4,150. 00 5, 000.00 2, 250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Buls payable 0,144. 50 73, 405. 08 Liabilities other than those above stated Total . 814, 217.30 Total. 25, 667. 72 45, 000. 00 814, 217.30 First National Bank, Amherst. D. L. HILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. T. COWLES, Cashier. No. 393. $412,149.41 89.03 150, 000. 00 37,125. 00 10, 000. 00 2,916. 92 467. 67 20, 216. 99 217. 24 696. 00 158. 21 7,461. 05 12, 885.00 6, 750. 00 661,132.52 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000. (t0 50,000.00 19,558. 29 135, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13,764.65 47, 752.07 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 225, 053. 51 4.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated I Total. 20, 000.00 661,132.52 400 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Andover National Bank, Andover, No. 1129. M. T. STEVENS, President. E. R. FOSTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures! Other real estate and mortg'a owned' Due from other national banks Due from State banks and bankers Due from approved reserve agents. j Checks and other cash items ! Exchanges for clearing house Bills of other national/banks I Fraetionalcurrency, nickels, cents. j Specie ! Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. U. S-l Due from Treasurer U. S ', Total. Liabilities. $272. 889.15 .84 50, 000. 00 51,497.72 140, 310.03 1,291.62 7,728.00 51. 53 9, 749. 60 2, 000. 00 2, 250. 00 Capital stock paid in j $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding I 50, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid I Individual deposits i United States deposits | Depositsof U.S.disbursing officers.' 8, 242. 83 45, 000. 00 4.00 184, 521. 66 Notes and bills rediscounted Bills payable Liabilities other than those above stated 537,768.49 Total - 537, 768. 49 First National Bank, Arlington. E. NELSON BLAKE, President. Loans and discounts Overdrafts .*. U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other nationalbanks |. Due from State banks and bankers. 1. Due from approved reserve agents. I Checks and other cash it ems j Exchanges for clearing house j. Bills of other nationaipanks Fraetionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j. Redemption fund with Treas. U. S. | Due from Treasurer U. S Total. No. 4664. $137,191. 65 87.70 12, 500. 00 W. D. HiGGiNb, Cashier. ! Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 000.00 National-bank notes outstanding.' 38, 009. 21 State-bank notes outstanding 700. 00 165. 00 Due to other national banks Due to State banks and bankers.. j 29, 056. 34 Dividends unpaid 6.00 Individual deposits i 789. 00 United States deposits !. 163.61 DepositsofU.S.disbursingofficers.!. 6, 417. 06 4,479. 00 Notes and bills rediscounted. Bills payable 562.50 j Liabilities other than those above stated Total. 231,127.07 $50,000.00 1, 750. 00 11, 347. 04 10, 400. 00 067. 60 156, 922. 20 40.23 231,127. 07 First National Bank, Ashburnham. W. F. WHITNEY, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned' Due from other national banks Due from State bank sand bankers.; Due from approved reserve agents .| Checks and other cash items ! Exchanges for clearing house Bills of other nationalbinks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Total. No. 2113. M. M. STOWE, Cashier. $67,073.95 |j Capital stock paid in. 4, 500. 00 1, 995.00 645. 00 10, 545. 05 3, 588. 50 1,215.75 5.00 4.82 1, 399. 85 2,432.00 | Surplus fund i Undivided profits, less current I expenses and taxes paid ! National-bank notes outstanding.! State-bank notes outstanding...... $50,000.00 3, 210. 00 140.81 45, 000. 00 Due to other national b a n k s Due to State b a n k s and b a n k e r s . Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingofficers. 1,022.00 46, 282.11 Notes and bills rediscounted . Bills payable 2,250. 00 Liabilities other t h a n those above stated 145, 654. 92 Total. 145V 654, 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 401 MASSACHUSETTS. Athol National Bank, Athol. THOMAS H . G-OODSPEED, President. No. 2172. C. A. CHAPMAN, Cashier. Resources. Loans and discounts OverdraftsU. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Liabilities. $199,550.61 !! Capital stock paid in 922.82 100, 000. 00 i Surplus fund 8, 600. 00 4, 000. 00 35,771.42 2, 539.92 4,831.00 368. 22 13, 015. 30 $100, 000.00 13,100. 00 i Undivided profits, less current I expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11,261.31 89, 500. 00 Due to other national banks j Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. I 8,161. 50 15, 000. 00 344. 00 136, 732.48 Notes and bills rediscounted. Billspayable 374,099.29 ! Total . | Liabilities other than those above stated Total. 374,099. 29 Miller's River National Bank, Athol. ALPHEUS HARDING, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and morfg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No; 708. TV. D. LUEY, Cashier. $404, 235.15 ; Capital stock paid in j $150,000.00 | Undivided profits, less current | expenses and taxes paid ! National-bank notes outstanding. [ State-bank notes outstanding 100, 000.00 150, 000. 00 I Surplusfund 8,000. 00 27. 360. 00 70, 000. 00 1,007. £ 36, 717. 79 6,152. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 2, 481. 66 United States deposits 237.47 ! Deposits of U.S.disbursing officers. 17,543.(55 i 6, 054. 00 i Notes and bills rediscounted Bills payable Liabilities other than those above stated 737, 038. 99 Total. 17,288.30 135,000.00 25, 255. 65 65.00 309, 430. 04 6, 750.00 500.00 737, 038.99 First National Bank, Attleboro. JOSEPH M. BATES, President. No. 2232. Loans and discounts Overdrafts >. U. S. bonds to secure circulation... IF. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels.cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 400. 00 197, 753. 77 3, 200. 00 16, 000. 00 4,243. 50 o9, 668. 51 354. 61 ""ii'iiii." 66" 5,851.43 8, 900. 00 5, 000; 00 1,125. 00 -26 HOMER M. DAGGETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 266. 68 Individual deposits United States deposits Deposits of U.S.disbursingofficers.I 362,121.83 20, 000.00 29, 708. 30 22,500. 00 3.00 Notes and bills rediscounted. Billspayable Liabilities other t h a n those above stated 534, 599.81 Total. CUR, http://fraser.stlouisfed.org/ PT Federal Reserve Bank of St. Louis 5186, 516. 63 42.36 25,000.00 Total . 534, 599. 81 402 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Ayer. No. 3073. L E V I WALLACE, President. Resources. Loans and discounts HOWARD B. WHITE, Cashier. Liabilities. Overdrafts TL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalIbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $263, 746. 93 89.33 40, 000.00 4, 000.00 11, 300. 00 1, 000. 00 $75,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 500. 00 10, 258. 31 36,000. 00 Dae to other national banks Due to State banks and bankers. 18, 840. 66 37.17 70.00 .10 13, 813. 65 3, 365.00 1,800.00 358, 062. 84 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursin g officers. Notes and bills rediscounted Bills payable Liabilities'other than those above stated Total. 226,304.53 358, 062.84 First National Bank, Barre. No. 2685. . L. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned* Due from other national banks j Due from State banks and bankers, j Due from approved reserve agents.! Checks and other cash items j Exchanges for clearing house i Bills of other national panks j Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S.| Due from Treasurer U. S Total. $94,767.38 *i66,'ooo."66' 10, 500. 00 36, 609. 00 37, 635. 85 29. 23 4, 766. 00 24.95 3, 895. 30 4, 500. 00 F. A. KICH, Cashier. Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current 21, 000.00 expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 6,582.94 87,430. 00 Due to other national banks |. Due to State banks and bankers.. j Dividends unpaid 27,753.10 Individual deposits United States deposits Deposits ofU .S.disbursing officers.! 421.50 40,373. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 292,727. 71 166.67 292, 727. 71 Total. Beverly National Bank, Beverly. ALBERT PERRY, President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation...| U. S. bonds to secure deposits i. U. S. bonds on hand. '. Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,and fixtures;. Other real estate and mortgsowned . Due from other national banks J. Due from State banks and bankers. •. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 969. $531, 850. 25 1, 414.60 50, 000.00 3,000.00 15,468. 00 44,287.32 1,380. 69 800.00 260.90 27, 282.50 15, 200. 00 2, 250. 00 693,194.26 ALLEN H. BENNETT, Cashier. ~$20o, odoToo" Capital stock paid in. 70,000.00 Surplus fund Undivided profits, less current 23,385.63 expenses and taxes paid 45,000.00 National-bank notes outstanding. State-bank notes outstanding.... Due to other national banks Due to State banks and bankers. Dividends unpaid 409. 55 Individual deposits United States deposits Deposits of U.S.disbursingofficers 352, 460. 58 38.50 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total. 1,900.00 693,194. 26 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 403 MASSACHUSETTS. First National Bank, Boston. JOHN CARR, President. C. H. DRAPER, Cashier. No. 200. Liabilities. Resources. Loans and discounts ! $4, 383, 372. 29 Overdrafts. i 11. 63 XL S. bonds to secure circulation... | 50, 000. 00 U. S. bonds to secure deposits ; TJ. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc | 93, 085.49 Bank'g house,furniture, and fixtures 250, 000.00 Other real estate and mortg's owned Due from other national banks 238, 945. 58 Due from State banks and bankers.! 2, 230.96 Due from approved reserve agents. 265, 308. 65 Checks and other cash items | 57, 098.46 Exchanges for clearing house! j 65, 529. 37 Bills of other nationalbanks ! 11,812.00 Fractional currency, nickels,cents. 369. 00 Specie 462,130. 00 Legal-tender notes • 64,163. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. j 2, 250. 00 Due from Treasurer U. S Total . $1, 000, 000. 00 Capital stock paid in 1, 000, 000.00 Surplus fund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 267.647.95 45, 000. 00 ! Due to State banks and bankers.. | 1,156,814.75 112, 981. 78 306. 00 Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursingomcers. Notes and bills rediscounted. Bills payable 2,133, 252. 63 10, 303. 32 220, 000. 00 Liabilities other than those above stated 5,946,306.43 j Total ... 5,946,306.43 Second National Bank, Boston. T. P. BEAL, President. Total T. H. BREED, Cashier. No. 322. $6, 942, 742. 42 Loans and discounts 10.00 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures: Other real estate andmortg' s owned I 1, 417, 812. 51 Due from other national banks Due from State banks and bankers. Due from approved reserve agents. I 1,194, 027. 65 5,880. 21 Checks and other cash items ! 214, 736. 72 Exchanges for clearing house Bills of other national banks 28, 332. 00 Fractional currency, nickels, cents. 143.76 464, 020. 00 Specie 354, 200.00 Legal-tender notes 80, 000. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in $1, 600, 000.00 Surplus fund ! Undivided profits, less current i expenses and taxes paid National-bank notes outstanding. I State-bank notes outstanding 1, 000, 000. 00 | Due to other national banks 2, 664,430. 32 424, 787.04 | Due to State banks and bankers.. 65, 409. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 10,754,155.27 80, 238.78 45, 000. 00 Total . 4, 855, 298.13 1,042.00 17, 950. 00 10, 754,155. 27 Third National Bank, Boston. MOSES WILLIAMS, President. No. 359. HARRY L. BURRAGE, Cashier. Loans and discounts $4, 869, 497. 00 !! Capital stock paid in Overdrafts 2,718.63 i 271863 i U. S. bonds to secure circulation... 1, 300,000. 00 Surplusf und Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand I National-bank notes outstanding. Premiums on U. S.bonds 177,250.00 Stocks, securities, etc 360,763! 25 | State-bank notes outstanding Bank'g house,!"urniture,and fixtures Due to other national banks ! Other real estate and mortg' s o wned 38, 748. Due from other national banks 810, 765. Due to State banks and b a n k e r s . . | Due from State banks and bankers. 53,437. Dividends unpaid ! Due from approved reserve agents. 1, 312, 690. Checks and other cash items 5, 589. ! Individual deposits Exchanges for clearing house 153, 205. Certified checks j Bills of other national banks 20, 535. United States deposits ! Fractional currency, nickels, cents. 950. Depositsof U.S.disbursingofficers.' Specie 410, 577. Legal-tender notes 121, 000. Notes and bills rediscounted. U. S. certificates of deposit 10, 000. Bills payable Redemption fund with Treas. U. S. 63, 000. Due from Treasurer U. S 11, 000. Liabilities other than those abov stated Total . 9, 721, 727. 97 Total $2, 000,000. 00 70, 000. 00 18,117. 90 1,060,997.50 1, 539,158. 90 1, 203, 224. 05 40, 665.50 3,769,492.12 8, 680. 00 11, 392. 00 9,^21^727797 404 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Fourth National Bank, Boston. N o . 2277. W. W. KIMBALL, President. A. W. NEWELL, Cashier. Resources. Liabilities. Loans and discounts $2,147,357.96 607.22 Overdrafts U. S. bonds to secure circulation... 100,000.00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 8, 718. 75 9,000.00 Stocks, securities, etc Bank'ghouse,furniture,and fixtures 31, 694.00 Other real estate and mortg's owned 305,133.89 Due from other national banks 46, 319.77 Due from State banks and bankers. 469, 233.23 Due from approved reserve agents. 948.43 Checks and other cash items 111,740.35 Exchanges for clearing house 10,154.00 Bills of other national jbanks 347.08 Fractional currency, nickels, cents. 143, 533. 75 Specie 68,000.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 4,500.00 Due from Treasurer U. S Total Capital stock paid in. $750, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150,000. 00 Due to other national banks Due to State banks and bankers.. 371,340.37 209, 943.13 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.di&bursingofficers. Notes and bills rediscounted. Bills payable 64, 344. 69 90, 000. 00 75.00 1, 814, 560. 21 7,025.03 Liabilities other than those above stated 3,457,288.43 Total. 3,457, 288. 43 Atlantic National Bank, Boston. ISAAC PRATT, J R . , President. No. 643. JAMES G. DROWN, Cashier. Loans and discounts $1,092,844.66 I Capital stock paid in. J Overdrafts Surplus fund 750, 000.00 U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand Premiums on U. S. bonds 68, 000.00 National-bank notes outstanding. 446, 870.00 State-bank notes outstanding Stocks, securities, etc 267,161.90 Due to other national banks Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned " 24,'860.'42' Due to State banka and bankers.. Due from other national banks Due from State banks and bankers. 'ii6,'929.45' Dividends unpaid Due from approved reserve agents. 112.50 Che d s Checks and other cash items Individual deposits Exchanges for clearing h house 17, 227.06 f l i Certified checks uanks Bills of other n ationalu 600. 00 Fractional currency, nickels, cents. i 59.83 United States deposits Specie 117,409.00 Deposits of U.S. disbursing officer a. Legal-tender notes 8, 000. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 33,750.66 j Due from Treasurer U. S Liabilities other than those above stated Total. 2,943, 824. 82 Total $750, 000. 00 300, 000. 00 30, 785.36 675, 000. 00 80, 230. 31 250, 772. 69 770. 00 750,619.65 542. 97 105, 000. 00 103.84 2, 943, 824.82 Atlas National Bank, Boston. JOHN G. WETHERELL, President. Total. BENJ. P . LANE, Cashier. No. 654. Loans and discounts | $3,767,043.01 " " 46.98 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 97, 500. 00 Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned 356,146.34 Due from other national banks Due from State banks and bankers. 13, 671. 26 448,103.41 Due from approA'ed reserve agents. Checks and other cash items 4,446. 37 Exchanges for clearing house 83,396. 55 20, 223. 00 Bills of other national banks Fractional currency, nickels, cents. 284. 00 Specie * . 224,167. 00 Legal-tender notes 98, 833. 00 U. S. certificates of deposit 50, 000. 00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 5, 216,110.92 Capital stock paid in $1,500,000.00 Surplusfund 400, 000.00 Undivided profits, less current expenses and taxes paid 127,125. 71 National-bank notes outstanding. 30, 920. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofncers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 148, 797.49 27, 609. 31 37, 532. 50 2,911,277.41 9,040. 50 23, 808. 00 5, 216,110.92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 405 MASSACHUSETTS* E. , President Blaekstone National Bankj Bbstdn. No. 514. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. IS. bondson hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghou8e,furniture,andfixtures Other realestate and mortg's o wned Due from other national banks Due from. State bankaand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. !, 721, 336. 06 4,850. 20 50, 000.00 5, 000. 00 72,700.00 316, 000. 00 JAMES ADAMS, Cashier. Liabilities. Capital stock paid in $1,000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200, 000. 00 Due to other national banks 178,411.82 161,435.46 97, 764. 78 35, 350.00 "7(J,"766." 66' Due to State banks and bankers.. 2, 083.17 262, 289. 77 3, 471. 00 100,628. 64 11,541.00 647.34 102,046.50 103, 000.00 30,000. 00 2, 250.00 3,858, 609. 68 966.15 Dividends unpaid 1,782,257.15 4, 032.00 Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 390, 000. 00 Liabilities other than those above stated Total. 8, 392.32 3,858, 609. 68 Boston National Bank, Boston. SILAS PEIBCE, President. No. 408. Loans and discounts O ve 1 drafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums onU. S. bonds Stocks, securit ies, etc .Bank'ghousejfurmturejaudfixturesj Otherrealestateandmortg's owned' Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and othercashitems Exchanges for clearing house Bills of other national banks Fractional currency,nkkels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total D. B. HALLETT, Cashier. $2,728, 665. 59 j Capital stock paid in $1,000,000.00 56," 666." 66* | Surplus fand 172, 000. 00 Undivided profits, less current expenses and taxes paid 5, 500. 00 I National bank notes outstanding. 333,581.83 State-bank notes outstanding 5, 600.00 Duo to other national banks 181, 003.11 Due t-> State banka and bankers.. 511,059.55 6,844.34 49,474.32 32,213. 00 263, 588.00 100, 000.00 2, 250.00 52, 632. 06 45, 000.00 344,639. 94 127, 206.30 19,829. 00 Dividends unpaid 2,493,487. 79 2, 440. 65 Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above s t ated Total I 4,269,779.74 12,544. 00 ( 4,269,779.74 Boylston National Bank, Boston. CHAS. TORREY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures| Other real estate andmortg's owned1 Due from other national banks — Due from State bauks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks Fractional currency,nickels, cents. Specie Legal-ten demotes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 545. $2,100,615.38 199.45 50, 000. 00 75, 052.11 16,918.76 57, 222. 49 3, 586.55 174,239. 54 2,189.83 40,715.47 20,068. 00 158.13 234,361. 00 26, 070. 00 2,250. 00 2,803,646.71 D. S. WATERMAN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers... Dividends unpaid Individual depo its Certified checks United States deposits Deposits ofU.S.disbursing officers. Notes ard bills rediscounted. Billspayable Liabilities other than those above stated Total 350, 000.00 86,616.94 45, 000. 00 11, 612.36 293,688.96 312.00 1, 266,316.45 100.00 50, 000.00 | 2,803,646.71 40(3 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Broadway National Bank, Boston. R. C. DOWNER, President. No. 551. JAMES B. KELLOCK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XL S. bonds on hand " Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $1,537,151.94 1,713.60 50,000. 00 4, 500. 00 22,933.19 53, 348. 57 159,641.03 9, 535. 23 159, 711. 24 10, 438. 00 287. 82 74, 845.50 88,500. 00 2, 250.00 Capital stock paid in Surplus fund Undivided profits, less current I expanses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits j DepositsofU.S.disbursingonicers. 175, 000. 00 38, 830. 53 45, 000. 00 70, 000. 00 36, 953. 01 1, 593, 926.13 15,146.45 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 2,174, 856.12 Total. $200, 000. 00 2,174,856.12 Bunker Hill National Bank of Charlestown, Boston. C. R. LAWKENCE, President. No. 635. F R E D . K. BROWN, Cashier. Loans and discounts Overdrafts 17. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds $1, 599,189.19 i Capital stock paid in. 11. 23 50, 000. 00 Surplus fund Undivided profits, less current •expenses and taxes paid National-bank notes outstanding 11,250.00 State-banknotes outstanding Stocks, securities, etc 52, 440.42 Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned j Due to other national banks Due from other national banks 9, 488. 54 Due to State banks and bankers. Duefrom State banks and bankers. Due from approved reserve agents. 417, 378. 91 Dividends unpaid ... Checks and other cash items 34,053.97 Exchanges for clearing house Individual deposits Bills of other national banks 3, 871. 00 United States deposits 374. 93 Deposi ts of U .S.disbursing officers. Fractional currency, nickels, cents. 137, 748. 53 Specie * . 30,550 00 Notes and bills rediscounted. Legal-tender notes Bills payable IT. S. certificates of deposit Redemption fund with Treas. IT. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated 2, 348, 604. 72 Total. Total. $500, 000. 00 350, 000. 00 101, 622. 76 44, 400. 00 1,058. 67 388. 00 1, 351,135. 29 2, 348, 604. 72 Central National Bank, Boston. CHAS. H. ALLEN, President. Loan and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. O. H. LUKE, Cashier. No. 2103. ,934,314.37 | Capital stock paid in 2,710.33 j 120,000.00 || Surplus fund Undivided profits, less current expenses and taxes paid 33,650.00 | National-bank notes outstanding. 228,290.95 ! State-bank notes outstanding $500,000.00 Due to other national banks Due to State banks and bankers.. 128, 809.16 202, 368. 99 204, 719. 23 255, 549. 78 1,179.42 41,304.71 2,148. 00 27.19 131,904.25 69, 000. 00 5, 400. 00 3,010,198.23 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingotticers. Notes and bills rediscounted. Bills payable 100, 000. 00 278, 776. 98 68, 670.00 60.00 1,449,097.10 2, 416. 00 280, 000. 00 Liabilities other than those above stated Tottal. 3, 010,198.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 407 MASSACHUSETTS. Columbian National Bank, Boston. HORATIO NEWHALL, President. No. 1029. L. W . EURLEN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. 8. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg s owned | Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national'banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. Capital stock paid in. $1, 000, 000. 00 170, 000. 00 600, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 41, 336.11 540, 000. 00 70,125. 00 National-bank notes outstanding. State bank notes outstanding 15,180. 82 Due to other national banks 309, 015. 83 474, G27. 34 203, 636.95 Due to State banks and bankers.. 138. 00 324, 756.17 Dividends unpaid 201. 45 1,660,341.74 39, 634. 28 Individual deposits 2,170. 75 9,035. 00 Certified checks 247. 31 United States deposits 188, 866. 50 Deposits of U.S.disbursingofficers. 55, 000. 00 Notes and bills rediscounted 10, 000. 00 Bills payable 100, 000. 00 27, 000. 00 9, 000. 00 Liabilities other than those above stated 6, 000. 00 !, 751,946.29 4, 309, 629. 77 Total . 4, 309, 629. 77 Total . Commercial National Bank, Boston. No. 3923. OTIS HINMAN, President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation... j U. S. bonds to secure deposits... U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate audniortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.I Due from Treasurer U. S Total GEO. B. FORD, Cashier. ! $781,926.10 || Capital stock paid in | 28.27 || i 50, 000.00 jj Surplus fund I Undivided profits, leas current I xpenses and taxes paid. 6, 000. 00 National-bank notes outstanding. 10, 779. 95 State-bank notes outstanding 3.900.00 j 15,181.21 j Due to other national banks 212,215.42 I Due to State banks and bankers.. 6, 204. 78 166,861.68 Dividends unpaid 1, 423.13 23,136. 89 Individual deposits 3, 840. 00 Certified checks 224.15 United States deposits 78, 594. 67 Deposits ofU.S.disbursingoffieers. 36, 400. 00 Notes and bills rediscounted 2, 250. 00 Bills payable Liabilities other than those above stated 1,398,966.25 $250,000.00 10,000.00 17, 903. 44 43,560. 00 21,231.56 99, 436.90 140.00 946, 452. 79 8, 991. 56 1, 250. 00 | 1,398,966.25 Total Continental National Bank, Boston. WILLIAM T. HART, President. No. 524. CHARLES F . SMITH, Cashier. $2,040,846.80 i Capital stock paid in Loans and discounts $1, 000, 000. 00 38.52 ! Overdrafts 200, 000. 00 50,000.00 Surplusfund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid 185,501.22 X S bonds on hand J National-bank notes outstanding. 43, 650. 00 Premiums on U. S. bonds 54,000.00 1 State-bank notes outstanding Stocks, securities, etc 190,000.00 ; Bank'ghouse,furniture,and fixtures 139, 793. 23 23,181.95 | Due to other national banks Other real estateandmortg's owned 56, 839. 09 113,890.05 Due to State banks and bankers.. Due from other national banks Due from State banks and bankers. Dividends unpaid 1, 003. 00 Due from approved reserve agents. 208,624.15 Checks and other cash items 3,566.41 Individual deposits 1 ?88, 104. 95 Exchanges for clearing house 41,223.24 j Certified checks i, 900. 00 Bills of other national banks 12,639.00 I United States deposits Fractional currency, nickels, cents. 596.37 i Deposits of U.S.disbursingoificers. Specie 129,000.00 | Legal-tender notes 50,000.00 Notes and bills rediscounted , TJ. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. "2*256" oo "i Due from Treasurer U. S Liabilities other than those above stated Total 2,919^856749 Total 2, 919, 856.49 4.08 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Eliot National Bank, Boston. WILLIAM H. GOODWIN, President. No. 536. F . HARRINGTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts XI, S. bonds to secure circulation. *. U. S. bonds to secure deposits XL S bonds on hand.. Premiums on U S. bonds Stocks, securities, etc Bank'£hou8e,furniture,andfixtures' Otherreal estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit npti< Redemption fund withTreas. U. S. Due from Treasurer U.S. Total $2 736,153. 59 194,96 50, 000. 00 $1,000,000.00 Capital stock paid in 500,000. 00 Surplus fund s Undivided profits, less current I ex penses and taxes paid \ National-bank notes outstanding. j 73, 148.85 ! State-bank notes outstanding j Due to other national banks 104, 245. 87 I Due to State banks and bankers.. 98,719.47 44, 590.00 '129, 657.19 249,043.07 438.00 236,383.05 | Dividend s unpaid 1, 479, 015. 09 2,821.45 21, 501.03 85, 666. 72 I Individual deposits 4,120. 00 I Certified checks 60.86 United States deposits. 140,188.50 Depositsof U.S.disbursingofiicers. 57. 730. 00 Notes and bills rediscounted 30, 000. 00 Bills payable 2, 250. 00 Liabilities other than those above I stated j. 3,522.963.85 Total i 3,522,963.85 Everett National Bank, Boston. WARREN SAWYER, President. No. 1469, JOHN REYNOLDS, Cashier. Loans and discounts ! $1,048,209.81 i Capital stock paid in. 7Z7~.7.T7^\ Overdrafts U. S. bonds to secure circulation... 150, 000.00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits expenses and taxes p a i d . . . . U.S. bonds on hand. 15 750.00" I National-bank notes outstanding. Premiums on U. S. bonds State bank notes outstanding 2S,679.15 ! Stocks, securities, etc Bank'ghouse,furniture,andfixtures | Due to other national banks Otherreal estate and mortg s owned' Duo from other national banks..... 46,406. 52 j Due to State banks and bankers.. Due from State banks and bankers. Dividends unpaid 114. 919. 50 Duo from approved reserve agents. 2, 792. 28 Individual deposits Checks and other cash items 44, 341. 71 Certified checks Exchanges for clearing house 11, 384. 00 United States deposits Bills of other national banks 122.14 Deposits of U.S.disbursingonicers. Fractional currency, nickels,cents. 45,174. 20 Specie 46, 000. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. TJ. S. 6, 750. 00 Liabilities other than those above Due from Treasurer U. S stated Total 1,560,529.31 $400, ooo. oo 46,184.57 16,602.47 131,090.00 14. 074.14 8,000.00 889, 248.88 3,281.25 50,000.00 2,048.00 Total 1,560,529.31 Paneuil Hall National Bank, Boston. J. V. FLETCHER, President. No. 847. Loans and discounts ! $2, 658, 763.42 Overdrafts j U. S. bonds to secure circulation... j 50, 000.00 U. S. bonds to secure deposits ! TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j 23,815.20 124,950.00 Bank'ghouse,furniture,andfixturesj 13, 213.07 Otherreal estate and mortg's owned! 145,157.79 Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. 236,754.43 Checks and other cash items 1, 947. 72 Exchanges for clearing house 53, 070. 96 Bills of other national banks 6,497. 00 Fractional currency, nickels, cents. 1,808. 87 Specie 235, 330. 00 38, 000. 00 Legal-tender notes U. S. certificates of deposit { Redemption fund with Treas. U. S.| 2,250.00 Due from Treasurer U. S j Total 3,591,558.46 ; T. G. HILBR, Cashier. Capital stock paid in j $1,000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200,000.00 229,605. 56 45, 000. 00 90,000. 00 114,329. 91 Due to other national banks Due to State banks and bankers.. Dividends unpaid 30, 837.00 Individual deposits . . J 1,869,593.08 Certified checks | 4,192.91 United States deposits ! Depositsof U.S.disbursingpfticers. i Notes and bills rediscounted Bills payable ' Liabilities other than those above ! stated Total 8,000.00 j 3,591,558.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 9 0 MASSACHUSETTS. First Ward National Bank, Boston. GEORGE W. MOSES, President. No. 2112. Resources. Loans and discounts Overdrafts U. S. bonds tosecure circulation... U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc BaT)k'ghouse,furniture,and fixtures Otber real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. FRANK F . COOK, Cashier. Liabilities. $823,177.39 342.48 100,000.00 20, 000.00 11,400.00 15,400.00 1. 300.00 5^ 655.84 68, 514. 68 557. 70 8,431.40 5,135. 00 1,185.92 98,182.76 35,017. CO 4, 500. 00 7, 500. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid Nationai-bank notes outstanding. State-bank notes outstanding...., Duo to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 100, 000.00 34, 725. 65 90, 000. 00 2, 050.11 35.00 755, 071.17 22,818. 24 1, 600. CO 1,206,300.17 Total 1, 206, 300.17 $200,000.00 Freeman's National Bank, Boston. GEO. P. TENNEY, Cashier. No. 665. $800, 000. 00 Loans and discounts* $1,995,145.52 Capital stock paid in. Overdrafts 119, 300.00 U. S. bonds to secure circulation... 50," 000." 66" Surplus fund Undivided profits, less current U. S. bonds to seen re deposits 49, 021. 21 expenses and taxes paid U. S. bonds on hand 44,950. 00 National-bank notes outstanding. Premiums on U. S. bonds State-bank notes outstanding 58, 543. 93 Stocks, securities, etc 4, 500. 00 Bank'ghouse,furniture,andfixtures Due to other national banks . . . . . . 310,434.94 Other real estate and mortg's owned 178, 219. 52 146, 266. 95 Due to State banks and bankers.. Due from other national banks 337.94 Due from State banks and bankers. 54.00 Dividends unpaid 201, 770. 26 Due from approved reserve agents. 622. 77 Checks and other cash items 1,154, 344. 86 Individual deposits 22,194. 8L Exchanges for clearing house 4,286.05 Certified checks 15,868.00 Bills of ot her national banks United States deposits. * 381.25 Fractional currency, nickels, cents Deposits of U.S. disbursing officers. 129,781.15 Specie 37,448. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S W M . A. RUST, President. stated Total. 4, 500.00' | 2, 665,110. 58; Total 2,665,110.58 Globe National Bank, Boston. C. E. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniturejandfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash i t e m s . . . . . . . Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 936. ;, 558,469.48 1,671.27 150,000. 00 31, 750. 00 195, 654. 95 213,810.16 651.36 468, 914. 94 3, 805.41 151, 284. 25 16, 821. 00 325.11 242,400. 00 158,000.00 20, 000. 00 6,750. 00 C. H. HOOKE, Cashier. Capital stock paid in $1, 000, 000. 00' Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 80,000.00' Due to other national banks Due to State banks and bankers.. 393, 097. 75112,179.17 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U .S.disbursingofficers. Notes and bills rediscounted. Bills payable 53, 757. 94 52,170.00' 298.00' 3, 438, 828. 61 39,976.46 50,000.00! Liabilities other than those above stated , 5, 220, 307. 93 Total 5,220,307.93: 410 RE^ORtf OF THE COMPfROLLfiR OF THE CtfRRENCt, MASSACHUSETTS. Hamilton National Bank, Boston. JSfo. 778. A. H. BEAN, President. GEO< W. NEWHALL-, Resources. Liabilities. Loans and discounts $1,878, 700.92 Capital stock paid in Overdrafts 10.43 U. S. bonds to secure circulation... 50, 000. 00 Surplus fund Undivided profits, less current IT. S. bciuds to secure deposits expenses and taxes paid U. S. bonds on hand National bank notes outstanding. Premiums on U. S. bonds State bank notes outstanding Stocks, securities, etc 62, 693. 34 Bank'g house,furniture,and fixtures Due to other national banks Other real estate and mortg's owned: Due from other national banks j 296, 984.51 Due to State banks and bankers.. Due from State banks and bankers.; Dividends unpaid Due from approved reserve agents. j 208, 869. 71 Checks and other cash items 1, 350. 65 Individual deposits Exchanges for clearing house 40,313.99 Certifiedchecks Bills of other national banks 9, 478. 00 United States deposits. Fractional currency, nickels, cents. 198. 38 Deposits of U.S.disbursingoflScers. Specie 91,707.50 Legal-tender notes 135, 587. 00 Notes and bills rediscounted. U. S. certificates of deposit 20, 000. 00 Bills payable Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Liabilities other than those above stated Total. H. J. JAQUITH, President. Total . 2, 858,144. 43 Hancock National Bank, Boston. No. 1442. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Prem iums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned j Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $1,150,084. 69 756. 34 50. 000. 00 2,625.00 71, 343.57 4, 320. 07 57, 062. 28 75, 332.17 138, 326. 65 9, 444. 33 19,319.07 5,288. 00 26.07 42, 318. 50 48,910.00 2,250.00 2, 000. 00 200, 000. 00 100, 660.64 44,700.00 59, 895. 99 80.00 1, 689,307. 80 13, 500.00 2, 858,144.43 W M , H. ABBOT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding $400,000.00 Due to other national banks Due lo State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Depositsof U.S. disbursing officers. 79,451. 35 30, 858.39 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1,679,406.74 Total. $750,000.00 19, 932.27 45, 000. 00 994,340. 97 3,481.08 100, 000.00 6, 342. 68 1, 679,406.74 Howard National Bank, Boston. SAMUEL F . WILKINS, President. No. 578. Loans and discounts $2,873,274.11 Overdrafts 4, 528. 46 U. S. bonds to secure circulation... 50,000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 6, 375.00 Stocks, securities, etc 51,250. 58 Bank'ghouse,furniture,and fixtures 23,408.12 Other real estate and mortg's owned 86,852.51 Due from other national banks 182,967.60 Due from State banks and bankers. 25,412.22 Due from approved reserve agents. 286, 667.18 Checks and other cash items 7,329. 78 Exchanges for clearing hoiivse 37,225.74 Bills of other nationalT)anks 7,123.00 Fractional currency, nickels, cents. 450. 57 Specie 246, 653. 75 Legal-tender notes 45,684.00 U. S. certificates of deposit i Redemption fund with Treas. U.S.! 2, 250. 00 Due from Treasurer IT. S i Total. 3,937,452. 02 CHANDLER BOBBINS, Cashier. Capital stock paid in $1,000,000.00 Surplus fund | 200, 000.00 Undivided profits, less current J 64,236.00 expenses and taxes paid I 45,000. 00 National-bank notes outstanding.) State-bank notes outstanding j• 385, 390.48 Duo to other national banks 299, 517.50 Due to State banks and bankers.. 45.00 Dividends unpaid 1, 926, 428. 40 Individual deposits 16, 835. 24 Certified checks United States deposits Deposits of U.S.disbursingofficers. I Notes and bills rediscounted I Bills payable j Liabilities other than those above stated Total 3,937,452.62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 411 MASSACHUSETTS. Lincoln National Bank, Boston. No. 2846. E. K. BUTLER, President. E. C. WHITNEY, Cathier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on baud Premiums on II. S. bonds Stocks, securities, etc „ Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks . Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. ,515,155.54 |; Capital stock paid in 40.75 || 150, 000. 00 ! Surplus fund S Undivided profits, l^ss current | ;j expenses and taxes paid . 16,000.00 ij National-bank notes outstanding. 37^ 752. 29 i' State bank notes outstanding 36, 457. 34 Due to other national banks 129, 412. 68 Due to State banks and bankers.. I Dividends unpaid 169*837,81 2, 324, 26 | Individual deposits 21.976.71 j Certified checks 5,817.00 I United States deposits 398. 89 I DepositsofU.S.disbursingofncers. 84, 500. 00 60, 000. 00 j Notes and bills rediscounted. i Bills payable , 6,750.00 i 185,673. 77 12, 775. 85 1,082,788.71 10.573.35 240, 000. 00 Liabilities other than thoseabove stated . 2, 236,423.27 Total. $500, 000.00 35, 000.00 34,611.59 135, 000. 00 Total ! 2,236,423.27 Manufacturers' National Bank, Boston. D. J. LOED, President. No. 2111. FRANCIS E. SEAVER, Cashier. $1,822,644.15 i Capital stock paid in Loans and discounts I $500,000.00 112.09 ! Overdrafts 45,200.00 240,000.00 ! Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits 41, 600.94 expenses and taxes paid 25,000. 00 II. S. bonds on hand 215,997.50 26, 720.00 National-bank notes outstanding.) Premiums on U. S. bonds State-bank notes outstanding.... J Stocks, securities, etc Bank'ghouse, furniture,and fixtures j 203, 770.19 Due to other national banks..,---! 262, 375. 54 Other real estate and mortg's owned j 358, 382. 53 Due to State banks and bankers.,! Due from other national banks *227," 756" 17* Due from State banks and bankers. 406. 00 Dividends unpaid ,. | 299,711.72 Due from approved reserve agents. 1, 030. 22 Individual deposits Checks and other cash items 1,763,690.69 48,146. 59 i Certified checks Exchanges for clearing house 1,391.63 23,854.00 United States deposits Bills of other national banks 453.60 Fractional currency, nickels,centsDepositsof U.S.disbursingofficers. 153,946.10 Specie 94, 500. 00 Notes and bills rediscounted.« Legal-tender notes 10, 000. 00 TJ. S. certificates of deposit Bills*payable 10, 800. 00 Redemption fund with Treas. U . S . Liabilities other t h a n those above Due from Treasurer U. S stated *.. Total -.3,188,444.83 Total 3,188,444.83 Market National Bank, Boston. No. 505. JOSIAH Q. BENNETT, Cashier. $2,464,162.19 ! Capital stock paid in Loans and discounts $800,000.00 781.52 Overdrafts 132, 000. 00 50, 000. 00 U. S. bonds to secure circulation . . . I Undivided profits, less current U. S. bonds to secure deposits j I expenses and taxes paid 1 29,165. 39 U. S. bonds on hand j 45,000. 00 5, 000.00 |i National-banknotes outstanding. Premiums on U. S. bonds j 85, 770.16 State-bank notes outstanding Stocks, securities, etc I Bank'ghouse,furniture,and fixtures1 Due to other national banks.. 128,405.35 Other real estate and mortg's owned; 256, 924.45 Due from other'national banks 61, 340. 30 Due to State banks and bankers.. Due from State bank sand bankers. 16, 546.00 162, 870.20 Dividends unpaid Due from approved reserve agents. * 5, 946.16 Checks and other cash items 1, 796, 559.21 42, 261. 60 I Individual deposits Exchanges for.clearing house 12, 259. 09 17,414.00 j Certified checks Bills of other national banks 720. 76 j United States deposits Fractional currency, nickels,cents. 155, 736. 00 I DepositsofU.S.disbursingofficers. Specie 166,805. 00 j Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas.-U. S. 2, 250. 00 Due from Treasurer U. S Liabilities other than those above 4.198.40 stated CHAS. J . WHITMOEE, President. Total. 3,221,057.89 Total. 3, 221, 057.89 412 KEPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Massachusetts National Bank, Boston. W M . A. FRENCH, President. No. 974. CHAS, ¥ . PERKINS, Cashier., Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation...! U, S. bonds to secure deposits U. S. bouds on hand I Premiums on IT. S. bonds Stocks, securities, etc j Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned j Duo from other national banks ; Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer IT. S Total. Liabilities, ,812,909.28 ij Capital stock paid in | $800, 000,00 320.97 ;; 52,000.00 50,000.00 : j Surplus fund I Undivided profits, less current 42, 701. 67 :j expenses and taxes paid 45,000.00 5, 000. 00 i| National-bank notes outstanding. 182,525.18 j| State-bank notes outstanding 4. 000.00 Due to other national banks 241,196. 62 26, 585. 57 50,152.84 159, 804. 56 Due to State banks and bankers.. 5 960 34 Dividends unpaid 235,00 159,028.61 5 925.16 Individual deposits 1,260,111.63 41,570.17 Certified checks 21,094.19 , 15, 943. 00 United States deposits 170. 00 Deposits of U.S. disbursing officers 133, 739.11 60, 760. 00 Notes and bills rediscounted. Bills payable , 150,000 00 2, 250. 00 Liabilities other than those above stated „ 4,000.00 Total . 2,666.491.95 2, 666, 491.95 Mechanics' National Bank, Boston. C. 0. L. DlLLAWAY, President. No. 932, Loans and discounts ( $1, 243,049. 08 Overdrafts 2, 252. 92 U. S. bonds to secure circulation... 50, 000.00 ! U. S. bonds to secure deposits j U. S. .bonds on hand | Premiums on U. S. bonds j Stocks, securities, etc 1, 383. 08 Bank'g bouse,f urniture,and fixtures 1,000.00 Other realestate and mortg's owned' Due from other national banks .j 09, 669. 29 Due from State banks and bankers. > • Due from approved reserve agents. I 141, 974. 07 Checks and other cash items 201. 70 Exchanges for clearing house 20, 290. 96 Bills of other national banks 4, 314. 00 Fractional currency, nickels, cents. 40. 45 Specie 32, 970. 00 Legal-tender notes 73, 237. 00 U. S. certificates of deposit Redemption fund withTreas. U . S . 2, 250. 00 Due from Treasurer U. S Total S A. MERRILL, Cashier. Capital stock paid in j $250. 000.00 Surplus fund ., 100,000.00 Undivided profits, less current expenses and taxes paid 14, 333.09 National bank notes outstanding, j 45,000.00 State-bank notes outstanding ;- -. • Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 121,632.94 1,998. 00 1,015,900.74 3, 773. 78 90, 000. 00 Liabilities other than those above stated „ J, 642, 638. 55 Total 1,642,638.55 Merchants' National Bank, Boston. FRANKLIN HAVEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc „ Bank'ghouse,furriture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. CheckjS and other cash items Exchanges for clearing house Bills of otJier national banks Fractional currency, nickels, cents. Specie _ Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 475. 7, 529, 985. 89 1,371.46 335, 000. (JO 65, 000. 00 305, 000. 00 60, 000. 00 182,719.11 600, 000.00 3, 014, 736. 78 66, 084.27 2. 087, 313.11 132, 924.20 246, 085.87 51, 258.00 883.46 663, 079.70 484 358. 00 200, 000., 00 15, 075.00 42, 000.00 16.082,874.85 A. P. WEEKS. Cashier. i $3, 000, 000. 00 Surplus fund ! 1,500,000.00 Undivided profits, less current j expenses and taxes paid | 116,164. 20 National-bank notes outstanding.! 280,160. 00| State-bank notes outstanding j Capital stock paid in Due to other national banks Due to State banks and bankers.. Dividends unpaid 625, 503. 7S 759,130. 91 89,865.00 9, 651,178. 30 Individual deposits 28,919.91 Certified checks; United States deposits "*""3l,"952*78! Deposits of U.S.disbursing officers. Notes and 'bills rediscounted Bills payable Liabilities other than those above stated Total . 16,082, 874.85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 413 MASSACHUSETTS. Metropolitan National Bank, Boston. No. 2289. I . E. NOYES, President. G. HOWE DAVIS, Cashier. Resources. Liabilities. Loans and discounts j $1,227, 506. 73 j| Capital stock paid in Overdrafts I 1. 85 ! U. S. bonds to secure circulation... 50, 000.00 Surplus fund. Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand ! Premiums on U. S. bonds j 4,000.00 National-bank notes outstanding. State-bank notes outstanding Stocks, securities, etc j Bank'ghouae,furniture,andtixtures| Due to other national banks Other real estate and mortg's owned: Due from other national banks i 39,951.61 Due to State banks and bankers.. Due from State banks and bankers. Due from approved reserve agents. 145,107.34 Dividends unpaid Checks and other cash items 5, 219. 98 Exchanges for clearing house 58, 926. 39 Individual deposits J 7,991.00 Certified cbecks Bills of other national banks j Fractional currency, nickels, cents. 123. 36 United States deposits 51, 956.00 Depositsof U.S.disbursing officers.! Specie 39,110. 00 Notes and bills rediscounted Legal-tender notes ! U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U, S .m stated Total. 1,632,144.26 | $500, 000. 00 80, 000. 00 13, 677. 63 38,947.50 46, 632.16 30,000.00 10^000.00 860, 630. 28 3, 985. 69 45,000.00 3, 271. 00 Total 1,632,144. 26 Monument National Bank of Charlestown, Boston. AMOS STONE, President. No. 1005. Loans and discounts $650,924.47 Overdrafts U. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds j Stocks, securities, etc j 57, 950. 00 Bank'ghouse,furniture, and fixtures; Other real estate and mortg's owned: Due from other national banks Due from State banks and bankers. . . Due from approved reserve agents. | 163,507. 20 Checks and other cash items ; 20, 740. 24 Exchanges for clearing house... Bills of other national banks. 8, 655. 00 Fractional currency, nickels, cents. 139. 98 37,130. 35 Specie 15, 500. 00 Legal-tender notes IT. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S j Total WARREN SANGER, Cashier. Capital stock paid in J $150, 000.00 Surplus fund Undivided profits, less current | expenses and taxes paid ! National-bank notes outstanding. State-bank notes outstanding Due to other national banks ,. Due to State banks and bankers.. . Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 160,000.00 58, 974.15 43, 500.00 210. 00 594,113. 09 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total • 1, 006, 797.24 1, 006, 797. 24 Mount Vernon National Bank, Boston. THOMAS N . HART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furn iture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 716. $928, 350. 42 381. 49 100, 000. 00 FRANK E . BARNES, Cashier. Capital stock paid in ~ $2oo7ooo7oo Surplus fund Undivided profits, less current expenses and taxes paid 10, 000. 00 | National-bank notes outstanding. 37,150. 00 | State-bank notes outstanding-.... j . J. 12,404.08 Due to other national banks 47, 973. 03 Due to State banks and bankers, .j - -1 j Dividends unpaid. 132,773.17 191.93 Individual deposits 30, 096. 40 Certified checks 3, 259. 00 United States deposits 234. 63 Deposits of U. S. disbursing officers. 40, 000. 00 9, 204.40 90, 000.00 23, 050. 00 889, 263.15 1 568.15 86, 751. 55 19,520. 00 j Notes and bills rediscounted. Bills payable 4, 500. 00 ! 6,000.00 ; Liabilities other than those above stated 1,419, 585. 70 Total 165, 000.00 1,500.00 | 1,419, 585. 70 414 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Bank of Commerce, Boston. N. P. HALLOWELL, President. No. 554. G. W. HARRIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and inortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total :, 820, 312. 23 .61 50,000.00 Capital stock paid in j $1,500. 000. 00 Surplus fund . { 300, 000. 00 Undivided profits, less current i ex penses and taxes paid I 242,159. 85 National-bank notes outstanding. 45,000.00 State-bank notes outstanding. Due to other national banks j 1, 223, 896. 64 Due to State banks and bankers. 29, 435. 54 Dividends unpaid 553. 96 4, 500. 00 265,472. 33 363. 136. 56 33,141.10 700, 522. 50 1,517.83 282, 807. 80 31,419.00 96. 50 486,935 80 113', 000, 00 Individual deposits , 3,810, 996. 61 Certified checks i 3,069.66 United States deposits \ Deposits of U.S.disbursing officers, j Notes and bills rediscounted j Bills payable 2,250.00 ii Liabilities other than-t hose above stated. i Total . , 7,155,11-2.26 i| j 7,155,112. 26 National Bank of North America, Boston. No, 672. W. S. DRAPER, Cashier. $2,529,003.96 i Capital stock paid in Loans and discounts $1, 000, 000.00 52.39 i Overdrafts 200, 000. 00 250,000.00 i Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid 75, 776. 66 IT. S. bonds on hand 218,300.00 25,577.00 i National-bank notes outstanding. Premiums on U. S. bonds Stocks, securities, etc 69,237.50 ! State-bank notes outstanding Bank'ghouse,furniture,and fixturesj. Due to other national banks 240, 887. 56 Otherreal estate andrnortg's owned 211, 372. 30 Due from other national banks 102,390.37 Due to State banks and bankers..\ Due from State banks and bankers. 176. 00 j 269, 309.46 Dividends unpaid Due from approved reserve agents. 263.57 1,490,327.10 Checks and other cash items Individual deposits > 49,079 69 2,100. 00 Exchanges for clearing house j 4, 425. 00 Certified checks Bills of other national bank I. 65.53 United States deposits Fractional currency, nickels, cents. 142,085.15 Deposit s o t'U. S.disbursing officers.!. Specie 42, 700.00 Notes and bills rediscounted. Legal-tender notes IT. S. certificates of deposit Bills payable 50, 000. 00 11,250.00 ! Redemption fund with Treas. U. S. Due from Treasurer U. S 1,000.00 I Liabilities other than those above stated 7, 500.00 HENRY C. JACKSON, President. 3,496,439.62 j Total. Total . 3,496, 439. 62 National Bank of Redemption, Boston. JAMES B. CASE, President. No. 515. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. uonds to secure deposits — U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Otherreal estate and mortg's owned | Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes IJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total E. A. PRESBREY, Cashier. 5, 586, 918. 35 Capital stock paid in $1, 000, 000. 00 5,140. 50 400, 000.00 200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 61, 206. 42 100, 000. 00 180. 000.00 45, 650, 72 National-bank notes outstanding. 224,070.07 ; State-bank notes outstanding Ii 3,517.50 979,022.33 11, 504. 44 755, 431.82 3,349.32 266. 637. 73 ! 50, 024. 00 I 49. 25 ! 345,317.40 j 82,301.00 410, 000. 00 i 9,000.00 | 38,000.00 | | 10,115,934.43 I Due to other national banks Due to State banks and bankers.. 4, 301, 695.19 1, 803, 802.19 Dividends unpaid Individual deposits Certified checks , United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable , Liabilities other than those above stated Total 1, 926, 716. 74 47,123. 89 395, 000. 00 10,115,934.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 415 MASSACHUSETTS. National Bank of the Commonwealth, Boston. W. A TowER; President, No. 1827. A. T. COLLIER, Cashier. Liabilities. Resources $1, 000, 000. 00 Loans and discounts . . J $5, 550,141 60 I! Capital stock paid in 6/30 i Overdrafts 400,000.00 IL S. bonds to secure circulation .. i 50,000. 00 Surplusfund Undivided profits, less current TJ. S. bonds to secure deposi ts j 197,416. 33 expenses and taxes paid U t S. bonds on hand j 45, 000.00 National-bank notes outstanding. Premiums on tL S. bonds j 88, 238.47 State-bank notes outstanding-.... Stocks, securities, etc | 300,000.00 Due to other national banks Bank'ghousc,lurniture,andfixture8i 2,702,236.49 24, 662. 44 Other real estate an dmortg so wned 821,139.87 459. 210.59 Due to State banks and bankers.. Due from other national banks 67,863.42 Due from State banks and bankers. 75.00 767,832.71 |! Dividends unpaid Due from approved reserve agents. 3,022,192. 33 18.539.90 I! Checks and other cash items j 9,539.12 50,232.56 ii Individual deposits Exchanges for clearing house ! 9,535.00 i; Certified checks Bills of other national banks j 57.93 ii United States deposits Fractional currency, nickels, cents. 257.928.22 !'. Deposits of U.S.disbursingofficers. Specie , 511,100.00 i! Notes and bills rediscounted. Legal-tender notes 50,000. 00 I Billspayable U. S. certificates of deposit 2,250,00 i! Redemption fund with Treas. U. S.j Liabilities other than those above Due from Treasurer TJ, S stated 10,000.00 8, 207, 599.14 I Total. Total 8,207, 599.14 National Bank of the Republic, Boston. CHARLES A. VIALLE, President. No. 379. Loans and discounts j $6,808,276.40 602. 74 Overdrafts IT. S. bonds to secure circulation... 250, 000.00 XT. S. bonds to secure deposits IT. S. bonds on hand j Premiums on IT. S. bonds j 20, 000. 00 Stocks, securities, etc j 159,885.29 Bank'ghouse,furniture,andiixtures' Otherrealestateand mortg's owned! Due from other national banks 436, 299. 71 Due from State banks and bankers. 46,150.77 Due from approved reserve agents. 2, 715,434.80 Checks and other cash items Exchanges for clearing house i 168,474.27 Bills of other national banks j 4,000. 00 Fractional currency, nickels, cents. j 300. 00 Specie j 418, 000. 00 Legal-tender notes | 247,700.00 IT. S. certificates of deposit I Redemption fund with Treas. U. S. | 11,250.00 Due from Treasurer U, S Total i Due to other national banks J 2,346,961.08 924, 213.99 Due to State banks and bankers..! Dividends unpaid 105.00 4,981,478.01 Individual deposits 28, 288.75 Certified checks United States deposits Deposits of U.S.disbursingofficers. Billspayable Liabilities other than those above stated I 11,286,373,£ __ HENRY D, FORBES, Cashier. $1, 500^000^ 00 Capital stock paid in 1, 000, 000.00 Surplus fund Undivided profits, less current 280, 327.15 expenses and taxes paid National-bank notes outstanding. 225,000.00 State bank notes outstanding Total 11,286,373.98 ii National City Bank, Boston. LEVERETT S. TucKERJftAN, President. No. 609. (jEO. W . GRANT, Cashier. Loans and discounts ! $2,272, 991. 55 [ Capital stock paid in $1,000,000.00 Overdrafts ! 121,000.00 TJ. S. bonds to secure circulation... i 50,000.00 j Surplus fund I Undivided profits, less current U. S. bonds to secure deposits | | expenses ahd taxes paid 3,928. 75 TL S. bonds on hand | 43,100. 00 j National bank notes outstanding. Premiums on U. S. bonds I State-bank notes outstanding Stocks, securities, etc | 54,207.94 Bank'ghouse,furniture,andfixtures; 429, 462.19 Due to other national b a n k s . . . . . . Other real estate and inortg's owned! 51,542.66 Due from other national banks i 248,404. 56 Due to State banks and bankers.. Due from State banks and bankers. 20, 026.00 330, 890.14 Dividends unpaid Due from approved reserve agents. 2, 544.67 1,481,989.21 Checks and other cash items 55, 027,13 Individual deposits Exchanges for clearing house 8,700. 00 12, 773. 00 Certified checks Bills of other national banks 699, 82 United States deposits Fractional currency, nickels, cents 93, 080. 00 Deposits of U.S.disbursing officers Specie p 102, 000. 00 I Notes and bills rediscounted L l Legal-tender notes 60,000.00 U.S. certificates of deposit j Billspayable ...., 2, S50. 00 Redemption fund with Treas. U. S | Liabilities other than those above Due from Treasurer U. S 5,120.00 I stated . . , Total I 3,224,868.81 Total . 3,224,86sT81 416 KEPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Eagle Bank, Boston. A. S. "WOODWORTH. President No.. 993. WM, G. BROOKS, Cashier. Resources Liabilities. Loans and discounts | $2,186, 097. 68 Overdrafts | U S. bonds to secure circulation... j 50,000.00 U. S. bonds to secure deposits. ' U. S. bondsonhand I 1,000.00 3.500.00 Premiums on U. S. bonds j 5 107,900.76 Stocks, securities, etc | Bank'ghouse,furniture,andfixtureS' Other real estate and mortg's owned! Due from other national banks | 47,415.34 Due from State banks and bankers I Due from approved reserve agents.i 199,258. 24 Checks and other cash items J 624.10 Exchanges for clearing house 36,706.95 Bills of other national panks 18,267.00 Fractional currency, nickels, cents. 130.18 116,129.50 Specie | 62,204.00 Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. U. S. I 2,250.00 Due from Treasurer U. S ! Total . Capital stock in paid | $1,000, 000.00 Surplus fund j 106, 000. 00 Undivided profits, less current j expenses and taxes paid i 18,025.45 National-bank notes outstanding. | 44. 430.00 State bank notes outstanding,... .j Due to other national banks j Due to State banks and bankers. j Dividends unpaid | 1,069. 73 44, 647.63 20,226.00 Individual deposits ........ j 1,453 770 44 Certified checks j 3, 314.50 United States deposits j Depositsof D.S disbursing officers.! Notes and bills rediscounted. Bills payable 140, 000. 00 Liabilities < >ther than those above stated ... 2,831,483.75 Total ; 2,831,483.75 National Exchange Bank, Boston. EDWARD L. TEAD, President No. 529. HAROLD MURDOCH. Cashier. Loans and discounts $5,236,539.26 jj Capital stock paid in | $1,000,000 00 Overdrafts 3, 953. 05 50,000.00 Surplus fund U. S. bonds to secure circulation... • 300, 000. 00 U. S bonds to secure deposits Undivided profits, less current U. S. bonds on hand ; expenses and taxes paid 146, 268. 79 Premiums onD. S. bonds j National-bank notes outstanding.! 45, 000. 00 373,876. 93 State-bank notes outstanding Stocks; securities, etc I ! Bank'gbouse,furniture,and 1 fixtures; 2, 731.37 Other real estate and mortg s owned: Due to other national banks j 2, 959,151. 99 Due from other national banks j 837,144. 78 Due to State banks and bankers, -j 1,235,411 72 Due from State banks and bankers. I 1,228, 629.69 Dividends unpaid ] Due from approved reserve agents 168.00 6, 655. 51 Checks and other cash items. Exchanges for clearing house 177,730. 87 Individual deposits | 2, 939, 995. 67 Bills of other national Danks 31,551.00 United States deposits j Fractional currency, nickels, cents. 455.21 Deposits ofU.S.disbursing officers-| 463, 978. 50 Specie 199, 500. 00 Notes and bills rediscounted | Legal-tender notes 20, 000.00 Bills payable U. S. certificates of deposit j 2, 250. 00 Redemption fund with Treas. U. S. Liabilities other than those above I Due from Treasurer U. S stated i 9,000.00 Total . 8,634,996.17 Total National Hide and Leather Bank, Boston. GEORGE BIPLEY, President. No. 460. . C. E. FINNEY, Cashier." • $1, 500, 000.00 Loans and discounts ! $3,158,687.14 \ Capital stock paid in. 334.51 Overdrafts j 300, 000. 00 217, 000. 00 Surplus fund U. S. bonds to secure circulation... j Undivided profits, less current j U. S. bonds to secure deposits expenses and taxes paid j 120, 218.73 U . S . bonds on hand j National-banknotes outstanding! 195,300.00 25,885.00 ^Premiums on U. S. bonds, j 202, 407.58 i State-bank notes outstanding Stocks, securities, etc Bank'gnouse, furniture,and fixtures I Due to other national banks | 918,133. 59 Other real estateandmortg's owned Due from other national banks 416, 677.44 i Due to State banks and bankers.. j 407, 210.25 Dqe from State banks and bankers. i { Dividends unpaid j 18.00 388, 326. 66 Due from approved reserve agents, j | 1,340,245.59 4, 284.48 ; Individual deposits Checks and other cash items j 30.00 74, 373. 55 ! Certified checks Exchanges for clearing house 34,801.00 i 'United States deposits : Bills of other national banks i 400. 95 I Depositsof U.S.disbursingofficersj Fractional currency, nickels, cents. j 136, 652.85 Specie I I 120, 560. 00 ; Notes and bills rediscounted Legal-tender notes j U. S. certificates of deposit... i i Bills payable I Redemption fund with Treas. U S.i 9, 765. 00 Liabilities other than those above \ Dtfe from Treasurer IX, S „..., j stated ! I Total . 4, 790,156.16 Total . . . | 4.790,156.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 417 MASSACHUSETTS. National Market Bank of Brighton, Boston. HOMER ROGERS, President. j 1 . Gr. NEWHALL, Cashier. No. 80fi. Liabilities. Loans and discounts I Capital stock paid i n . . Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,andfixtures Other realestate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurreney, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $250,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid. 30, 799. 94 1, 675. 72 6, 522. 70 I Individual deposits 3, 813. 00 j | United States deposits 131.77 | Depositsof U.S.disbursingofficers. 15, 700. 00 16, 000. 00 Notes and bills rediscounted. 10, 000. 00 Bills payable 2, 250. 00 Liabilities other than those above J stated 770, 228. 33 Total. 50,000.00 22, 596.37 45, 000. 00 40, 651. 29 2,191.34 6, 364. 50 350,480.83 2, 944.00 Total . National Revere Bank, Boston. No. 1295. G-EO. S. BULLENS, President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits TJ. S. bonds on hand P r e m i u m s on U. S. bonds Stocks, securities, etc : Bank'ghouse,furniture,aml fixtures! Other real e s t a t e a n d m o r t g ' s owned D u e from o t h e r national b a n k s D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks a n d other cash items E x c h a n g e s for c l e a r i n g h o u s e Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit Redemption fund w i t h T r e a s . U. S. D u e from T r e a s u r e r U. S Total :, 724, 983. 25 866. 72 100, 000. 00 12,000.00 143,293.95 400, 3, 673, 3, 166, 26, 862, 80 292. 42 361.69 642.11 328. 93 725. 00 27. 21 349, 868. 00 145, 490. 00 * 4," 500." 00 H. BLASDALE, Cashier. $1, 500, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 160, 500. 00 57, 899. 76 90, 000. 00 2, 298, 392. 58 229, 88 L 90 16.50 ! 786. 90 Individual deposits j 2, 417, 764. 44 Certified checks United States deposits Depositsof U.S.disbursingofficers.j Notes and bills rediscounted Bills payable Liabilities other than those above stated Dividends unpaid 6,755,242.08 Total 6, 755, 242.08 National Rockland Bank of Roxbury, Boston. SAMUEL LITTLE, President. Loans and discounts $1, Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand j Premiums on U. S. bonds > Stocks, securities, etc j Bank'ghouse,furniture,andfixtures| Other real estate and mortg's ownedi Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurreney, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total OUR, 27 http://fraser.stlouisfed.org/PT 2 Federal Reserve Bank of St. Louis No. 615. 584,333.15 3, 954. 25 50,000. 00 36,908.33 R. B. FAIRBAIRN, Cashier. | $300, 000.00 Surplus fund | Undivided profits, less current j expenses and taxes paid National-banknotes outstanding.! State-bank notes outstanding j 150, 000. 00 Capital stock paid in Due to other national banks 40, 753. 77 41, 080. 00 >78. 58 18,496.57 j Due to State banks and bankers.. 93, 731. 63 23, 016.10 "'7,'435.'66' 1, 347. 93 90, 064. 55 33, 210. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 458.00 1,411,777.16 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total i 1,944,747.51 418 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Security Bank, Boston. SAMUEL A. CABLTON, President. No. 1675. CHARLES R. BATT, Cashier. Resources. Liabilities. Loans and discounts I $1^352,684.53 Capital stock paid in Overdrafts ! 15, 254. 05 U. S. bonds to secure circulation-.. I 250, 000.00 Surplus fund Undivided profits, less current TJ. S. bonds to secure deposits I expenses and taxes paid U. S. bonds on hand j 100, 000.00 National-bank notes outstanding. Premiums on U. S. bonds |. State-bank notes outstanding Stocks, securities, etc | 187,450.00 75,000. 00 Bank'g house, furniture, andfixtures Due to other national banks Other real estate and mortg's owned . Due from other national banks | 344,129.27 Due to State banks and bankers.. Due from State banks and bankers. Dividends unpaid Due from approved reserve agents. 263,682. 59 36, 279. 05 Checks and other cash items Individual deposits 28,857. 56 Exchanges for clearing house Certified checks 10,130.00 Bills of other national banks United States deposits 1,135. 70 Fractional currency, nickels, cents. Deposits of U.S. disbursing officers. 92,700.00 Specie 319,789.00 Legal-tender notes Notes and bills rediscounted. TJ. S. certificates of deposit Bills payable Redemption fund with Treas. U. S.! 11, 250. 00 Due from Treasurer U. S I Liabilities other than those above stated Total . 2, 888, 341. 75 Total . $250,000.00 200, 000.00 257, 677. 53 225, 000. 00 52,101.86 142, 569.51 1, 746, 554.15 7, 078. 70 7, 360.00 2, 888, 341.75 National Union Bank, Boston. GEORGE WHITNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on baud Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie • Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 985. GEO. H. PERKINS, Cashier. Capital stock paid in j $1, 000, 000. 00 Surplus fund 400, 000.00 J Undivided profits, less current i expenses and taxes paid 242, 493. 80 I National-bank notes outstanding 177, 330. 00 State-bank notes outstanding j. 22, 387. 52 Due to other national banks j 10, 574. 30 368, 586. 96 232, 630. 64 Due to State banks and bankers.. I Dividends unpaid ! 1,854.00 271, 688. 70 I 1,571, 753.12 2,371. 75 Individual deposits 43, 301. 20 Certified checks 11, 008. 54 6, 506. 00 United States deposits DepositsofU.S.disbursingofficers. . 137, 652. 78 76, 000. 00 Notes and bills rediscounted Bills payable 9,000. 00 Liabilities other than those above stated 17, 280.00 !, 799, 325. 98 16.15 200, 000.00 3,800,880.72 Total 3, 800, 880. 72 National "Webster Bank, Boston. J . P. LYMAN, President. No. 1527. C. L. RIDDLE, Cashier. Loans and discounts J $2,357, 503. 64 Capital stock paid in. $1, 000,000.00 Overdrafts ! , 250, 000.00 U. S. bonds to secure circulation... J 50,000.00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits j expenses and taxes paid 38, 827. 90 V. S. bonds on hand ! National-bank notes outstanding. 45, 000. 00 Premiums on U. S. bonds State-bank notes outstanding Stocks, securities, etc 79,160.00 Bank'g house, furniture, and fixtures Due to other national banks 16,964.80 Otherreal estate and mortg's owned! 66, 735. 86 Due from other national banks 71,166.71 Due to State banks and bankers.. Due from State banks and bankers. 58.00 Dividends unpaid Due from approved reserve agents. 253, 259.82 Checks and other cash items 1,608, 383. 77 43.50 Individual deposits Exchanges for clearing house 15, 000. 00 7, 983.49 Bills of other national banks 24, 900. 00 Certified checks United States deposits Fractional currency, nickels, cents. 82.52 Specie .».. 137, 528. 65 Deposits of U.S.disbursingofficers. Legal-tender notes 67, 300. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit 10, 000.00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 6, 000. 00 Liabilities other than those above stated 6, 208.00 Total 3, 057,178. 33 Total 3,057,178.33 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 1 9 MASSACHUSETTS. New England National Bank, Boston. No. 603. CHARLES W. JONES, President. CHARLES F . SWAN, Cashier. Resources. Liabilities. Loans and discounts j $3,581, 294. 64 Overdrafts U. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits U . S . bonds on hand Premiums on U. S. bonds Stocks, securities, etc 35, 917. 21 Bank 'g house, fumiture,and fixtures Other real estate and mortg's ownedl Due from other national banks ' 116, 844. 23 Due from State banks and bankers. 396,489. 61 Due from approved reserve agents 20, 890. 53 Checks and other cash items 73,122. 25 Exchanges for clearing house 12, 407.00 Bills of other national banks 110. 79 Fractional currency,nickels,cents. 150,155.00 Specie 170, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. 2,250. 00 Due from Treasurer U. S h Capital stock paid in. 600,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 119,942.72 342,076.27 Individual deposits United States deposits Depositsof U. S.disbursingofflcers 2,353, 812. 09 142,896. 68 45, 000. 00 5, 753.50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 4, 609,481.26 Total. $1, 000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 4, 6C9,481. 26 North National Bank, Boston. JEREMIAH WILLIAMS, President. No. 525. EDWIN A. BURBANK, Cashier. Loans and discounts ! $2,936, 283. 95 Capital stock paid in. 36.66 Overdrafts 100,000.00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid 27, 773. 80 100,000.00 U. S. bonds on hand 87, 930.00 29, 000. 00 National-bank notes outstanding. Premiums on U. S. bonds State-bank notes outstanding 157,982.86 Stocks, securities, etc Bank'g house,furniture,and fixtures 616, 890.72 55, 589.75 Due to other national banks Other real estate and mortg's owned 842, 259.15 261,159. 77 Due to State banks and bankers.. Due from other national banks Due from State banks and bankers. 20,134.00 424, 073.47 Dividends unpaid Due from approved reserve agents. 414. 92 Checks and other cash items 1,404,554.96 138, 319.16 Individual deposits Exchanges for clearing house 20, 295.66 11, 561. 00 Certified checks Bills of other national banks 270.75 United States deposits Fractional currency, nickels, cents. 193,490.00 Depositsof U.S.disbursingofficers. Specie 116, 000. 00 Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit 195, 000. 00. Bills payable Redemption fund with Treas. U. S. 4,500.00 Liabilities other than those above Due from Treasurer U. S stated 13, 824. 00 Total. 4,528, 662. 29 Total 4,528,662.29 Old Boston National Bank, Boston. H. G. CURTIS, President. No. 1015. CHESTER S. STODDARD, Cashier. Loans and discounts $1, 887, 310. 63 j Capital stock paid in Overdrafts 7.18 I U. S. bonds to secure circulation...I 235, 000. 00 | Surplus fund Undivided profits, less current U. S. bonds to secure deposits j expenses and taxes paid U. S. bonds on hand j National-bank notes outstanding. Premiums on U. S. bonds 28,260.92 Stocks, securities, etc I 126, 361.12 State-bank notes outstanding Bank'g house,!'urniture,and fixtures| Due to other national banks Other real estate and mortg's owned Due from other national banks 384, 809. 26 Due to State banks and bankers.. Due from State banks and bankers. 428, 081.15 Dividends unpaid Due from approved reserve agents. 72.35 Checks and other cash items 42, 876. 69 Individual deposits Exchanges for clearing house 1, 631. 00 Certified checks Bills of other national banks 166.10 United States deposits Fractional currency, nickels, cents. 137, 339. 50 Depositsof U.S. disbursingofficers. Specie 26, 694. 00 Notes and bills rediscounted. Legal-tender notes U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 10, 575. 00 Due from Treasurer U. S Liabilities other than those above stated Total 3,309,184.90 Total. $900,000. 00 250,000. 00 35, 702.42 211,500.00 181, 566. 52 296, 923.49 205.00 1,424, 714.47 2, 525. 00 6, 048.00 ~3^ 309,184.90 420 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. People's National Bank of Roxbury, Boston. SAMUEL B. HOPKINS, President. No. 595. Resources. Loans and discounts j Overdrafts U. S. bonds to secure circulation... I TJ. S. bonds to secure deposits j U. S. bondo on hand i Premiums on U. S. bonds Stocks, securities, e t c . . Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. A. P . RICHARDSON, Cashier. Liabilities. II 1928, 315.16 115.15 50,000. 00 6, 300.00 85, 000. 00 " i , " 388." 84* 5, 249. 02 46, 955. 38 1,145. 89 10, 000. 00 686.88 40. 050. 00 8, 500. 00 Capital stock paid in j $300, 000. 00 Surplus fund j Undivided profits, less current expenses and taxes paid | National-bank notes outstanding.! State-bank notes outstanding j. 170, 000. 00 Due to other national banks I Due to State banks and bankers.. j Dividends unpaid 11,875.83 1, 819.11 Individual deposits United States deposits Deposits of U.S.disbursing officers. 590,188. 67 8,167. 71 44, 290. 00 9, 615. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total 1,185,958.32 50,000.00 1,185, 956.32 Shawmut National Bank, Boston. J O H N CUMMINGS, President. No. 582. $4,061,865. 60 Loans and discounts 471.86 Overdrafts 1,000, 000.00 U. S. bonds to secure circulation... 200,000.00 U. S. bonds to secure deposits U. S. bonds on hand 241, 000. 00 Premiums o n U . S . bonds 924, 542, 00 Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned 5,165. 81 Due from other national banks 655,413.62 Due from State banks and bankers. 100, 000. 00 Due from approved reserve agents. 1,449, 741. 02 Checks and other cash items 3, 374. 60 Exchanges for clearing house 431, 517. 85 14, 240. 00 Bills of other nationalbanks 1,040.41 Fractional currency, nickels, cents. 349, 349. 40 Specie 475, 966. 00 Legal-tender notes 60, 000. 00 .U. S. certificates of deposit 45, 000. 00 Redemption fund with Treas. U. S. 16, 002. 50 Due from Treasurer U. S Total J . G. TAFT, Cashier. Capital stock paid in $1, 000, 000.00 Surplus fund 200, 000. 00 Undivided profits, less current expenses and taxes paid 98, 619. 58 ! National-bank notes outstanding. 899,000. 00 1 State-bank notes outstanding...'.. Due to other national banks 642, 797.68 1, 902,067.99 Due to State banks and bankers .. Dividends unpaid 4, 974,444. 57 Individual deposits 116, 888. 38 Certified checks 141, 269. 71 United States deposits 50,602. 76 Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 10,034,690.67 Total 9, 000.00 10,034,690.67 Shoe and Leather National Bank, Boston. JAMES C. ELMS, President. No. 646. JAUBS E. PATCH, Cashier. Loans and discounts j $2,997,271.39 , Capital stock paid in $1,000,000.00 2,862.30 | Overdrafts I 110,000.00 U. S. bonds to secure circulation... j 650,000.00 ! Surplus fund Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid 70, 929.14 U. S. bonds on hand National-bank notes outstanding. 585,000. 00 97, 540. 68 Premiums on U. S. bonds State-bank notes outstanding 58, 079. 77 Stocks, securities, etc Bank'g house, furniture, andfixtures 902, 620. 28 500. 00 Due to other national banks Other real estate and mortg's owned 323, 949. 84 Due from other national banks 431,724.84 Due to State banks and bankers.. Due from State banks and bankers. 1,162. 02 204. 00 Due from approved reserve agents. 378,126.17 Dividends unpaid 2, 056,581.91 Checks and other cash items 748.35 22, 072.70 Exchanges for clearing house 79,730. 24 i Individual deposits Bills of other national banks 17, 000. 00 Certified checks Fractional currency, nickels, cents 22. 61 United States deposits 174,255.50 Depositsof U.S.disbursingofficers. Specie 150,084. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit 29,250.00 Redemption fund with Treas.U.S. Due from Treasurer U. S 3,000.00 Liabilities other than those above stated Total 5,071,357.87 Total , . , . 5,071,357.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 421 MASSACHUSETTS. South End National Bank, Boston. JOHN A. PRAY, President. No. 4202. FRANK N. BOBBINS, Cashier> Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,i'urniture,andiixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $324, 448. 47 Capital stock paid in 168. 53 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 7, 000. 00 National-bank notes outstanding. 37,137.93 ! State-bank notes outstanding 6, 500. 00 j Due to other national banks 17,149"20 I Due to State banks and bankers.. 26, 066. 78 242. 91 15, 427. 63 1,405.00 110. 57 20, 455. 00 4, 214. 00 2, 250. 00 9, 000. 00 5,498. 07 45, 000. 00 1, 374. 78 ! Dividends unpaid I Individual deposits i Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 248,134. 91 2, 592. 76 Liabilities other than those above stated Total . 512, 576. 02 Total . $200, 000. 00 State National Bank, Boston. S. N. ALDRICH, President. Total . GrEO. B. WARREN, Cashier. No. 1028. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea3. U. S. Due from Treasurer U. S i, 047, 907. 72 Capital stock paid in j $2, 000, 0OU. 00 1,161. 69 I 400, 000.00 250,000. 00 Surplus fund Undivided x>rofits, less current i 93, 608.15 expenses and taxes i>aid [ 200,000. 00 178, 000.00 65, 000. 00 National-bank notes outstanding.I 10, 700. 95 State-bank notes outstanding 118, 425.16 Due to other national banks Due to State banks and bankers.. 443,195.15 Dividends unpaid 1,020.00 113,182. 80 Individual deposits 8,797.00 United States deposits Certified checks. 59.58 Deposits of U. S.disbursing officers. 412, 750. 00 32, 951. 00 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above stated 6, 714, 151. 05 122, 886. 96 132, 394.67 43,140. 00 3, 714, 736.27 1,050. 00 28, 335. 00 6, 714,151. 05 Total. Suffolk National Bank, Boston. A. L. EDMONDS, President. No. 629. Loans and discounts $3,186,051. 31 Overdrafts 15.07 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 15, 600. 00 Bank'ghouse, furniture, and fixtures| Other real estate and mortg's owned 250, 000. 00 Due from other national banks 325,469. 64 Due from State banks and bankers. Due from approved reserve agents. 387,152. 59 Checks and other cash items 2,183. 00 42, 875. 00 Exchanges for clearing house 25,177. 00 Bills of other national banks 726. 28 Fractional currency, nickels, cents 148, 600. 00 Specie 96, 000. 00 Legal-tender notes U. S. certificates of deposit 2,'250.00' Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 000. 00 Total 4, 533, 099. 89 T. C. SINGLETON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . 500, 000.00 Due to other national banks Due to State banks and bankers.. 699,433.53 924,121.01 Dividends unpaid Individual deposits Certified checks. United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 300, 000. 00 295, 881. 55 41, 000. 00 761. 50 849, 620. 74 2, 281. 56 10, 000. 00 4, 533, 099. 89 422 REPORT OP THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Tremont National Bank, Boston. No. 625. AARON HOBART, President. DANIEL E. SNOW, Cashier. Resources. Liabilities. $3,210,400.87 i Capital stock paid in Loans and discounts 115.97 | Overdrafts 50, 000. 00 j Surplusfund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid TJ. S. bonds on hand National-bank notes outstanding Premiums on U. S. bonds State-bank notes outstanding Stocks, securities, etc 409,859.31 Bank'ghouse,furniture, and fixtures 48, 920. 87 Due to other national banks Other real estate and mortg's owned 206, 937. 60 Due to State banks and bankers.. Due from other national banks 544. 33 Due from State banks and bankers. 138. 676. 61 Dividends unpaid Due from approved reserve agents. Checks and other cash items 31,583.01 182, 258. 32 Individual deposits Exchanges for clearing house 5, 694. 00 Certified checks Bills of other national banks cents. 294. 71 United States deposits Fractional currency, nickels, 155, 500. 00 Deposits of U. S. disbursing officers Specie 74, 873.00 Notes and bills rediscounted. Legal-tendernotes Bills payable U. S. Certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Liabilities other than those above Due from Treasurer TJ. S $2, 000, 000. 00 316, 000. 00 58, 713. 47 45, 000. 00 303, 800. 52 40, 731. 25 2,379.00 1, 521,258. 70 35, 025. 66 195, 000.00 stated 4, 517. 908. 60 Total. Total. 4, 517, 908. 60 Washington National Bank, Boston. No. 601. EBEN BACON, President. $1,488,780.94 Loans and discounts Overdrafts . ...... U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total W. H. BRACKETT, Cashier. Capital stock paid in $750, 000. 00 250,000.00 90, 702.50 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22, 097. 37 Due to other national banks Due to State banks and bankers.. 1,773.51 111, 167.61 50, 000.00 91,582.05 2, 265. 40 8,122.66 11, 686. 00 120. 37 87, 386. 00 21, 000.00 2, 250. 00 1, 875,993. 29 Dividends unpaid 41,102. 73 45, 000. 00 15, 279. 50 Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. 651,896. 96 9, 772. 98 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1, 875,993.29 Winthrop National Bank, Boston. W. R. EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national tanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2304. $1, 319, 092. 89 1,297. 35 50, 000. 00 309, 833.45 91, 675.05 230, 704. 79 11, 948. 68 32, 529.79 16,393.00 1,183.72 94, 665. 00 127, 750.00 10, 000. 00 2, 250. 00 5, 000. 00 2, 304, 323. 72 C. H. RAMSAY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.dis tmrsing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . $300, 000. 00 130, 000.00 33, 478. 40 45, 000. 00 164,239. 22 398, 723. 35 13.50 1,170, 778. 69 59, 315. 56 2, 775.00 27304, 323. 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 423 MASSACHUSETTS. Brockton National Bank, Brockton. DAVID S. PACKARD, President. No. 2504. CLARENCE R. FILLEBROWN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Capital stock paid in $100, 000.00 Surplus fnnd Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers. 142,640.69 I Dividends unpaid 4,702.82 ! Individual deposits 5, 765. 00 United States deposits 31.88 Deposits of U.S.disbursing officers 20, 044.40 36, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 3,691.33 19, 794. 32 11, 000. 00 Total . 890, 058.82 28, 259. 82 21, 900.00 3, 060.00 712,147. 67 1,000. 00 890, 058.82. Home National Bank, Brockton. PRESTON B. KEITH, President. No. 2152. "W. B. SMITH, Cashier. Loans and discounts $1, 028,252. 86 j| Capital stock paid in. Overdrafts ISMOO.OO Surplus fund U. S.bonds to secure circulation.. U. S. bonds to secure deposits j Undivided profits, less current U. S. bonds on hand expenses and taxes paid 20, 500. 00 National-bank notes outstanding. Premiums on U. S. bonds 58, 556. 00 State-bank notes outstanding Stocks, securities, etc 72, 000.00 Bank'ghouse,furniture,and fixtures 3, 659.06 Due to other national banks Other real estate and mortg's owned 39, 566. 99 Due to State banks and bankers Due from other national banks Due from State banks and bankers. Due from approved reserve agents. 177. 6?0. 03 Dividends unpaid 3,691.82 Checks and other cash items. Exchanges for clearing house Individual deposits il, 074. 00 United States deposits Bills of other national Danks 876. 35 Deposits of U.S.disbursing officers Fractional currency, nickels, cents 52, 37*0. 45 Specie 30, 000. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit 6, 750. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities other than those above stated Total . Total. 1,654,917.56 $200,000. 00 100,000.00 96,967. 68 124, 000. 00 635.15 102.00 1,130,212.73 3, 000. 00 1, 654, 917.56 Brookline National Bank, Brookline. GEORGE H. WORTHLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of oilier national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. S. SWAN, Cashier. No. 3553. $416,646.61 470. 79 25,000. 00 10, 000. 00 3, 687. 50 34, 700.87 10,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding $100,000.00 30, 000.00 20, 454. 76 22, 500. 00 Due to other national banks Due to State banks and hankers. 18,748.51 100. 90 1, 550. 00 50.31 23, 993. 00 2, 000. 00 1,125. 00 548, 073.49 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 375,118. 73 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 548, 073.49 424 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Cambridge. D. U. CHAMBERLIN, President. No. 433. "W. A. BULLARD, Cashier. Resources. Loans aad discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned l)ue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X . S. certificates of deposit T Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $622,387.21 Capital stock paid in. 2, 576. 35 100, 000. 00 •Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 53, 969. 75 $200, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 640.25 247, 417. 46 3, 216. 00 2, 050. 48 26,174. 00 20, 000. 00 4,500.00 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 100, 000. 00 106, 760.12 90, 000. 00 13.50 584, 877.38 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,082,291.25 Total. 1,082,291. 25 Cambridge National Bank, Cambridge. ALVIN I \ SORTWELL, President. Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks [Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total No. 449. J O H N C. BULLARD, Cashier. $325, 212. 60 Capital stock paid in 25,340.12 , 25,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding is, 666.6o j 48,077. 45 5,189.04 2, 031. 00 179.00 25, 431. 65 14, 003. 00 1,125. 00 $100,000.00 20,000.00 23, 662. 77 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 180. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 320, 246. 09 Notes and bills rediscounted Bills payable Liabilities other than those above stated .... Total 486,588.86 486, 588.86 Cambridgeport National Bank, Cambridge. ASA P. MORSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... V. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalIbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates *of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1228. $248,118.16 68.76 50, 000. 00 WILL. F. ROAF, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 750. 00 National-bank notes outstanding. 4, 890. 00 State-bank notes outstanding 32, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 5,494.18 2,149.00 169.45 9, 500. 00 2, 000. 00 5,000 00 2, 250. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 20, 000. 00 17,403. 72 44, 997.00 9, 633.94 3,126.00 165, 993.21 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 363, 389. 55 $100, 000.00 Total . 2, 235. 68 363. 389. 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 425 MASSACHUSETTS. Charles River National Bank, Cambridge. WALTER S. SWAN, President. No. 731. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $541,050.06 69.77 25,000. 00 1,000.00 16, 590.00 2,000.00 Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 111, 790. 29 Dividends unpaid 17,119. 56 6, 548.00 136.09 23,500. 00 12, 000.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 50, 000. 00 14,518.72 22,500.00 4,000.00 566, 910.05 Notes and bills rediscounted "i"i25.'oo" Bills payable Liabilities other than those above stated 757,928.77 Total . GEO. H. HOLMES, Cashier. 757, 928.77 Total. Lechmere National Bank, Cambridge. LEWIS HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks..... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 614. GEO. A. LLOYD, Cashier. $264, 393. 38 Capital stock paid in $100, 000.00 660.11 45, 000. 00 Surplus fund 70,000.00 Undivided profits, less current expenses and taxes paid 14, 476. 06 3,500.00 National-bank notes outstanding. 40, 500.00 13, 335. 00 State-bank notes outstanding 2,600.00 Due to other national banks Due to State banks and bankers.. 12, 582. 78 4,114.16 1, 550. 00 330.01 11, 321. 50 6, 460. 00 2, 025. 00 83.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. Notes and bills rediscounted Bills payable 127, 812.88 15,000.00 Liabilities other than those above stated Total Total 367,871.94 367,871.94 National City Bank, Cambridge. E. DRESSER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 770. $375,490. 25 595.12 25, 000.00 H. B. DAVIS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . 60,481.22 1, 969. 55 2, 471. 00 73.55 2, 533. 75 8, 450. 00 10, 000. 00 1,125. 00 340. 00 488, 529. 44 $100,000.00 50,000.00 33, 909.37 22, 200.00 Due to other national banks Due to State banks and bankers.. Dividen ds unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 282,420. 07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 488, 529.44 426 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Neponset National Bank, Canton. No. 663. CHAS. H. FRENCH, President. N. W. DUNBAR, Cashier. .Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $348, 039.10 Capital stock paid in j J29.43 225,000.00 , Surplus fund Undivided profits, less current j expenses and taxes paid 11,000.00 National bank notes outstanding. 61,110.00 State-bank notes outstanding 4, 000. 00 Due to other national banks Due to State banks and bankers. 16, 999. 07 239.68 Dividends unpaid 50, 000. 00 15,212.10 202, 500. 00 327.00 j Individual deposits 1, 666. 00 i United States deposits 05. 53 j Deposits of U. S.disbursing officers. 14, 975.10 1, 000. 00 Notes and bills rediscounted. Bills payable 10,125.00 i Liabilities other than those above stated , 693, 682. 91 $250,000.00 175,643.81 Total. 693,682. 91 First National Bank, Chelsea. THOMAS MARTIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits tJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aud fixtures Other real estate and mortg's owned Due from other national banks Due from State ^anks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 533. $834,131.01 1,221.04 50,000.00 8, 200. 00 50, 000.00 7, 039. 55 64, 635. 89 1,479.00 2, 836. 02 14, 060. 00 25, 095. 00 WALTER WHITTLESEY, Cashier. Capital stock paid in j $300, 000.00 Surplus fund | Undivided profits, less current j expenses and takes paid | National-bank notes outstanding, j State-bank notes outstanding j 100,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing oflBcers. 19,177.24 45,000.00 216. 00 596, 554.27 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total 1,060,947. 51 1,060,947.51 Winnisimmet National Bank, Chelsea. J.H.CUNNINGHAM,President. No.4074. $326, 988. 50 Loans and discounts 701.10 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j 5, 400. 00 Premiums on U. S. bonds | 7. 500. 00 Stocks, securities, etc j 5, 000. 00 Bank'g house,furniture,and fixtures! 2, 600. 00 Other real estate and mortg' s owned; Due from other national banks Due from State banks and bankers. j Due from approved reserve agents.! 25,069. 83 Checks and other cash items 141.75 Exchanges for clearing house 3, 000. 00 Bills of other national banks 266.11 Fractional currency, nickels, cents. 14, 000.00 Specie Legal tender notes 18, 000.00 U. S. certificates of deposit "Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total . 460, 917.29 . EDWARD H . L O W E L L , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid Nation al-bank notes outstanding. State-bank notes outstanding $100,000.00 17,000.00 12, 059. 64 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposi ts of U. S: disbursing officers. 286,857.65 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 460,917.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 7 MASSACHUSETTS. Fiist National Bank, Chicopee. No. 1056. EMERSON GAYLORD. President. F . B . D O T E N , Cashier. Resources. Liabilities. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,arul fixtures Other real estate and nior tg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels., cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $309, 421. 09 Capital stock paid in. $150, 000.00 ' " i ^ bob'bo Surplus fund Undivided profits, less current ji expenses and taxes paid. I National-bank notes outstanding. 9,830.26 ji State-bank notes outstanding 55,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 672.82 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 158, 035. 32 7, 025. 85 29, 047. 94 1, 904. 70 1,545.00 12, 380. 40 12, 000. 00 1, 800. 00 26, 919.10 34, 300. 00 28.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated ' 424,955. 24 Total. 424,955.24 First National Bank, Clinton. CHARLES G. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures i Other real estate and mortg's owned I Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit. Redemption fuud with Treas. U. S. Due from Treasurer U. S Total. No. 440. $388,210. 31 123.83 50,000.00 C. L. S. HAMMOND, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 | Due to other national banks 268. 51 { Due to State banks and bankers.. 63,085. 94 Dividends unpaid 257.57 Individual deposits "8,"445.'66" United States deposits 228.32 Deposits of U.S.disbursing officers. 598. 01 1, 927. 60 96,000. 00 13, 357. 84 44, 470.00 162. 00 357, 433.53 45,224. 50 Notes and bills rediscounted-.. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 656, 021.38 656,021. 38 Concord National Bank, Concord. EDWARD C. DAMON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 833. $273, 727. 37 58. 37 40, 000. 00 13,000. 00 11,947.41 B. L. FABENS, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 36,000.00 48, 5.85.74 33, 490. 00 Due to other national banks Due to State banks and bankers.. 14,169. 76 50.00 1,400.00 34.18 11, 227. 60 6, 000. 00 1,800.00 Dividends unpaid 609. 50 Individual deposits United States deposits Deposits of U. S.disbursingotficers. Notes and bills rediscounted Bills payable 154, 729.45 , Liabilities other than those above stated 373,414.69 Total. 373,414. 69 428 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Con-way National Bank, Conway. CAELOS BATCHELDER, President. W. G.AVERY, Cashier, No. 895, Resources. Liabilities. Loans and discounts Overdrafts , (U; S. bonds to secure circulation... iU.'S. bonds to secure deposits p . S. bonds on hand [Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers. Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house : Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $104, 252.94 Capital stock paid in ,..,,.\ $100, 000.00 18.83 75, 000. 00 I Surplus fund * * 15, 750. 00 I Undivided profits, less current expenses and taxes paid 1, 847.49 9,150.00 National-bank notes outstanding. 67,500.00 1, 000.00 State-bank notes outstanding 4,500. 00 500.00 Due to other national banks j 374.57 1,081.93 Due to State banks and bankers.. i. 6, 760. 70 7.81 355. 00 39.43 4, 045. 00 865. 00 3, 375.00 ; Dividends unpaid. j Individual deposits i i United States deposits i | Deposit sot" U.S. disbursing officers. i Notes and bill3 rediscounted Bills payable 25,479. 58 i Liabilities other than those above stated 210, 951. 64 Total. 210, 951.64 First National Bank, Danvers. No. 594. GILBERT A. TAPLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and inortg" s owned. Due from other national banks ; Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $255, 024. 85 223.39 37,500. 00 3, 750. 00 24,000. 00 12,008.93 38, 295. 66 30.00 525. 00 66.71 9, 054. 50 3, 500. 00 1, 687. 50 B . E . N E W H A L L , Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank-notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers. $150, 000.00 22, 500. 00 8, 532.17 33, 290.00 11,262.77 117. 75 159, 963.85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 385, 666. 54 Total. 385, 666.54 Dedham National Bank, Dedham. A. B. ENDICOTT, President. Loans and discounts I Overdrafts J V. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,and fixtures' Other real estateand mortg's owned Due from other national banks I Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U- S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total!. No. 669. $666, 325.39 1, 377.42 50, 000.00 550.98 EDWIN A. BROOKS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 70,000. 00 36,793. 92 43,615.00 , . | j Due to other national banks I. • !j Due to State banks and bankers..]. 43,990. 21 Dividends unpaid 2, 579.61 Individual deposits 1,030. 00 United States deposits 736.63 DepositsofU.S.disbursingomcers. 24,996.25 10,965.00 Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above stated , 804,801.49 Total. 960.50 350,632.07 2, 800.00 804,801.49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 9 MASSACHUSETTS. First National Bank, Easthampton. No. 428. SAMUEL T. SEELYE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. C. H. JOHNSON, Cashier. Liabilities. $429, 595. 29 56,666.66 2, 900. 00 10, 000.00 Capital stock paid in. $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 60, 000. 00 16,676.11 45, 000. 00 National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 7, 019. 55 Dividends unpaid 9, 0i)0. 21 297.50 2, 929. 61 Individual deposits 198. 66" United States deposits ! 157.58 Depositsof U.S. disbursing officers. 6,485. 75 10, 950. 00 Notes and bills rediscounted Bills payable !, 250. 00 Liabilities other than those above stated Total . 522,485.78 171,421.96 20,000.00 . " 522, 485, 78 Marthas Vineyard National Bank, Edgartown. JONATHAN H. MUNROE, President. No. 1274. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and!" other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $123, 806. 55 809. 72 50, 000. 00 6,000.00 15,000. 00 2,500. 00 7,753. 66 59.14 500.' 66 78.25 2, 653. 76 4,294.00 2, 250. 00 JOHN E. W H I T E , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 31, 000.00 6, 065.17 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 1, 843. 00 Individual deposits United States deposits Depositsof U.S.disbursingofncers. 71, 806. 91 Notes and bills rediscounted. Bills payable 10,000. 00 Liabilities other than those above stated 50.00 Total . . 2] 5, 765. 08 215, 765. 08 National Bank, Fairhaven. C. H. MORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks. . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 490. $165, 339. 90 505. 65 60, 000. 00 G. B. LUTHER, Capital stock paid in. Surplusfund Undivided profits, less Cashier. $120,000.00 22, 700.00 current expenses and taxes paid 6, 075. 00 National-bank notes outstanding. 24,939.93 State-bank notes outstanding • 5, 270. 86 54, 000. 00 7, 500. 00 234.64 58.10 5,453.99 75.00 310. 00 91.26 1,898.40 2, 070.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers Notes and bills rediscounted. Bills payable 75.00 298.80 74, 907. 21 2, 700. 00 Liabilities other than those above stated 277, 251. 87 Total . 277, 251.87 430 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Fall River. J O H N S. BRAYTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and-other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency,nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 256. EVERETT M. COOK, Cashier. Liabilities. $943,073.85 350, 000. 00 Capital stock paid in 1 $400, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding State-bank notes outstanding 25, 000. 00 Due to other national banks j 25, 768.55 Due to State banks and bankers 20, 851. tf2 167,153. 21 Dividends unpaid. 988.12 15,571.18 Individual deposits 54,014. 00 United States deposits 930.40 DepositsofU.S.disbursingofficers. 68, 553. 05 16, 210. 00 Notes and bills rediscounted.. Bills payable 15,750.00 I Liabilities other than those above 150, 000.00 71, 498. 35 310, 000. 00 27, 639. 88 744, 725.75 stated 1, 703, 863.98 Total 1, 703, 863. 98 Second National Bank, Fall River. LEONTINE LINCOLN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... " T S. bonds to secure deposits C. TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g bouse, furniture,and fixtures Otheifreal estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 439. $368,747.84 38.73 150, 000. 00 15, 000.00 11, 269. 54 50.00 40, 494. 08 1,204.48 2,336.66 404. 03 16,457. 30 8, 684. 00 "Q, 750* 66' 1, 000. 00 CHARLES J . HOLMES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankersDividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $150, 000.00 75, 000.00 23, 908. 56 130, 870. 00 44.00 242, 613.44 Notes and bills rediscounted Bills payable Liabilities other than those aboA-e stated Total. Total. 622,436. 00 Fall River National Bank, Fall River. GUILFORD H. HATHAWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Barrk'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 590. $917, 707. 63 10.33 50, 000.00 17,686.00 72, 000. 00 1, 495.05 157,653. 53 536. 82 4,192.42 17,036. 00 856. 05 24, 374. 75 54,480.00 2,250. 00 1,000. 00 GEO. H. EDDY, JR., Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $400, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13, 497.69 Individual deposits United States deposits Deposits of U.S.disbursing officers. 732, 904.14 100, COO. 00 30, 696. 75 44,180.00 Notes and bills rediscounted. Bills payable Liabilities other t h a n t h o s e above stated 1, 321, 278. 58 Total 1,321,278.58 REPORT OF THE COMPTROlSMR OF THE CURRENCY. 431 MASSACHUSETTS, Massasoit National Bank, Fall River. E. W. BORDEN, Cashier. No. 612. CHAS. M. SHOVE, President. Resources. Loans and discounts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,f urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U S certificates of denosit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $751, 657. 86 39.08 176,000.00 i 11, 650. 00 2, 000.00 52, 000.00 Liabilities Capital stock paid in $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000. 00 10, 937. 52 154, 400. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 26, 563.10 5, 662. 68 Individual deposits 6, 055. 00 United States deposits 484.52 Deposits of U.S.disbursing officers. 43, 702. 60 46,120.00 Notes and bills rediscounted. Bills payable 7,920.66 Liabilities other than those above stated 1,217,829.82 Total. 569, 089.20 10, 053.58 104,484.50 6, 840. 00 1, 217,829. 82 Metacomet National Bank, Fall River. F . S. STEVENS, President. No. 924. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S Total CHARLES B. COOK, Cashier. $916,383.62 Capital stock paid in 622.21 | 100, 000. 00 Surplus fund Undivided profits, less current 10, 000. 00 expenses and taxes paid 7,400. 00 National-bank notes outstanding. 10, 720.00 State-bank notes outstanding 70, 000. 00 Due to other national banks , 817. 36 Due to State banks and bankers. 6,154.92 123, 783. 23 Dividends unnaid 1, 576. 21 1, 554. 56 Individual deposits 6, 302.00 United States deposits 345.24 DepositsofU.S.disbursing officers 56, 451. 63 16, 500. 00 Notes and bills rediscounted Bills payable 4,500.66 Liabilities other than those above stated 1, 333,110. 98 Total $500, 000.00 125,000.00 54,434.34 88,630. 00 38, 747. 09 1,288. 32 735. 00 519,117.24 5,158. 99 1, 333,110. 98 National Union Bank, Fall River. DANIEL WILBUR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1288. $456,412.56 5, 963. 37 120, 000. 00 13,500. 00 319.28 J. T. BURRELL, Caahier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . 6, 319. 24 Dividends unpaid 3, 374. 09 2, 805.14 Individual deposits 3,131.00 United States deposits 311.91 Deposits of U. S. dishursing officers. 17, 827. 30 10,973. 00 Notes and bills rediscounted. Bills payable 5, 400. 00 $200,000.00 13, 300. 00 40,111.99 106, 005.00 3, 389.86 258,530.04 25,000.00 Liabilities other than those above stated 646,336.89 ; Total. 646, 336.89 432 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Pocasset National Bank, Fall River. JOSEPH HEALY, President. No. 679. E. E. HATHAWAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer TJ. S Liabilities. $597,357.48 972.71 108,000. 00 5, 000.00 89, 572.53 2, 239.99 122,419.68 19, 906. 82 Capital stock paid in. Due to other national banks j Due to State banks and b a n k e r s . . < Dividends unpaid 50,531.10 10,486.00 4, 860. 00 40,000. 00 55,422. 50 97, 200. 0C 12, 898.10 72,934.21 248. 50 | Individual deposits 9,943.00 j United States deposits 1, 583. 83 l Deposits of U.S.disbursingofficers. Notes and bills rediscounted i Bills payable 449,169.83 45, 000. 00 50, 000.00 Liabilities other than those above stated 1, 022,873.14 Total . $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding. . . . Total 1, 022,873.14 Falmouth National Bank, Falmouth. SILAS JONES, No. 1320. President Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bondsou hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,anu fixtures Other realestate and mortg's owned Due from other national banks Due "rom State banks and bankers. Due from approved reserve agents. Checks and other ca,sh items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S Total . $103, 633. 31 230. 28 100, 000. 00 450 00 9, 500. 00 43,932.90 4,000. 00 59.25 26, 423.22 99.50 695." OO" 32. 77 5,109. 92 1, 065. 00 4, 500. 00 400. 00 300,131.15 G. E. DEAN, Cashier. Capital stock paid i n . $100,000.00 S u r p l u s fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 10, 750. 00 3,441. 88 89, 097. 50 2, 046. 00 94, 795.77 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 300,131.15 Fitchburg National Bank, Fitchburg. B. N . BULLOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furn iture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S Total N o . 1077. $846, 029. 65 70,666."66 1, 065. 00 6, 053.40 10,614. 69 129, 674. 58 11,285.41 12, 000. 214. 36, 844. 5, 500. 00 24 70 00 H . Gr. TOWNSEND, Cashier Capital stock paid in. $250,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 25, 882. 39 Individual deposits United States deposits Depositsof U.S.disbursing officers 613, 648. 74 30, 966. 54 61,910.00 24.00 Notes and bills rediscounted. Bills payable 3,150. 00 Liabilities other than those above stated 1,132,431.67 Total . 1,132,431.67 KEFOKT OF THE COMPTROLLER OF THE CURRENCY. 433 MASSACHUSETTS. Rollstone National Bank, Fitchburg. HENRY A. WILLIS, President. No. 702. W. B. TENNEY, Cashiw, Resources. Loans and discounts Liabilities. • Overdrafts i TJ. S. bonds t o secure c i r c u l a t i o n . . . ! U. S. bonds t o s e c u r e deposits ! U. S. bonds on h a n d ' P r e m i u m s on TJ. S. bonds ; Stocks, securities, e t c j Bank'ghouse,furniture.andfixturesj Other real e s t a t e and m o r t g ' s owned | D u e from o t h e r n a t i o n a l b a n k s j D u e from S t a t e b a n k s and b a n k e r s . D u e from approved r e s e r v e a g e n t s . ! Checks a n d o t h e r cash items I E x c h a n g e s for clearing house Bills of other n a t i o n a l b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes TJ. S. certificates of deposit Eedemption fund w i t h T r e a s . U . S . D u e from T r e a s u r e r TJ. S Total. $559, 433. 43 2, 013. 65 .] Capital stock paid in j 200,000.00 ' I Surplus fund ! Undivided profits, less current expenses and taxes paid ! 21, 000. 00 1 National-bank notes outstanding.! 18,194. 21 State-bank notes outstanding 63, 000. 00 6, 053. 53 1, 766. 23 *70," 268.' 87" 2,987.80 Due to other national banks Due to State banks and bankers.. . Dividends unpaid Notes and bills rediscounted Bills payable 9,000.00 140, 000. 00 17, 038.10 177, 200.00 52, 419. 35 111.00 ! I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S. d i s b u r s i n g officers. |. 13, 919. 00 168. 08 30, 762. 60 2, 000. 00 $250, 000.00 363, 798. 95 L. 1. I Liabilities other than those above stated 1,000,567.40 j Total I 1, 000, 567. 40 Safety Fund National Bank, Fitchburg. HENRY ALLISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ' U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures| Other real estate and mortg's ownedi Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes., , U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2153. $372, 798. 84 206,660.66 46, 646. 23 142, 690. 91 ELVIN J.TORREY, Cashier. Capital stock paid in , $200, 000. 00 Surplus fund , Undivided profits, less current ^expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 50, 000. 00 14, 952. 07 176,820'. 00 Due to other national banks , Due to State banks and bankers.. Dividends unpaid 16,074. 20 1, 276. 65 Individual deposits "* 8," 189." 66" United States deposits 103.82 Deposits of U.S.disbursing officers. 391, 794.81 13, 897.17 4, 774.10 36, 373. 60 610. 08 39, 570. 85 300. 00 9, 000.00 Notes and bills rediscounted Bills payable 108. 00 23, 928. 87 Liabilities other than those above stated Total. 874, 954. i 874, 954. 60 Wachusett National Bank, Fitchburg. . CLIFFORD, President. Loans and discounts j Overdrafts I CJ. S. bonds to secure circulation... J. S. bonds to secure deposits j 1. S. bonds on hand \ Premiums on CJ. S. bonds j stocks, securities, etc [ 3ank'g house, furni ture, andfixturesj )ther real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Sills of other nationalpanks Fractional currency,nickels, cents. specie Legal-tender notes I. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. CUR, PT 2 No. 2265. $940,415. 01 4,455. 43 100, 000. 00 W. G. COREY, Cashier. Capital stock paid in . $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid !i National-bank notes outstanding. 108, 615.00 !! State-bank notes outstanding 250, 000.00 15, 729. 02 87, 220. 00 30, 000. 00 ' "16*977 ."65 14, 610. 77 72, 588. 73 27, 976. 83 ; i Due to other national banks j Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits j Deposits of U.S.disbursingofficersJ. 2, 624. 00 181. 66 43,100.00 10, 900. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 1, 376, 944. 48 Total 53, 310. 79 516. 00 620,168. 67 100,000.00 1,376,944.48 434 REPORT OF THE COMPTROLLER OF THE OURBBNOY. MASSACHUSETTS. Franklin National Bank, Franklin. JOSEPH G. HAY, President. No. 1207. F . H. BARTHOLOMEW, Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits \ U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc [ Bank'grhouse, furniture, and fixtures Other real estateandmortg's owned Due from other national banks ' Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. l Specie " ! Legal-tender notes ! TJ. S. certificates of deposit j Redemption fund with Treas. II. S.! Due from Treasurer U. S ! Total . $315, 578.81 Capital stock paid in ! $200,000.00 16, 025.19 100, 000. 00 Surplus fund 40,000.00 Undivided profits, less current j 21, 867. 62 expenses and taxes paid i 87, 490. 00 Na'ional-bank notes outstanding.' ! 79, 493.75 State-bank notes outstanding . 34,065.50 126.79 900. 00 441, 54 7,000.00 8.067.00 4, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits Un ited States deposits Deposits of U.S.disbursing officers. 2, 202.00 214, 638. 96 Notes and bills rediscounted Bills payable Liabilites other than those above stated 566,198. 58 566,198.58 Total . First National Bank, Gardner. JOHN D. EDGELL, President. Loans and discounts • Overdrafts U. S. bonds to secure circulation...' U. S. bonds to secure deposits i U. S. bonds on hand ! Premiums on U. S. bonds ' ; Stocks, securities, etc Bank'ghouse,furniture,andHxtures Other real estateandmortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks • Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemptiou fund with Treas. U. S. Due from Treasurer U. S Total. No. 884. VOLNEY W. HOWE, Cashier. $332, 796. 57 ! Capital stock paid in ( $150,000.00 47.11 ! 37, 500. 00l ! Surplus fund.. ' 30,000.00 Undivided profits, less current 800. 00 9,488.68 expenses and taxes paid 33, 250. 00 3, 000.00 National-bank notes outstanding. 6,583.98 State-bank notes outstanding 20, 000.00 \ | ; Due to other national banks 205. 58 \ j Due to State banks and bankers. 20, 286.36 \ Dividends unpaid 82.00 422.14 ; i Individual deposits 231, 208. 01 5,726.00 j United States deposits '. 238.45 j Deposits of U.S.disbursing officers. 12, 735.00 12,000. 00 ! Notes and bills rediscounted. i Bills payable 1. 687. 50 ' i Liabilities other than those above ntated 454,028.69 ; Total . 454, 028. 69 Westminster National Bank, Gardner. JOHN A. DUNN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc \ Bank'ghouse,furniture,andnxtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bankr Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2284. $186,249.19 57.83 25, 000. 00 F. W. FENNO, Cashier. Capital stock paid in Surplus fund !i Undivided profits, less current | i expenses and taxes paid 2, 750. 00 |! National-bank notes outstanding. i State-bank notes outstanding 2.859.70 i Due to other national banks 7, 000. 00 Due to State banks and bankers.. 4,101. 99 | Dividends unpaid 402.05 j j j Individual deposits "2*636." bo i United States deposits 179.77 Deposits of U.S. disbursing officers 2, 708. 70 4,154. 00 ;; Notes and bills rediscounted. 1\ Bills payable 1,125.00 ! .; I Liabilities other than those above stated 238. 618.23 Total. $100,000.00 1, 500.00 2, 527.79 22, 500.00 39.00 92,051.44 20, 000.00 238, 618.23 REPOBT OF THE 60MPTR0LLER OF THE OUEE1N0Y. 4 8 5 MASSACHIISETTI. Georgetown National Bank, Georgetown. GKO. H. CARLETON, President. No. 2297. L E W I S H. GILES, Cashier. Resources. Loaus and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items | Exchanges for clearing house j Bills of other national panks Fractional currency, nickels, cents. | Specie Legal-tender notes ! U. S. certificates of deposit ! Redemption fund with Treas. U. S Due from Treasurer U. S Total. Liabilities. $110,617.15 1 Capital stock paid in. 1 I $50,000.00 12,500.00 j Surplusfund Undivided profits, less current expenses and taxes paid | National bank notes outstanding, i State-bank notes outstanding 10,000.00 8,834.50 11,250.00 Due to other national banks Due to State banks and bankers.. j 11,038. 54 3. 384. 94 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. i Notes and bills rediscounted j 562.50 Bills payable ! 65, 242.34 1,000.00 53.71 5,140. 00 700.00 330. 00 145, 326. 84 I Liabilities other than those above stated Total. 145, 326.84 First National Bank, Gloucester. GEORGE R. BRADFORD, President. Loans and discounts ; Overdrafts \ U. S. bonds to secure circulation.. J U. S. bonds to secure deposits j U. S. bonds on hand ' Premiums on U. S. bonds j Stocks, securities, etc ; Bank'ghouse,furniture,and fixturesOther real estate and mortg's owned; Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national/banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 549. $437, 283. 91 64.06 200,000. 00 16, 750. 00 5.581.21 J. GOTT, Cashier. Capital stock paid in j $200,000.00 surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000.00 7, 861. 84 180, 000. 00 34, 000. 00 6,000. C Due to other national banks Due to State banks and bankers.. 27,227.73 | dividends unpaid 3,121. 91 k Individual deposits 754. 00 United States deposits 901.57 Deposits of U.S.disbursing officers. 11, 653. 60 9, 000. 00 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above stated 776.14 60, 399. 67 1, 528. 00 215, 772. 34 20, 000. 00 Total . Total. 761, 337. 99 Cape Ann National Bank, Gloucester. JOHN E. SOMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned j Due from other national banks j Due from State banks and bankers. j Due from approved reserve agents. | Checks and other cash items | Exchanges for clearing house \ Bills of other national banks j Fractional currency, nickels, c e n t s ! Specie '. ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 899. $300,123. 37 143. 77 150, 000. 00 HIRAM RICH, Cashier. Capital stock paid in I $150, 000.00 Surplusfund ! Undivided profits, less current j expenses and taxes paid 15,000.00 National-bank notes outstanding. 9,300.00 State-bank notes outstanding 15, 500.00 Due to other national banks 20, 256. 51 j Due to State banks and bankers.. 36, 706. 32 Dividends unpaid 29.94 2, 680. 00 271.17 15,771.85 11,050.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. i 55, 000. 00 19, 594.13 131, 900. 00 100. 00 5,028. 00 221, 960. 80 Notes and bills rediscounted. Bills payable 6,750. 00 , j j Liabilities other than those above stated 583,582.93 Total. 583, 582.93 436 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. City National Bank, Gloucester. SYLVESTER CUNNINGHAM, President. No. 2292. WILLIAM A. PEW, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from Statebanks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. : Liabilities. $469,451.94 1,138. 90 150, 000. 00 Capital stock paid in. $150,000.00 100, 000. 00 Due to other national banks Due to State banks and bankers.. 2,000. 00 13.000.00 44' 200.00 15, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 368. 87 28, 067. 71 135, 000. 00 38,889.15 j Dividends unpaid 3,052.49 I j Individual deposits 675.00 United States deposits 345.53 Deposits of U. S.disbursing officers. 7, 300. 00 14,378. 00 Notes and bills rediscounted. Bills payable 353. 00 352,391.43 6, 750. 00 Liabilities other than those above stated 766,181. 01 Total . 766,181. 01 Gloucester National Bank, Gloucester. JOHN CORLISS, President. No. 1162. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. WILLIAM BABSON, Cashier. $532,194. 36 j Capital stock paid in ! $300,000.00 32.58 200, 000. 00 Surplus fund j 100,000.00 Undivided profits, less current i expenses and taxes paid ! 31,474.89 15, 000. 00 National-bank notes outstanding J 176, 000. 00 47,173. 33 State-bank notes outstanding I 24, 000. 00 Due to other national banks ! 4,123. 89 Due to State banks and bankers..' 63, 341. 51 Dividends unj)aid. 9, 966. 00 105. 40 Individual deposits 282, 635.16 2, 610. 00 United States deposits 507. 21 Deposits of U.S.disbursingofficers18, 624, 55 11,611.00 Notes and bills rediscounted. Bills payable 20, 000. 00 9, 000. 00 Liabilities other than those above stated Total. 924,199.94 924,199. 94 Grafton National Bank, Grafton. GEORGE K. NICHOLS, President. No. 824. Loans and discounts • $156,193. 61 Overdrafts 9. 69 U. S. bonds to secure circulation... 25,000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j 3, 000. 00 Stocks, securities, etc i 6, 990. 00 Bank'ghouse,furniture,and fixtures! 400.00 Other real estate andmortg's owned Due from other national banks \ Due from State banks and bankers. Due from approved reserve agents. 7, 538. 31 Checks and other cash items Exchanges for clearing house Bills of other nationalbanks 604. 00 Fractional currency, nickels,cents. 254. 26 Specie 3, 391. 90 Legal-tender notes 1, 650. 00 U. S. certificates of deposit ! Redemption fund with Treas. U. S. | 1,125. 00 Due from Treasurer U. S Total. 206,156. 77 ARTHUR A. SIMMONS, Cashier. Capital stock paid in • $100,000.00 Surplus fund Undivided profits, less current | expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding '. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits ! United States deposits I. Deposits of U. S.disbursing officers. I. 15, 000. 00 4, 327. 69 21, 880. 00 147. 50 64,801. 58 Notes and bills rediscounted. Bills payable Liabilities other than those above | stated Total . 206,156.77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 437 MASSACHUSETTS. National Mahaiwe Bank, Great Barrington. JOHN L. DODGE, President. No. 1203. FREDERICK N. DELAND, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. $507, 399. 97 1,532.17 50, 000. 00 56, 500. 00 7, 500. 00 7, 220. 91 Capital stock paid in $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. 22, 469. 21 234.28 39, 969.57 Dividends unpaid 4, 642. 60 Individual deposits 4. 800.00 United States deposits 64.30 Deposits of U.S. disbursing officers. 37, 778. 85 4, 000. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above 72^, 658. 37 Total 44, 592. 39 45, 000. 00 777. 00 310, 585.49 723, 658.37 First National Bank, Greenfield. JT W. STEVENS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits.. TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtures Other real estate and mortg's o wnedj Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer ~U, S "Total No. 474. $586,155.69 565.53 200, 000.00 750. 00 15, 000. 00 23, 765. 01 205. 06 62, 225. 52 1,249.09 1,175.66 145. 43 22, 393. 50 3, 558. 00 JOHN E. DONOVAN, Cashier. Capital stock paid i n . . . $200,000.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 140, 000. 00 21, 315. 87 178, 795.00 36, 796.62 25.60 56.00 Individual deposits United States deposits DepositsofU.S.disbursingofficers- 349,198.74 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above stated 926,187. 83 Total . 926,187.83 Franklin County National Bank, Greenfield. J . H. SANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Tota l . No. 920. $321, 640. 36 461. 52 50,000. 00 1,150. 00 1, 750. 00 18,100. 00 25,126. 03 27,055. 30 3,114. 67 5, 050. 00 31.42 15, 399.15 2, 390.00 CHAS. H. KEITH, Cashier. $200,000.00 Capital stock paid i n . Surplus fund .... Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 20,000.00 9,346.13 45, 000. 00 27, 838. 20 50.00 171. 284.12 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 473, 518.45 Total. 473,518.45 438 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, Packard National Bank, Greenfield. No. 2264. W. G. PACKARD, President. H. D. PACKARD, Cashier. Resources. Loans and discounts. Overdrafts f U. S. bonds to secure circulation.. IT. S. bonds to secure deposits IT. S. bonds on hand ; Premiums on U. S. bonds j Stocks, securities, etc | Bank'ghouse,furniture,and fixtures! Other real estate and mortg' s owned Due from other national banks ; Due from State banks and bankers.; Due from approved reserve agents. j Checks and other cash items j Exchanges for clearinghouse j Bills of other nationaFbanks Fractional currency, nickels, cents. Specie Legal-tender notes '! U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $243,542.99 660.25 25, 000.00 2,750. 00 Capital stock paid i n . . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 200.00 1,998.15 738.29 1,237.88 860.00 50.03 15,827. 30 4,069.00 1,125.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits j Deposits of U .S.disbursing officers. j Notes and bills rediscounted. Bills payable 415. 69 255.00 152,786.11 12,000.00 Liabilities other than those above stated 301,058.89 Total. 301,058.89 Cape Cod National Bank, Harwich. ED'W. E. CROWELL, President. GEO. H. SNOW, Cashier. No. 712. Loans and discounts j Overdrafts | U. S. bonds to secure circulation... I U. S. bonds to secure deposits ! U. S. bonds on hand \ Premiums onU. S. bonds i Stocks, securities, etc j Bank'ghouse,furniture,andfixture?! Other real estate and mortg's owned! Due from other national banks i Due from State banks and bankers.! Due from approve d reserve agents. j Checks and other cash items I Exchanges for clearing house j Bills of other national jbanks j Fractional currency, nickels, cents. j Specie I Legal-tender notes I U. S. certificates of deposit ; Redemption fund with Treas. U. S. Due from Treasurer U. S £otal. $374,124.70 11.48 300, 000.00 Capital stock paid in. Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding |! \\ 7,500.00 I j 21,439.25 i 1,000.00 || 7,613. 02 Due to other national bankf Due to State banks and bankers. 9,874.72 Dividends unpaid. 4.58 690.00 4,000.00 13,500.00 739,757.75 Individual deposits United States deposits Depositsof U .S.disbursing officers. $300,000.00 60, 000.00 8, 716. 57 265, 400. 00 831.00 104,810.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 739, 757. 75 First National Bank, Haverhill. S. P . GARDNER, President. Loans and discounts. Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc I Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house i Bills of other national panks iFractional currency, nickels, cents. Specie Legal-tendernotes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. E. DOLE, Cashier. No. 481. $658,055.24 j Capital stock paid in | $300, 000.00 435.92 I 150,000.00 Surplusfund 120,000.00 Undivided profits, less current 976.83 expenses and taxes paid 20,000.00 National-bank notes outstanding. 134, 000.00 23,813. 75 State-bank notes outstanding 33,400.00 64,571.44 Due to other national banks j Due to State banks and bankers.. I. 59, 501.50 Dividends unpaid 437.00 j i 4,358.38 9,614.24 Individual deposits I 2,979. 00 United States deposits 423.59 Deposits of U. S.disbursing officers. |. 20, 200.13 9, 682. 00 Notes and bills rediscountedBills payable 6, 750.00 Liabilities other than those above •tated : 989,599.51 Total. 989,599.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 439 MASSACHUSETTS. Second National Bank, Haverhill. JOHN A. GALE, President. No. 3510. C. H . DUTTON, J R . , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc i Bank'g house, furniture, and fixturesj Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $563,196.94 625.88 150. 000.00 j j Capital stock paid in II ij Surplus fund , j Undivided profits, less current j .; j expenses and taxes paid • 11,805.00 62,105. 58 !| National-bank notes outstanding.! j. 21,000. 00 j j State-bank notes outstanding . • j Due to other national banks 12,753.47 ;; Due to State banks and bankers . 10,437. 85 839.56 4, 267. 42 1, 300. 00 139. 52 8,418. 40 8,124. 00 :j Dividends unpaid $150,000.00 50,000.00 6,631.71 135,000.00 34, 690.68 5, 000. 00 588.00 1 Individual deposits 1 : I) United States deposits j: Deposits of U.S. disbursing officers. 477, 235. 73 Notes and bills rediscounted. Bills payable 4,132. 50 Liabilities other than those above ! \ stated Total 859,146.12 Total. : • 859,146.12 Essex National Bank, Haverhill. OLIVER TAYLOR, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixturesj Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents.! Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total J. Russ, JR., Cashier. No. 589. $275,523.27 || Capital stock paid in ! $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,029.37 7, 609. 20 7, 756. 52 2,418.01 Individual deposits United States deposits Deposits of U.S.disbursingofficers.j 11,000.00 19, 382. 50 17,000.00 20, 000.00 Due to other national banks | Due to State banks and bankers Dividends unpaid 84,500.00 241, 187.45 795.00 304.81 8, 750. 20 6,090.00 Notes and bills rediscounted Bills payable 442.50 | 441,183.17 j Liabilities other than those above stated ! Total . 1,374.71 76, 050.00 153.00 441,183.17 Haverhill National Bank, Haverhill. JOHN E. GALE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 484. $568. 504. 04 ! Capital stock 1. 74 ! 200,000.00 j Surplus fund 21, 000. 00 32,452. 76 41,000.00 63, 520. 34 6,432.17 5, 871. 00 459.97 20, 773. 50 12, 275. 00 BENJAMIN I . PAGE, Cashier. paid in... Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $200,000. 00 100, 000. 00 20, 076. 21 180, 000. 00 9, 955. 27 885.00 Individual deposits | 430, 374.04 United States deposits |. Deposits of U. S.disbursing officers. . Notes and bills rediscounted. Bills payable 40,000.00 9,000.00 j Liabilities other than those above ! stated 981,290. 52 Total. 981,290.52 440 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Merchants' National Bank, Haverhill. CHARLES E. WIGGIN, President. 0. E. LITTLE, Cashier. No. 4833. Resources. Liabilities. $274,108.22 j Capital stock paid in Loans and discounts I \ $100, 000.00 692.41 i| Overdrafts | 25,000.00 1 Surplus fund. 1 ! 25, 000. 00 U. S. bonds to secure circulation... j Undivided profits, less current I U. S. bonds to secure deposits |. expenses and taxes paid I 4, 809. 60 U. S. bonds on hand '. 2, 250. 00 I National-bank notes outstanding. I 22, 500.00 Premiums on U. S. bonds 4, 843. 00 i State-bank notes outstanding i Stocks, securities, etc ; 575. 00 I Bank'ghouse,furniture, and fixtures! Due to other national banks ' 2, 926. 33 Other real estate and mortg's owned . Due from other national banks Due to State banks and bankers Due from State banks and bankers. l . 25, 772. 29 Dividends unpaid i 45.00 Due from approved reserve agents. 954.11 Checks and other cash items : ! Individual deposits 194, 616.41 Exchanges for clearing house •. United States deposits ! Bills of other national banks I. 467. 56 Depositsof U.S.disbursing officers. I Fractfonalcurrency, nickels, cents. j 5, 210. 75 Specie j 8, 899. 00 Notes and bills rediscounted. Legal-tender notes ; Bills payable U. S. certificates of deposit j. Redemption fund with Treas. U. S.j 1,125. 00 Liabilities other than those above \ Due from Treasurer IT. S ;349, 897. 34 Total. stated Total. I 349, 897. 34 Merrimack National Bank, Haverhill. No. I DUDLEY PORTER, President Loans and discounts O v er draft s [ U. S. bonds to secure circulation... i U. S. bonds to secure deposits j U. S. bonds on hand j Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. U. A. KILLAM, Cashier. $815, 701. 22 Capital stock paid in ! 142.02 50,000.00 I Surplusfund j I Undivided profits, less current ! I expenses and taxes paid j National-bank notes outstanding. ' State-bank notes outstanding 11, 860. 00 Due to other national banks ! Due to State banks and bankers.. '•. j 53, 842. 70 Dividends unpaid i 4, 958. 67 Individual deposits | 9, 963. 00 United States deposits '415. 60 Depositsof U.S.disbursing officers. 31, 416. 95 6, 000. 00 2,250.00 Notes and bills rediscounted Bills payable 15, 054. 95 1, 868.00 533, 479. 21 ! | Liabilities other than those above \ stated I 6, 550.16 Total. 6, 550.16 Hingham National Bank, Hingham. JOSEPH JACOBS, President. Loans and discounts ; Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits !. U. S. bonds on hand Premiums onU. S. bonds ' Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned . Due from other national banks \. Due from State banks and bankers. . Due from approved reserve agents. \ Checks and other cash items | Exchanges for clearing house Bills of other national banks. Fractional currency. nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 1119. B. A. ROBINSON, Cashier. $239, 291. 29 Capital stock paid in 30.08 35,000.00 I Surplus fund \ $140,000. 00 ; Undivided profits, less current ! ! expenses and taxes paid 2,000.00 i| National-bank notes outstanding. 68,430.75 : I State-bank notes outstanding 7, 000. 00 Due to other national banks... Due to State banks and bankers.. '• 27, 537. 93 Dividends unpaid 299.44 i Individual deposits 2,190. 00 ! United States deposits \. 164. 01 Depositsof U.S.disbursing officers- . 15, 673. 00 2, 000. 00 1, 575. 00 401,191. 50 30,000.00 5, 972. 30 28, 500.00 12, 535. 60 9.80 184,173. 80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated I Total. 401,191.50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 441 MASSACHUSETTS. Holliston National Bank Holliston. HENRY E. BULLARD, President. No. 802. J . H. ANDREWS, Cashier. Resources. Liabilities. Loans and discounts j $46,762. 95 Capital stock paid in. Overdrafts ' IT. S. bonds to secure circulation... | "37," 500.'00 ) Surplus fund U. S. bonds to secure deposits j Undivided profits, less current TJ. S. bonds on band ! l| expenses and taxes paid Premiums on 17. S. bonds National-banknotes outstanding. Stocks, securities, etc 66, 500. 00 State-bank notes outstanding 11, 685. 00 Bank'g house, furniture, andfixtures Otber real estate and mortg's owned 6, 713. 58j! Due to other national banks Due from otber national banks 9, 000.00 ;I Due to State banks and bankers. Due from State banks and bankers. 4,026. 74 ji Due from approved reserve agents. Checks and other cash items 465.01 Dividends unpaid., Exchanges for clearing house Individual deposits Bills of other nationalbanks | i j United States deposits 17.75 I i Deposits of U. S.disbursing officers. Fractional currency, nickels, cents5,100.50 Specie Legal-tender notes . jj Notes and bills rediscounted. U. S. certificates of deposit Bills payable Redemption fund with Treas. TJ. S. 1, 687. 50 Due from Treasurer TJ, S Liabilities other than those above stated Total. 189,459.03 ; Total . $100,000. 00 5, 353. 42 5,478. 21 32, 750. 00 12, 575. 33 33,302. 07 189, 459. 03 City National Bank, Holyoke. WILLIAM SKINNER, J R . , President. No. 2430. C. FAYETTE SMITH, Cashier. Loans and discounts ' $1,094, 778. 74 ! Capital stock paid in ' $500, 000.00 Overdrafts j 926.97 | U. S. bonds to secure circulation... I 50, 000. 00 | Surplus fund j 55, 000.00 U. S. bonds to secure deposits j I Undivided profits, less current j U. S. bonds on hand \ expenses and taxes paid ' 56, 044.87 Premiums on U. S. bonds National-bank notes outstanding45,000.00 15,000.00 Stocks, securities, e t c . . . State-bank notes outstanding 11, 000. 00 Bank'g house,furniture,and fixtures, Other real estate and mortg's owned Due to other national banks 18, 381. 86 Due from other national banks j 12, 375. 77 433.83 Due to State banks and bankers... Due from State banks and bankers 2, 225. 30 Due from approved reserve agents 155,585.88 Dividends unpaid ' 25.00 7,118. 14 Checks and other cash items Exchanges for clearing house Individual deposits j 721, 445.14 7,405. 00 Bills of other national oanks United States deposits. !. 135.90 Fractional currency, nickels, ients. Deposits of U.S disbursingofficers.j. 23, 336.00 Specie 14,193. 00 Notes and bills rediscounted L Legal-tender notes U. S. certificates of deposit Bills payable Kedemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated Total 1,396,330.70 Total 1, 396, 330. 70 Hadley Pall's National Bank, Holyoke. CHARLES W. RANLET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits j U. S. bonds on hand ' Premiums on U. S. bonds .! Stocks, securities, etc Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks J Diie from State banks and bankers. | Due from approved reserve agents Checks and other cash items ! Exchanges for clearing house Bills of other national ]>anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1246. $379,780. 81 735. 62 50, 000. 00 H. P. TERRY, Cashier, Capital stock paid in 5, 000. 00 I $200, 000.00 Surplus fund I Undivided profits, less current j expenses and taxes paid ' National-bank notes outstanding-! State-bank notes outstanding.... 100,000.00 40, 423. 99 45, 000.00 * 15," 000.'66 Due to other national banks Due to State baniks and bankers. 382.75 Dividends unpaid 65, 890. 51 8, 353.11 j Individual deposits 10,172. 00 ! United States deposits 43. 56 j Deposits of U.S. disbursing officers. 19,005.00 10, 000.00 2, 250. 00 14,369. 05 9, 821.55 156, 998. 77 I Notes and bills rediscounted Bills payable I Liabilities other than those above I stated 566, 613. 36 \ Total . 566, 613. 36 442 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Holyoke National Bank, Holyoke. C. H. H E Y WOOD, President. W M . G. TWING, Cashier. No. 1939. Resources. Loans and discounts ! Overdrafts i U. S. bonds to secure circulation... ; U. S. bonds to secure deposits ! ! U.S. bonds on band Premiums on U. S. bonds ; Stocks, securities, etc i Bank'g house, furniture, and fixtures1 Otherrealestateandmortg's owned: Due from other national banks i Due from State banks and bankers. Due from approved reserve agents.; Checks and other cash items j Exchanges for clearing house Bills of other national \>anks i Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S.; Due from Treasurer U. S i Total . Liabilities. $708,070.68 ' Capital stock paid in j $200,000.00 350. 32 200, 000. 00 I Surplus fund | 85,000.00 ! Undivided profits, less current j expenses and taxes paid. i 16,156.93 13, 000. 00 National-bank notes outstanding. 1 180, 000. 00 11,800.00 | State-bank notes outstanding ' 28,000.00 i 6, 794.81 Due to other national banks ; 6. 54 ! Due to State banks and bankers..'[ 66,940.87 Dividends unpaid •. 2, 301.22 ; Individual deposits | 597,166. 98 , 5 . o b 1 United States deposits 1 1 228.84 1 Deposits of U.S.disbursingoffi cers. . 23,201.25 19, 464. 00 Notes and bills rediscounted Bills payable 9, 000. 00 j Liabilities other than those above j stated !. Total 1,085,118.72 j I 1,085,118.72 Home National Bank, Holyoke. No. 3128. JAMES H. NEWTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand ; Premiums on U. S. bonds | Stocks, securities, etc \ Bank'ghouse,furniture,andfixturesi Other real estate andmortg's owned Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents. | Checks and other cash items Exchanges for clearing house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $575, 997. 79 72.45 250,000.00 FRED. F . PARTRIDGE, Cashier. Capital stock paid in I $250, 000.00 Surplus fund j Undivided profits, less current i expenses and taxes paid . 5,500.00 National-bank notes outstanding.} ! State-bank notes outstanding I, 4*566.' bo Due to other national banks Due to State banks and bankers. 41,529.85 I Dividends unpaid 3,554.21 Individual deposits 12,530. 00 United States deposits \. 371.63 Deposits of U.S.disbursing officers.1. 23, 412. 50 6, 078. 00 Notes and bills rediscounted. Bills payable 11, 250. 00 Liabilities other than those above j stated 1,125." 83 935, 922. 26 Total. 41,000.00 12,921.19 225,000.00 13,961.58 27.50 391, 011. 99 2,000. 00 935, 922. 26 Park National Bank, Holyoke. EDWARD L. MUNN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Otherrealestateandmortg's owned Due from other national banks , Due from State banks and bankers. I Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house i Bills of other national banks j Fractional currency, nickels, cents, j Specie Legal-tender notes ! U. 3. certificates of deposit j Redemption fund with Treas. U. S.! Due from Treasurer U. S I Total. No. 4703. $501, 797.92 140. 26 100, 000. 00 12, 000. 00 " 8, 500. 66 36,888.12 1,853.34 81. 92 11, 345. 00 13,215. 00 4,500. 00 GEO. W. PARKER, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 9, 746.86 Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted Bills payable 11, 005.70 90,000.00 400,021. 80 30,156.08 Liabilities other than those above stated 690, 930.44 Total. 690,930.U REPORT OF THE COMPTROLLER OF THE CURRENCY. 443 MASSACHUSETTS. Hopkinton National Bank, Hopkinton. CHAS. L. CLAPLIN, President. No. 626. WEBSTER W. PAGE, Cashier. Liabilities. Resources. Loans and discounts ! Overdrafts j . . U. S. bonds to secure circulation... i TJ. S. bonds to sec are deposits L. U. S. bonds on hand ! Premiums on TJ. S. bonds j Stocks, securities, etc i Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned!.. Due from other national banks LDue from State banks and bankers. j . . Due from approved reserve agents.! Checks and other cash items | Exchanges for clearing house j . . Bills of other national banks j Fractional currency, nickels, cents, i Specie j Legal-tender notes j TJ. S. certificates of deposit !.. Redemption fund with Treas. TJ. S.j Due from Treasurer TJ. S |.. Total. 13,135.45 Capital stock paid in $100,000.00 37, 500. 00 Surplus fund Undivided profits, less current 5, 000. 00 expenses and taxes paid 3, 525. 00 National-bank notes outstanding. 44,117. 25 State-bank notes outstanding 15,346.18 Due to other national banks Due to State banks and bankers. 20, 380.42 Dividends unpaid 142. 70 Individual deposits " " 255." 00 United States deposits " 408. 68 DepositsofU.S.disbursingoflficers. 5, 524. 65 4,811.00 Notes and bills rediscounted Bills payable 1,687.50 Liabilities other than those above stated , 231,833.83 Total . 22,000. 00 3, 065. 24 33, 000.00 56.50 73, 212. 09 500. 00 231,"833. 83 Hudson National Bank, Hudson. LUMAN T. JEFTS, President. No. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $220, 475. 26 113.15 75, 000. 00 10,843. 75 20,473. 22 8.00 5,456. 00 42.79 8,191. 50 3, 500. 00 CALEB L. BRIGHAM, Cashier. 2618. Capital stock paid in $100,000.00 Surplus fund I Undivided profits, less current j expenses and taxes paid .-...! National-bank notes outstanding. | State-bank notes outstanding ! 10, 600. 00 Due to other national banks j Due to State banks and bankers..!. Dividends unpaid j 4, 018.14 Individual deposits ! United States deposits I. Deposits of U.S.disbursingoffieers-i- 152, 772.52 13, 298. 51 66, 320. 00 469. 50 Notes and bills rediscounted. Bills payable 3, 375. 00 Liabilities other than those above | stated |. 347,478. 67 Total. 347, 478. 67 First National Bank, Hyannis. A. D. MAKEPEACE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Biils of other nationalbankH Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. $174,140. 06 4.94 100,000. 00 3,500. 00 22, 017.17 12, 000. 00 G. E. TILLSON, Cashier. 1107. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000. 00 10, 000. 00 3, 996.10 87, 280. 00 Due to other national banks Due to state banks and bankers . 19,010.26 68.94 2,194.00 79.67 7, 012. 25 1,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 465. 00 143,186.19 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 345, 527. 29 Total . 600.00 345,527. 29 444 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, First National Bank, Ipswich. HENRY B. LITTLE, No. 4774. President. CHAS. M. KELLY, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts ', U. S. bonds to secure circulation...j U. S. bonds to secure deposits ' U. S. bonds on hand \ Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers J Due from approved reserve agents. Checks and other cash items • Exchanges for clearing house ' Bills of other national banks \ Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $89, 811. 27 | Capital stock paid in I " 5 6 "666! 66"! Surplus fund Undivided profits, less current I expenses and taxes paid I 5,000.00 ! National-bank notes outstanding.! 21,680.34 I State-bank notes outstanding 1,500.00 Due to other national banks Due to State banks and bankers.. 3,667.22 ; Dividends unpaid. 2, 250. 00 1, 250. 00 5, 064.56 45, 000.00 329. 37 28.00 Individual deposits ! 485 00 United States deposits I. 139. 39 Deposits of U. S.disbursing officers.!. 2,794. 50 5, 060. 00 $50, 000. 00 80,715.79 Notes and bills rediscounted j Bills payable 1 Liabilities other than those above I stated 182,387.72 Total. 182, 387.72 Arlington National Bank, Lawrence. W M . S. KNOX, President. ! Loans and discounts Overdrafts U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand [! Premiums on U. S. bonds Stocks, securities, etc I Ban k 'g house furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house 1 Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. L. LEIGHTON, Cashier. No. 4300. $354,428. 66! Capital stock paid in I $100, 000.00 393.19 100,000.00 ; Surplus fund ! 20,000.00 Undivided profits, less current ; 15, 000. 00 expenses and taxes paid 12,467.27 5, 387.50 National-bank notes outstanding. 90, 000.00 71, 656. 67 State-bank notes outstanding i. 12, 000. 00 Due to other national banks I 25, 574. 49 " 7,747.39 Due to State banks and bankers..'. 4,356.49 Dividends unpaid I 315.00 12, 705. 36 Individual deposits 1 401,124.32 400. 00 United States deposits i. 1, 224. 22 Deposits of U.S.disbursing officers.' 32, 479. 60 27,002. 00 Notes and bills rediscounted i Bills payable j. 4, 500. 00 200. 00 Liabilities other than those above stated 649, 481. 08 Total. 649,481.08 Bay State National Bank, Lawrence. J O S E P H SHATTUCK, President. No. 1014. JUSTIN E. VAKNEY, Cashier. Loans and discounts $614,957.36 Capital stock paid in : $375,000.00 Overdrafts | 56. 63 U. S. bonds to secure circulation... 50,000. 00 Surplus fund I 75,000.00 U.S. bonds to secure deposits Undivided profits, less current ; U.S. bonds on hand expenses and taxes paid i 104,119. 01 Premiums on U. S. bonds National-bank notes outstanding. | 43, 500. 00 Stocks, securities, etc 241,057.88 State-bank notes outstanding Bank'g house, furniture, and fixtures 2. 00 Other real estate and mortg's owned Due to other national banks i 5, 291. 78 Due from other national banks Due to State banks and bankers.. L Due from State banks and bankers Due from approved reserve agents. 65,713.56 Dividends unpaid. 235. 00 Checks and other cash items 1,144 51 Exchanges for clearing house 'i Individual deposits 409,972.97 Bills of other nationallmnks j 5,879.00 I United States deposits Fractional currency, nickels, cents. ' 85. 92 • Deposits of U.S.disbursingoflicers Specie I 21, 971. 90 ! Legal-tender notes 10,000.00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit I Redemption fund with Treas.U. S. 2,250.00 Due from Treasurer U.S i Liabilities other than those above stated Total j 1,013,118.76 Total i 1,013,118.76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 4 5 MASSACHUSETTS, Lawrence National Bank, Lawrence. W I L L I A M P . CLARK, President. No. 1962. H . L. SHERMAN, Resources Loans and discounts Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . U. S. bonds t o secure deposits U. S. bonds on h a n d P r e m i u m s on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other r e a l estate a n d mortg's owned D u e from other national b a n k s Due from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house. Bills of other national b a n k s . Fractional currencj^. nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer TJ. S $536,128. 08 30.47 300,000.00 14, 000, 00 40, 222. 00 80, 000. 00 3, 666. 69 Capital stock paid i n . $300, 000.00 Surplus fund Undivided profits, less c u r r e n t expenses and t a x e s paid National-bank notes o u t s t a n d i n g . State-batik notes outstanding 33, 500. 00 32, 635. 22 270, 000. 00 Due to other national b a n k s Due to State banks and b a n k e r s . 35, 529.40 j "24," 631.' 73" 5, 438.14 3, 500. 00 143. 69 20, 052. 75 15, 000. 00 Dividends unpaid j 792. 00 Individual deposits '• United States deposits Deposits of U.S. disbursing officers. 383, 856.93 Notes and bills rediscounted Bills payable 1 13,500.00 Liabilities other t h a n those above i stated 1,056,313.55 i Total . Cashier. Liabilities. Total I 1, 056, 313. 55 Merchants' National Bank, Lawrence. J A M E S R. SIMPSON, President. Loans and discounts Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . TJ. S. bonds t o secure deposits U S. bonds on hand P r e m i u m s on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and m o r t g ' s owned D u e from other national b a n k s . D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house Bills of other r a t i o n a l banks Fractional currency, nickels, c e n t s . Specie * Legal-tender notes U . S. certificates of deposit Redemption fund w i t h Treas. U. S. Due from T r e a s u r e r U. S No. 3977. $426, 206. 55 346. 82 100,000.00 Surplus fund Undivided profits, less c u r r e n t j expenses and taxes paid 8, 000. 00 National-bank notes o u t s t a n d i n g . 19. 000. 00 ! State-bank notes o u t s t a n d i n g . . . . . 33, 000. 00 ; Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 103,177. 58 6, 573.47 ""2,'2i7."o6" 514. 27 38, 727. 75 14, 750.00 $100, 000. 00 20, 000.00 20, 372. 5.1 88,110. 00 933. 79 Dividends unpaid I n d i v i d u a l deposits United States deposits Deposits of U.S. disbursing officers. 527, 597.14 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other t h a n those above stated Total . 757,013.44 Total . J . A . P E R K I N S , Cashier. Capital stock paid i n . 757, 013. 44 Pacific National Bank, Lawrence. J A M E S H . K I D D E R , President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds t o secure deposits U. S. bonds on hand P r e m i u m s on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate a n d m o r t g ' s owned D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . ! D u e from approved reserve a g e n t s . | Checks and other cash items I E x c h a n g e s for clearing house | Bills of other national b a n k s ! F r a c t i o n a l currency, nickels, cents. j Specie I Legal-tender notes U . S. certificates of deposit ; Redemption fund w i t h Treas. TJ. S.i D u e from Treasurer U. S Total. N o . 2347. W I L L I A M H . J A Q U I T H , Cashier. 5440, 246. 54 | Capital stock paid in j 340.11 50,000.00 I Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid | 5, 000. 00 I National-bank notes outstanding.! 10,000.00 State-bank notes outstanding I. $150, 000.00 Due to other national b a n k s j Due to State banks and b a n k e r s . . ! . 5, 798.15 35, 436.15 j Dividends unpaid j 5,175. 48 Individual deposits j 4, 733. 00 United States deposits. j. Deposits of U.S.disbursingofficers. j. 78.97 31,110.95 Notes and bills rediscounted. Bills payable 2, 250. 00 27, 000. 00 12, 460. 55 45, 000. 00 171.00 343, 941. 50 Liabilities other than those above stated 584, 371. 20 Total. 584,371.20 446 REPORT OF THE GOMPTHOLLER OF THE OUBRBKOY. MASSACHUSETTS. Lee National Bank, Lee. No. 885. C. C. BENTON, President. J . L. KILBON, Cashier Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned . Due from other national banks Due from State banks and bankers. . Due from approved reserve agents.: Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.' Specie Legal-tender notes TJ. S. certificates of deposit :. Redemption fund with Treas. U. S.1 Due from Treasurer!!. S $309,642.93 | Capital stock paid in. 354.54 | 50,000.00 i Surplus fund Undivided profits, less current 40,000.00 expenses and taxes paid 6,123.12 National-bank notes outstanding. 53, 373. 50 State-bank notes outstanding ! 20, 000. 00 Due to other national banks Due to State banks and bankers.. 16,233.26 2, 305. 00 152. 09 22, 451. 95 1, 550. 00 "2,250.00 Dividends unpaid. 100, 000.00 24,920.53 44, 210.00 14,228.46 103.77 78.00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 143,511.23 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 527,051.99 Total. $200,000.00 527,051. 99 Leicester National Bank, Leicester. No. 918. CHARLES A. DENNY, President. Loans and discounts $221, 586. 80 Overdrafts U. S. bonds to secure circulation... 25, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds ; Stocks, securities, etc 17, 258. 86 Bank'ghouse,furniture,and fixtures 7, 000.00 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. 35, 734.14 Checks and other cash items 519.37 Exchanges for clearing house Bills of other national banks 2,835. 00 Fractional currency, nickels, cents. 17.33 Specie 8,018.00 Legal-tender notes 3, 280. 00 II. S. certificates of deposit Redemption fund with Treas. U. S. 1,125. 00 Due from Treasurer TJ. S Total . PARKMAN T. DENNY, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current ; expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . . Dividends unpaid 50, 000. 00 15, 237. 76 21, 440. 00 2, 398. 43 j Individual deposits United States deposits ;. Depositsof U.S. disbursing officers.;. 3, 507. 00 129,791.31 Notes and bills rediscounted. Bills payable Liabilities other than those above j stated |. 322,374.50 j Total. 322,374.50 Lenox National Bank, Lenox. HENRY SEDGWICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc • Bank'g house, furniture, andfixtures. Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. ! Due from Treasurer TJ. S • Total . No. 4013. EDWARD MCDONALD, Cashier. $95,574.45 ' Capital stock paid in \ 567.82 : 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 76,266. 11 State-bank notes outstanding 1, 500.00 Due to other national banks 159.73 Due to State banks and bankers .. 43, 732.37 371.41 Dividends unpaid $50,000.00 Individual deposits United States deposits 205.27 Deposits of U.S. disbursing officers. 9,708. 25 j 5, 280. 00 Notes and bills rediscounted Bills payable j 562.50 \\ ' i Liabilities other than those above stated 161,164.07 246,427. 91 Total . 10, 000.00 7,479.93 11,250.00 6, 533.91 246, 427.91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 4 7 MASSACHUSETTS. Leominster National Bank, Leominster. No. 3204. HAMILTON MAYO, President. A. L. BURDITT, Cashier. Eesources. Liabilities. Loans and discounts | Overdrafts i U. S. bonds to secure circulation... i U. S. bonds to secure deposits ! XT. S. bonds on hand ( Premiums on U. S. bonds | Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owuedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XT. SDue from Treasurer IT. S $391,886. 67 179.16 37, 500. 00 Capital stock paid in. Due to other national banks Due to State banks and bankers. 24, 932.47 ! Dividends unpaid 206. 27 ! Individual deposits 6, 000. 00 United States deposits 75.26 Deposits of U.S. disbursing officers. 21, 06d. 95 4, 277. 00 "i,"687."56' 18, 000. 00 17,066.11 33,750.00 17, 282. 98 548.00 254, 276. 61 i; Notes and bills rediscounted I; Bills payable ! Liabilities other than those above [': stated 490,923.70 Total. $150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2,500. 00 National-bank notes outstanding. 612.42 j State-bank notes outstanding Total. 490,923. 70 First National Bank, Lowell. JAMES C. ABBOTT, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... IT. S. bonds to secure deposits XT. S. bonds on hand I Premiums onU. S. bonds ! Stocks, securities, etc I Bank'ghouse,furniture,andfixtures; Other real estate and mortg's owned! Due from other national banks \ Due from State banks and bankers. i Due from approved reserve agents. \ Checks and other cash items j Exchanges for clearing house ;. Bills of other national banks j Fractional currency, nickels, cents. j Specie i Legal-tender notes j U. S. certificates of deposit I Redemption fund with Treas. U.S.! Due from Treasurer U. S ! JOHN F . SAWYER, Cashier. No. 331. $675, 247. 30 j Capital stock paid in $250,000.00 1,447.63 50,000. 00 I Surplus fund 150, 000. 00 j Undivided profits, less current ! expenses and taxes paid 37,264.47 National-bank notes outstanding. j 45,000.00 20, 239. 06 State-bank notes outstanding..... j 20,000.00 " I Due to other national banks Due to State banks and bankers 51, 731. 79 Dividends unpaid 268.00 1,901.28 Individual deposits 375,939.66 2, 730.00 United States deposits : 401.87 Deposits of U.S.disbursingofficers. 28,023.20 4,500.00 j Notes and bills rediscounted ! Bills payable 2, 250.00 Liabilities other than those above stated ; 858,472.13 Total. Total. 858,472.13 Appleton National Bank, Lowell. G-EORGE W. FlFlELD, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits '. U. S. bonds on hand ';. Premiums 011 XJ. S. bonds • Stocks, securities, etc | Bank'ghouse, furniture, andh'xtures! Other real estate and mortg's owned; Due from other national banks i Due from State banks and bankers. . Due from approved reserve agents. Checks and other cash items ; Exchanges for clearing house ;. Bills of other national Tbanks : Fractional currency, nickels, cents.; Specie ! Legal-tender notes :. U. S. certificates of deposit !. Redemption fund with Treas. U. S.! Due from Treasurer U. S L Total . No. 986. $884,322. 64 2, 703. 96 300.000. 00 30,000.00 30, 613. 66 150, 000. 00 10,000. 00 4. 808.80 65, 542. 52 10, 370. 39 85.00 224. 35 60, 972. 00 E. K. PERLEY, Cashier. Capital stock paid in. $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding 90, 000. 00 51, 669. 67 270, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 35, 869. 35 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 806,495. 30 109.00 I Notes and bills rediscounted. || Bills payable 13, 500.00 Liabilities other than those above j stated • 1, 563,143. 32 Total 9, 000.00 j 1, 563,143. 32 448 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Merchants' National Bank, Lowell. ARTHUR P. BONNEY, President. W. W. JOHNSON, Cashier. No. 506. Resources. Loans aud discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand, v | Premiums on U. S. bonds ! Stocks, securities, etc I Bank'ghouse, furniture, andfixturesj Other real estate and niortg' s owned Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents.!j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $875,182.81 Capital stock paid in < $400, 000. 00 871.96 i i 50,000.00 Surplus fund j 100,000.00 Undivided profits, less current | 166, 604.37 expenses and taxes paid j 43, 950. 00 National bank notes outstanding.! State-bank notes outstanding t. 20, 000. 00 Due to other national banks j. Due to State banks and bankers.. | 25, 000. 00 0,596.22 I; Dividends unpaid. 847. 00 23, 245. 00 877. 83 28,236.35 I 7, 439. 00 Notes and bills rediscounted Bills payable 449,104.09 j | Liabilities other than those above stated 1,214,546.17,1 Total. 44.00 Individual deposits | United States deposits ! Deposits of U.S. disbursing officers.! 2,250.00 54, 843. 71 Total 1,214, 546.17 Old Lowell National Bank, Lowell. EDWARD M. TUCKE, President. No. 1329. Loans and discounts \ Overdrafts i U. S. bonds to secure circulation... j U. S. bonds to secure deposits ' U. S. bonds on hand Premiums on U. S. bonds ' Stocks, securities, etc j Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks . . . . Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit < Redemption fund with Treas. XJ. S-| Due from Treasurer U. S | Total. CHARLES M. WILLIAMS, Cashier. $585,983.87 I Capital stock paid in \ $200, 000. 00 4,084. 70 50, 000.00 ; Surplus fund ! 40, 000.00 ! Undivided profits, less current \ 22, 414. 91 ; \ expenses and taxes paid I National-bank notes outstanding. 44, 200. 00 12,000.00 j State-bank notes outstanding L 9, 500.00 Due to other national banks | 18, 570. 33 9, 233. 70 Due to State banks and bankers..]. 7,721.32 68, 181.96 Dividends unpaid j 5,173. 50 10, 511.13 Individual deposits ! 478, 730. 65 5,160.00 ! United States deposits | 474. 01 Deposits of U.S.disbursing officers. 32,164. 70 16, 000. 00 Notes and bills rediscounted 2,250.00 ! Bills payable j Liabilities other than those above | stated 4,176.00 813, 205. 39 813,265739 Total. Prescott National Bank, Lowell. HAPGOOD WRIGHT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers.' Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 960. FREDERICK BLANCHARD, Cashier. $791,180. 61 Capital stock paid in I 1, 650. 09 ii ! 60, 000. 00 i! Surplus fund Undivided profits, less current expenses and taxes paid i National-bank notes outstanding. ii State-bank notes outstanding 25, 000.00 Due to other national banks Due to State banks and bankers i9, 005.51 Dividends unpaid. $300,000.00 3,304. 84 j; Individual deposits i 3,665.00 ! United States deposits 575. 75 i| Deposits ofU.S. disbursing officers. 11, 490. 50 17, 500. 00 Notes and bills rediscounted. Bills payable 466, 635. 07 100,000. 00 85, 375. 23 53, 220.00 842.00 2, 700. 00 ! Liabilities other than those above I stated 1,006,072.30 j Total i, 006,072.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 4 9 MASSACHUSETTS. Railroad National Bank, Lowell. EDWARD T. ROWELL, President. No. 753. FRANK P. HAGGETT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits... U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agen.s. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. $768,061. 29 18.71 50, 000. 00 Capital stock paid in. $400, 000.00 100, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 33, 000. 00 5,165. 79 62, 837. 50 17, 500. 00 Surplus f and Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18,294. 31 15, 670.16 24,180. 50 244. 90 Individual deposits 4,149. 00 United States deposits 241.11 Deposits of U.S. disbursing officers. 30, 407.10 13, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total 1, 026, 726. 06 45, 733. 23 45, 000. 00 417, 098. 52 1, 026,726. 06 Traders' National Bank, Lowell. No. 4753. CHAS. J . GLIDDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,anil fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total.. $483, 426. 68 21.95 200, 000. 00 W M . F . HILLS, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 32, 250. 00 224, 324. 06 121,044.60 13, 000.00 Due to other national banks 18, 655. 00 Due to State banks and bankers.. 13,091.75 81,337.49 Dividends unpaid 852.43 671.10 Individual deposits 20, 217. 00 United States deposits 49.87 Deposits of U.S. disbursingoflicers. 22,123. 50 36, 000. 00 Notes and bills rediscounted. Bills payable 6, 000.00 4, 818. 77 180, 000. 00 43,139. 55 1, 339. 77 240.00 840, 527. 34 9, 000. 00 Liabilities other than those above stated 1, 276, 065. 43 Total . 1, 276, 065. 43 Wamesit National Bank, Lowell. No. 781. H. C. HOWE, President. Loans and discounts Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . U. S. bonds t o secure deposits U. S. bonds on hand. Premiums on U. S. bouds Stocks, securities, etc Bank'g house, furniture, and fixtures j Other real estate iind m o r t g ' s owned! Due from other national b a n k s I Due from State b a n k s and b a n k e r s . \ Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . . CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis $518, 511. D O 160.08 50, 000.00 $250, 000. 00 44, 683. 79 2, 268.17 1,840. 36 575. 00 388. 00 18, 256. 49 5, 318. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers. 3, 500. 00 22,900.00 19, 300. 00 2. 617. 57 Dividends unpaid Individual deposits United States deposits Deposits of U, S. disbursing officers. 31, 862. 74 40, 950. 00 1, 890. 50 312, 630. 98 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 689, 951. 79 -29 Gc. TV. KNOWLTON, Cashier. Capital stock paid in. Total . 689, 951.79 450 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Lynn. No. 638. AMOS F . BREED, President. OWEN DAME, Cashier. Resources. Liabilities. Loans and discounts $1,132,411.88 Capital stock paid in. 128.83 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... I U. S. bonds to secure deposits i Undivided profits, less current U. S. bonds on hand ! expenses and taxes paid 4,437. 50 National-bank notes outstanding. Premiums on U. S. bonds 129,295.50 State-bank notes outstanding Stocks, securities, etc 50,000.00 Bank' g house,furniture, and fixtures Other real estate and inortg'a owned Due to other national banks Due from other national banks 1(5,517.70 Due to State banks and bankers.. Due from State banks and bankers. 20, 890.10 Dividends unpaid Due from approved reserve agents. 8,013.48 Checks and other cash items.'. Exchanges for clearinghouse Individual deposits 2, 972. 00 United States deposits Bills of other national banks 20G. 40 Deposits of U.S.disbursingofficers. Fractional currency, nickels, cents. 30, 347. 50 Specie 10, 000. 00 Notes and bills rediscounted. Legal-tender notes U. S. certificates of deposit Bills payable Redemption fund with Treas. X S. L 2,250.00 Due from Treasurer TJ. S Liabilities other than those above stated Total. $500, 000. 00 200, 000. 00 67, 745.19 43, 950. 00 100, S14. 92 2, 240. 64 300. 00 542, 320.14 Total . 1, 457, 470. £ 1, 457, 470. g Central National Bank, Lynn. No. 1201. PHILIP A. CHASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits i U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned' Due from other national banks j Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S i 50, 000. 00 Surplus fund Undivided profits, less current 20, 000. 00 expenses and taxes paid 3, 800. 00 National-bank notes outstanding. 11, 966. 67 ! State-bank notes outstanding 31, 689. 28 5, 911. 75 $200,000.00 100, 000. 00 44, 554. 96 45, 000. 00 Due to other national banks j Due to State banks and bankers. -1 4, 403. 89 i Dividends unpaid : Individual deposits 2, 596. 00 United States deposits. 199.99 Deposits of U.S. disbursing officers 17, 534. 00 4, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 i Liabilities other than those above i stated I . 730, 552. 87 Total. W. M. BREED, Cashier. $580,605.18 l' Capital stock paid in. Total 311, 594. 02 25, 000. 00 730, 552. 87 Lynn National Bank, Lynn. JOHN MACNAIR, President. Loans and discounts i Overdrafts j U. S. bonds to secure circulation... | U. S. bonds to secure deposits ' U. S. bonds on hand Premiums on U. S. bonds ' Stocks, securities, etc Ban k'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and banker: Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 3429. J. E. JENKINS, Cashier. $623, 748. 72 i Capital stock paid in 130.67 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..- .. Due to other national banks Due to State banks and bankers 74, 369. 12 I Dividends unpaid 5, 243. 15 ! Individual deposits 3,090. 00 United States deposits 274.00 Deposits of U. S.disbursing officers. 20,131. 00 9, 410. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 762,521.66 j Total . $100, 000. 90 125, 000. 00 16,187. 33 21,925.00 449,409. 33 50, 000. 00 762,521.66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 451 MASSACHUSETTS. Manufacturers' National Bank, Lynn. No. 4580. W. B. CURRIER, President. F. L. EARL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ;562,148.60 13. 81 50, 000. 00 Capital stock paid in Total $200, 000.00 36, 000. 00 6,009.63 42, 460.00 3, 665. 28 15,043.55 3, 673. 81 7, 259. 72 I Due to other national banks 7, 619. 57 Due to State banks and bankers.. 6, 059, 71 51, 096. 93 I Dividends unpaid 10, 533. 71 Individual deposits 2, 436.00 United States deposits 313.00 Deposits ofU.S.disbursing officers. 25, 032. 94 5, 700. 00 Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above stated 752, 846. 63 Total. | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 766.90 415,110.10 50, 000. 00 ! 1, 500. 00 752,846.63 National City Bank, Lynn. No. 697. F. S. PEVEAR, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S 29,528. 07 4, 717. 00 671.17 22, 220. 00 20, 000. 00 Individual deposits | United States deposits Deposits of U. S.disbursin gofficers. Notes and bills rediscounted. Bills payable 4, 500. 00 536, 712. 79 15, 000. 00 Liabilities other than those above stated 1,170, 291. 07 Total. B. V. FRENCH, Cashier. $569,295.49 ' Capital stock paid in $200,000.00 .04 j .04 ! | 150, 000. 00 100,000.00 \ Surplus fund Undivided profits, less current ! expenses and taxes paid 25, 631. 39 2, 780. 52 ! National-bank notes outstanding. | 90,000.00 182, 066. 56 State-bank notes outstanding i 71,410.53 1 1 19,000.00 Due to other national banks 144, 940. g 58, 520. 87 Due to State banks and bankers.. 85, 580. 82 Dividends unpaid 8, 000.00 Total 1,170,291.07 National Security Bank, Lynn. BENJAMIN F. SPINNEY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2563. G. R. FELT, J R . , Cashier. $674,592.68 ji Capital stock paid in. 45.21 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 1, 000. 00 State-bank notes outstanding 3,750. 00 Due to other national banks 1,181.88 Due to State banks and bankers. 65, 687. 64 Dividends unpaid 5, 315. 62 Individual deposits 1, 760. 00 United States deposits. 629. 25 Depositsof U.S.disbursingofficers. 27, 427. 89 3, 519. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 837,159.17 I Total. $100, 000. 00 150, 000. 00 18, 226. 73 44,180.00 429.30 499, 323.14 25, 000. 00 837,159.17 452 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Maiden. No. 588. E. S. CONVERSE, President. ARTHUR T. TUFTS, Casnier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg'a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks.. Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . Liabilities. $669,264. 81 Capital stock paid in. 53.13 100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 500. 00 Due to other national banks Due to State banks and bankers. 28,5-14. 24 Dividends unpaid 5, 309. 96 Individual deposits 4, 860. 00 United States deposits 176.18 Deposits of U.S.disbursing officers 29, 864. 75 7,180. 00 Notes and bills rediscounted Bills payable "4*500."ob Liabilities other than those above stated 857,253. 07 Total. $100, 000. C O 70, 000. 00 39, 010. 94 90,000. 00 52.50 543,189. 63 15, 000. 00 857, 253. 07 Marblehead National Bank, Marblehead. ISAAC 0 . WYMAN, President. No. 767. Loans and discounts j Overdrafts 1 U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand | Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. WILLIAM REYNOLDS, Cashier. $166, 939. 60 220.39 50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 50,833. 25 State-bank notes outstanding $120, 000. 00 25, 000. 00 7,101. 57 43, 060. 00 9, 000. 00 16, 853. 39 347. 94 1, 756. 00 202.93 15, 327. 00 2, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid I Individual deposits United States deposits Deposits of U.S. disbursing officers. 328. 50 118, 240.43 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 313, 730. 50 313, 730.50 National Grand Bank, Marblehead. DAVID K. PHILLIPS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. EVERETT PAINE, Cashier. No. 676. $337,611.73 I Capital stock paid in. 60,666.66 i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 900. 00 I State-bank notes outstanding 6,000.00 I 5,000.00 ! Due to other national banks 17,308.18 1,000. 00 164.32 19, 993. 75 8, 000. 00 2, 700. 00 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $120, 000.00 26, 000. 00 22,185. 89 54, 000.00 1,403.01 3, 627. 00 246, 462.08 Notes and bills rediscounted Bills payable Liabilities other than those above stated 473, 677.S Total. 473, 677.98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 453 MASSACHUSETTS. First National Bank, Marlboro. W M . H. FAY, President. N o . 2770. F . L. CLAFLIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.i Due from Treasurer U. S Liabilities. $287, 314. 39 1.26 150, 000, 00 Capital stock paid in. 2, 551. 22 15, 451. 56 65.37 11,892.53 20, 077. 21 134, 997. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid 19.711.10 Individual deposits United States deposits Deposits of U.S.disbursing officers 145, 570.40 185. 00 525. 00 94.24 5, 943. 70 1,087.00 Notes and bills rediscounted. Bills payable 6, 750. 00 Liabilities other than those above stated 482, 433. 74 Total. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 12, 500. 00 National-bank notes outstanding. 150. 00 State-bank notes outstanding 482,433. 74 Total . People's National Bank, Marlboro. No. 2404. L. S. BRIGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fnnd with Treas. U. S. Due from Treasurer U. S Total. $332,641.22 .42 100,000. 00 JOHN L. STONE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 15, 770. 00 National-bank notes outstanding 36,350. 00 State-bank notes outstanding 47,000.00 Due to other national banks 9,206. 04 Due to State banks and bankers. 22, 389. 34 Dividends unpaid 1,471.54 Individual deposits 3, 011. 00 United States deposits 251.18 Deposits of U.S.disbursing officers 14, 831. 00 6, 000. 00 Notes and bills rediscounted. Bills payable $150,000.00 24, 600. 00 13,461.18 89,100. 00 17, 300. 70 816. 00 296, 543. 86 4, 500. 00 Liabilities other than those above stated 593,421.74 Total. 1,600. 00 593,421. 74 Melrose National Bank, Melrose.. DECIUS BEKBE, President. Loans and discounts Overdrafts U. S. bords to secure circulation... TJ. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks. . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ibanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit... Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4769 $301, 695. 34 50. 32 25, 000. 00 2, 500. 00 2,043.12 WALTER I. NICKERSON. Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. . . . $100,000.00 11,000.00 14 561 22 22, 500.00 Due to other national banks Due to State banks and bankers.. 55, 356. 95 318.39 1, 849. 02 2,100. 00 172.94 10 778 35 5, 987. 00 1,125. 00 Dividends unpaid Individual deposits United States deposits. Deposits of U.S.disbursing officers . 55.00 260,860.21 Notes and bills rediscounted Bills payable Liabilities other than those above stated 408, 976.43 Total 408,976.43 454 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Merrimac. No. 268. W M . H. HASKELL, President. DANIEL J . POORE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $241,126. 86 161. 66 100,000. 00 13, 500. 00 750. 00 15, 635. 37 2, 708. 58 585.00 165. 05 3, 745. 55 7, 850. 00 4,500. 00 Capital stock paid in 50, 000. 00 Due to other national banks Due to State banks and bankers.. 156.70 1, 098. 27 88, G10. 00 Dividends unpaid 210. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 150,653.10 Notes and bills rediscounted Bills payable Liabilities other than those above stated . 390, 728. 07 Total $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 390,728.07 National Bank, Methuen. No. 1485. D. W. TENNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban'kghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.; Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $150,943.15 359.46 25, 000.00 31,503. ( 28.71 8, 772. 36 2, 870. 35. 3, 803. 2, 767. 00 32 25 00 J $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 20, 000. 00 3, 882. 37 22,120.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 81,205.48 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 227, 207. 85 Total. JACOB EMERSON, Cashier. Capital stock paid in 227, 207. 85 Total . Middleborough National Bank, Middleboro. C. D. KINGMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie j Legal-tender notes U.S. certificates of deposit | Redemption fund with Treas. IT. S. Due from Treasurer U. S No. 3994. $115,611.49 W. R. MITCHELL, Cashier. Capital stock paid in. 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding 83. 381. 25 State-bank notes outstanding 500. 00 Due to other national b a n k s . . Due to State banks and bankers.. 67,247.13 60. 00 $50, 000. 00 1,100. 00 6, 697. 07 10, 770. 00 10, 701. 02 Dividends unpaid Individual deposits 1,195.00 ; United States deposits 58.15 Deposits of U.S.disbursingofficers. 4,885.30 5, 500. 00 i Notes and bills rediscounted... | Bills payable 562. 50 Liabilities other than those above stated 213,232. 73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 455 MASSACHUSETTS. Home National Bank, Milford. No. 2275. B. E. HARRIS, President. N. B. JOHNSON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer IT, S * Total . Liabilities. $261,266,88 | Capital stock paid in. $130, 000.00 130, 000. 6o' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 33, 246. 61 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 20,652.77 | Dividends unpaid 2.749.21 I Individual deposits 1, 180." 00* United States deposits 438.25 Deposits of U.S.disbursing officers. 17,224.35 5,789.00 , Notes and bills rediscounted Bills payable ""5*856." 66'! Liabilities other than those above stated Total. 478, 397, 07 j 50, 000.00 22, 553. 33 100, 525. 00 9, 323.36 7, 658.00 135.00 158,202. 38 478, 397. 07 Milford National Bank, Milford. C. F . CLAFLIN, President. No. 866. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,andfixtureS| Other real estate and mortg's owned: Due from other national banks | Duo from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I Hills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . $469, 449. 26 131. 54 225, 000. 00 87,937.50 11,563. 45 1,295. 03 9, 805. 00 762.39 29, 210. 00 10,125. 00 AUGUSTUS WHEELER, Cashier. Capital stock paid in. $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 100, 000. 00 31. 250.42 199. 350. 00 896.00 263, 782. 55 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 845,278.97 845, 278.97 Total . Millbury National Bank, Millbury. H. S. WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional <mrrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total. No. 572. $355, 289.59 18.45 50, 000. 00 5, 450. 00 3, 420. 00 1.50 12,131. 64 288. 58 "2," 470." 66' 100. 86 12,307. 00 400. 00 2,250. 00 444,127. 62 A. ARMSBY, Cashier. Capital stock paid in. $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 29, 900.00 Due to other national banks Due to State banks and bankers.. 4, 875.3 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 7, 890.37 43, 960. 00 232. 00 157, 269. 86 Notes and bills rediscounted. r Bills payable Liabilities other than those above stated Total. 444,127.62 456 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Blue Hill National Bank, Milton. No. 684. SAMUEL GANNETT, President. Resources. Loans aA.d discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. IS. certificates of deposit Redemption fund with Treas. U.S. Due from TreasurerU.S Total. S. J . WILLIS, Cashier. Liabilities. $502,112.11 ! Capital stock paid in i 154.67 ' Surplus fund so, ooo. oo; ! Undivided profits, less current | expenses and taxes paid | National-bank notes outstanding. 24,000.00 ! State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 2 KQQ DO Dividends unpaid 2, 250. 00 40, 000. 00 14, 603.10 45, 000. 00 9, 558. 71 117.00 Individual deposits 1, 035. 00 United States deposits 430. 92 Deposits of U. S.disbursing officers. 10, 873. 85 21, 199. 00 $200, 000.00 265, 376.06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 614,654.87 Total. 40, 000. 00 614, 654. 87 Monson National Bank, Monson. No. 503. R. M. REYNOLDS, President. Loans and discounts Overdrafts U . S . bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S $223,409. 59 i5o," boo." 66 Surplus fund 24,168. 51 2, 500. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousc,furniture,andfixtures 1 Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total. 30,000. 00 52, 111. 28 130, 390. 00 2, 791.15 Individual deposits 1, 295. 00 United States deposits 88.52 Deposits of U. S.disbursing officers. 3, 064. 65 3, 999. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 Liabilities other than those above stated 68, 853.10 19, 045.13 567. 50 Total . Pacific National Bank, Nantucket. HENRY PADDOCK, President. $150, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 434, 887. 90 Total. E. F . MORRIS, Cashier. Capital stock paid i n . 724. 00 18.37 434, 887.90 \ No. 714. ALBERT G. BROCK, Cashier. $185, 971. 43 Capital stock paid in. $100,000.00 1,147.84 25, 000. 00 Surplus fund 30, 000. 00 Undivided profits, less current expenses and taxes paid 2, 548. 08 National-bank notes outstanding. 22, 500. 00 17, 862. 50 State-bank notes outstanding 8 432. 40 Due to other national banks 4, 452.10 1,707.69 Due to State banks and bankers. 188.33 447. 94 Dividends unpaid 27.00 2, 352. 37 Individual deposits 117,132. 37 1, 830. 00 United States deposits 74.05 Deposits of U. S.disbursingofficers. 18, 840. 00 9, 680. 00 Notes and bills rediscounted. Bills payable 1,125, 00 2, 000. 00 Liabilities other than those above stated 276, 659. 55 Total. 276,659.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 457 MASSACHUSETTS! Natick National Bank, Natick. LEONARD WINCH, President. No. 2107. S. W. HOLMES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, j Checks and other cash items. Exchanges for clearing house Bills of other nafcionalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total . Liabilities. $299, 789. 50 1,898.1L 50,000.00 30, 707. 75 *2," 9.36 7, 008.19 62, 920.59 490.00 194.80 20, 077. 00 1, 674. 00 2, 250. 00 | $100, 000. 00 Surplus fund ! Undivided profits, less current i expenses and taxes paid j National-bank notes outstanding. j State-bank notes outstanding ' Capital stock paid in 11, 382. 87 43,890.00 Due to other national banks ..: Due to State banks and bankers.. i i Dividends unpaid ! Individual deposits ! United States deposits i Deposits of U.S.disbursingofficers. j Notes and bills rediscounted Bills payable 25, 000. 00 299, 406. 43 ! j Liabilities other than those above stated 479, 679. 30 Total . 479, 679. 30 First National Bank, New Bedford. EDWARD S. TABER, President. No. 261. $1, 472,225.12 Loans and discounts 188.88 Overdrafts 580, 000.00 U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 120,087.50 Stocks, securities, etc Bank'g house, furniture, an dfixtures Other real estate and mortg's owned Due from other national banks 241.91 Due from State banks and bankers. Due from approved reserve agents. 142,620. 95 Checks and other cash items 1,434. 40 Exchanges for clearing house 730. 00 Bills of other national banks 160.00 Fractional currency,nickels,cents. 25, 541.69 Specie 7, 695. 00 Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. 9, 210. 00 Due from Treasurer U. S Total . 2, 360,135. 45 W. P. WINSOR, Cashier. Capital stock paid in I $1,000,000.00 Surplus fund...: Undivided profits, less current , expenses and taxes paid jj National-bank notes outstanding. I State-bank notes outstanding || Due to other national banks Due to State banks and bankers 300, 000. 09 123,187. 57 514, 000. 00 16,152. 59 Dividends unpaid 308.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 506, 487.29 -I- Liabilities other than those above | stated i. Total j ~2, 360,135.45 Citizens' National Bank, New Bedford. J. A. BEAUVAIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. 8. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S-! Due from Treasurer U. S j Total . No. 2262. $818,518. 40 3, 242. 29 100, 000. 00 98, 200. 00 174.67 42, 790.71 5,644.11 125. 00 95.54 14,978. 65 18, 040. 00 4, 500. 00 E. S. BROWN, Cashier. Capital stock paid in. 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 687.79 Individual deposits United States deposits Deposits of U.S. disbursing officers. 299, 005.47 Notes and bills rediscounted Bills payable Liabilities other than those above j stated 1,106, 309. 37 $500,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 44,716.11 87,400. 00 70,000.00 4, 500. 00 1,106, 309.37 458 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Mechanics' National Bank, New Bedford. W M , W. CKAPO, President. No. 743. JAMES W. HERVEY, Cashier, Resources. Liabilities. $1,258,152.20 ji Capital stock paid in Loans and discounts 100.61 I ) Overdrafts 217,000.00 | Surplus fund i TJ. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid Premiums oc U. S. bonds National bank notes outstanding. Stocks, securities, etc 101,884.93 State-bank notes outstanding Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due to other national banks 100. 33 Due from other national banks 29,640. 37 Due to State banks and bankers.. Due from State banks and bankers. 199, 799.2 L Due from approved reserve agents. 5, 483. 36 ! Dividends unpaid Checks and other cash items Exchanges for clearing house "8*585. 00 I Individual deposits Bills of other national panks 317. 84 I United States deposits Fractional currency, nickels, cents. 31, 966. 00 Specie Deposits of U. S.disbursingofficers 2, 000. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. II. S. 9,765.00 j| Liabilities other than those above Due from Treasurer U, S stated Total . Total . 1,864,794.85 $600, 000. 00 300, 000. 00 110, 546. 76 189,317.50 56.42 9, 684. 58 276.00 654,913. 59 1, 864, 794. 85 Merchants' National Bank, New Bedford. GILBERT ALLEN, President. No. 799. H . C. W. MOSHER, Cashier. I $2,067,978.74 Capital stock paid in Loans and discounts J $1, 000, 000. 00 3, 819. 28 Overdrafts 50, 000. 00 Surplus fund | 500, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits. Undivided profits, less current j expenses and taxes paid j 160, 298.59 U. S. bonds on hand j National-bank notes outstanding.I 45,000.00 Premiums on U. S. bonds ! Stocks, securities, etc 389,106.75 j I State-bank notes outstanding Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned! Due to other national banks 55,155.93 Due from other national banks j 13, 245.40 Due to State banks and bankers.. I Dae from State banks and bankers. I 64,759.2:V Dividends unpaid Due from approved reserve agents. 1, 026.00 5, 172.15 Checks and other cash items Individual deposits Exchanges for clearing house 926, 562. 91 Bills of other national banks 2, 280.00 United States deposits Deposits of U.S.disbursing officers. Fractional currencj^, nickels, cents84,616.88 Specie 4,815.00 | Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Liabilities other than those above Due from Treasurer U. S stated Total 2,688,043.43 Total . 2, 688, 043.43 National Bank of Commerce, N e w Bedford. CHARLES W. CLIFFORD, President. No. 690. Loans and discounts I $1, 362,980.9G Overdrafts I 333.87 50, 000.00 U. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds 208,962.70 Stocks, securities, etc I Bank'ghouse,furniture,and fixtures 29, 000. 00. Other real estate and mortg's owned' Due from other national banks j " " i " 317." 95* Due from State banks and bankers. \ Due from approved reserve agents. " 87," 118." 13* 356. 69 Checks and other cash items Exchanges for cleariug house ""4*76i.*6o' Bills of other national banks 58. 82 Fractional currency, nickels, cents. 30, 080. 00 Specie 3,060.00 Legal-tender notes U. S. certificates of deposit... ""2" 256 "66" Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . J . H . TALLMAN, Cashier. Capital stock paid in. $1, 000, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-ban 1 notes outstanding < 200, 000. 00 Due to other national banks 14, 351. 25 107, 345.05 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofbills rediscounted. Notos and U.S.disbursingofficers. Bills payable Liabilities other than those above stated , 1,830,220.12 ; Total . 69,164. 51 44,280.00 516. 00 343.181. 70 41,191.70 3, 808. 30 6, 381.61 1, 830, 220.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 459 MASSACHUSETTS. First National Bank, Newburyport. No. 279. E. P. SHAW, President. "W. F. HOUSTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and morlg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total . Liabilities. $504,639.66 |! Capital stock j>aid i n . 780.24 |; 150,000.00 Surplus fund 15,000.00 24,194.44 7,000.00 14, 355. 22 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. $150, 000.00 60,000.00 10. 574. 24 135, 000. 00 8, 605.35 44, 356. 78 Dividends unpaid. 3, 502. 79 651.00 140.41 14,402. 50 13, 250.00 Individual deposits. United States deposits DepositsofU.S.disbursingonicers. Notes and bills rediscounted Bills payable 377,343.45 17, 500. 00 40. 000.00 6, 750. 00 Liabilities other than those above stated , Total . 799, 023.04 799, 023.04 Mechanicks' National Bank, Newburyport. EDWARD S. MOSELEY, President. Loans and discounts j Overdrafts I U. S. bonds to secure c i r c u l a t i o n . . . j U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds. Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State b a n k s and b a n k e r s . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national b a n k s . Fractional currency, nickels, cents. I Specie Legal-tender notes I V. S. certificates of deposit I. ^Redemption fund with Treas. U. S.j Due from Treasurer U. S I. Total . No. 584. $275,166. 32 213. 84 50, 000. 00 19, 290.69 7, 500.00 14, 800. 00 FRANK O. WOODS, Cashier. | Capital stock paid in Surplus fund | Undivided profits, less current i expenses and taxes paid | National-bank notes outstanding.! State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid 1, 071. 71 50.00 59.75 7, 519. 30 6, 000. 00 2, 250. 00 $125, 000.00 75,000.00 12, 231. 96 43,950.00 3, 779. 07 309. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 123,651.58 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 383, 921. 61 Total . 383, 921. 61 Merchants' National Bank, Newburyport. P. H. BLUMPEY, President. Loans and discounts Overdrafts XI. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U. S Total. No. 1047. $285, 323. 81 272. 25 30, 000. 00 3,150. 00 8, 005.82 11,500.00 A. W. GREENLEAF, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers . " "8*524." 40' Dividends unpaid $120, 000.00 45, 000.00 2, 075. 29 20, 263. 00 718. 05 " I * 699." 75 3,000. 00 1, 296.46 3,800. 00 72.50 4,143.68 5, 792. 00 Individual deposits United States deposits Deposits of U. S.disbursing ofiic Notes and bills rediscounted. Bills payable 157,874. 23 10, 000. 00 1.350.00 Liabilities other than those above stated 364, 930. 67 Total . 364, 930. 67 460 REPORT OF THE COMPTROLLER OF THE CURRENCY, MASSACHUSETTS. Ocean National Bank, Newburyport. No. 1011. MOSES H. FOWLER, President. E. G. W O O D WELL, Cashier. Resources. Loans and discounts Overdrafts j U. S. bonds to secure circulation... I TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. 8. bonds j Stocks, securities, etc I Bank'ghouse.furniture.andfixtures Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U.S Liabilities. $229,868.16 Capital stock paid in j $150,000. 00 37.61 37,500.00 j Surplus fund 36, 500. 00 Undivided profits, less current expenses and taxes paid 2,033.43 3, 937. 50 ii National bank notes outstanding, j 33, 080.00 42, 363. 76 I State-bank notes outstanding j 5, 500. 00 |i Due to other national banks . j Due to State banks and bankers. 4, 032. 86 \ | Dividends unpaid 28.24 i Individual deposits "'""ei^bo" ! United States deposits 67.70 I Deposits of IT. S.disbursing officers. 10, 796. 00 4, 161.00 j Notes and bills rediscounted. I Bills payable 1, 687. 50 Liabilities other than those above stated 340,595.33 Total. Total . 454.25 118, 527. 65 340,595.33 First National Bank of West Newton, Newton. JAMES H. NICKEKSON, President. Loans .and discounts ! Overdrafts | U. S. bonds to secure circulation... | IT. S. bonds to secure deposits ! U. S. bonds on hand Premiumson U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3598. $100, 000.00 10, 000.00 7, 605. 04 70, 800.00 314, 044.19 2,700.00 | | Liabilities other than those above I stated 503,199.23 | Total . EDWARD P. HATCH, Cashier. $299,382.08 I Capital stock paid in | 1,529.18 80,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid 10, 950. 00 National bank notes outstanding. 25,127.10 State-bank notes outstanding 600.00 Due to other national banks Due to State banks and bankers.. 51,091.49 i Dividends unpaid 22.93 ! Individual deposits 13,497.00 United States deposits 242. 83 Deposits of U.S.disbursingofficers. 9, 682. 62 8,374.00 Notes and bills rediscounted. Bills payable Total . 750.00 503,199. 23 Newton National Bank, Newton. JOSEPH N. BACON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks J Due from State banks and bankers.! Due from ax>proved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 78 B. FRANKLIN BACON, Cashier. $375,573.97 ! Capital stock paid in. i 2,581.75 i i 90,000.00 i| Surplus fund Undivided profits, less current expenses and taxes paid 12,049.30 j National-bank notes outstanding. 62,544.05 j State-bank notes outstanding 21,292.19 | Due to other national banks Due to State banks and bankers.. 36, 490.18 ! Dividends unpaid 4, 372. 28 I j Individual deposits 4, 028. 00 i United States deposits 166. 02 DepositsofU.S.disbursing officers29, 079. 20 4, 900.00 Notes and bills rediscounted. Bills payable $200, 000. 00 34, 500. 00 10, 803. 21 79, 010. 00 208.54 322, 605.19 4,050.00 i Liabilities other than those above stated ! 647,126.94 |i Total. 647,126.94 REPORT OF THE COMrxxvJLLER OF THE CURRENCY. 461 MASSACHUSETTS. Adams National Bank, North Adams. S. W. BRAYTON, President. No. 1210. E. S. WILKINSON, Cashier. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and xnortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Check3 and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $913, 692. 94 766. 06 500, 000. 00 28,278.00 78,100. 00 40,000.00 9, 200. 00 62,152. 75 Capital stock paid in ! $500, 000.00 Surplus fand \ Undivided profits, less current j expenses and taxes paid ' ; National-bank notes outstanding.! ! State-bank notes outstanding . ! | Due to other national b a n k s . . . . . . \\ Due to State banks and bankers.. j 100, 000. 00 106,582.31 i| Dividends unpaid 7u8.70 jl j Individual deposits 5, 083. 00 j! United States deposits 419.50 Deposits of U.S.disbursing officers. 13,475.00 j 15,381.00 || Notes and bills rediscounted |! Bills payable 22,500.00 j| | Liabilities other than those above ! I stated 1,796,339.26 || Total. Total . 56, 279. 52 440, 200. 00 96, 434. 68 370. 28 40.00 603, 014. 78 1, 796, 339. 26 Berkshire National Bank, North Adams. W. H. GATLORD, President. No. 2396. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S !396, 321. 69 .55 50, 000. 00 $200, 000. 00 Surplus fund Undivided profits, less current ! expenses and taxes paid || National-bank notes outstanding . 22, 232. 00 | j State-bank notes outstanding ; 667.68 !j Due to other national banks | 6, 624. 38 I Due to State banks and bankers.. i. j 6,729.26 12,191. 92 3, 444. 00 70.10 10, 471. 00 9, 693. 00 7, 000. 00 28,107. 89 43, 310. 00 18,943.09 Dividends unpaid Individual deposits United States deposits i Deposits of U.S.disbursing officers.! 221, 934. 60 Notes and bills rediscounted Bills payable. 2, 250. 00 Liabilities other than those above stated Total . 520, 695. 58 Total. W. W. BUTLER, Cashier. Capital stock paid i n . 1, 400. 00 520, 695. 58 First National Bank, Northampton. A. L. "WILLISTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ; ghouse,furniture,and fixtures Other real estate and morfeg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treas arer U. S Total . No. 383. $593, 359. 70 1,025.13 70, 000. 00 5, 000. 00 104,680.00 38, 000.00 4, 000. 00 900. 00 8, 076.10 54, 200. 39 2, 079. 27 2, 583. 00 175. 00 29, 550. 00 4, 000. 00 3,150. 66 F . N. KNEELAND, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. $300, 000. 00 100, 000. 00 9, 914.12 63, 000. 00 6, 570. 24 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 441,294.23 Notes and bills rediscounted Bills payable Liabilities other than those above stated 920, 778. 59 Total . 920,778.59 4>2 t5 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Hampshire County National Bank, Northampton. LEWIS WARNER, President. No. 418. F . A. MACOMBER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits tf. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $560,459. 06 215. 53 200, 000. 00 Surplus fund fund. j Undivided profits, less current 1 expenses and taxes paid 1 19, 000. 00 ij National-bank notes outstanding. 43, 828. 37 ;; State-bank notes outstanding 33, 000. 00 Due to other national banks ! '56,'98L36' Due to State banks and bankers..'' Dividends unpaid ' 726. 85 Individual deposits | 53*1.00 United States deposits j 313. 94 DepositsofU.S.disbursingonicers 26,455. 03 19,910.00 i; Notes and bills rediscounted. I Bills payable 9,000. 00 Liabilities other than those above stated 989, 606. 75 Total. $250,000. 00 Capital stock paid in. 50, 000. 00 5. 295. 94 177, 900.00 10, 712.18 40. 00 495, 658. 63 989, 606. 75 Total . Northampton National Bank, Northampton. OSCAR EDWARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approAed reserve agents. Checks and other cash items Exchanges for clearing houso Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1018. H. W, STEVENS, Cashier. $576,095.25 Capital stock paid in. $400, 000.00 848.26 100,000.00 i Surplus fund 200, 000. 00 Undivided profits, less current expenses and taxes paid 32,612.07 4, 500. 00 National-bank notes outstanding. 87, 800. 00 336, 329. 87 State-bank notes outstanding 30, 000. 00 47, 279.13 Due to other national banks 24,001. 02 Due to State banks and bankers.. 269.44 10, 008. 60 68, 038. 78 Dividends unpaid 36.00 3, 525. 28 Individual deposits 432, 699.54 1, 888. 00 United States deposits 2, 061.12 Deposits of U.S.disbursingofficers. 36, 400. 00 2. 000. 00 Notes and bills rediscounted. Bills payable "I* 4, 500. 00 500. 00 Liabilities other than those above stated 1, 200, 696.18 Total . 1,200,696.18 North Attleboro National Bank, North Attleboro. HENRY F . BARROWS, President. Loans and discounts j Overdrafts. j U. S. bonds to secure circulation...' U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds ! Stock, securities, etc ! Bank g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers. | Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house J Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Hedemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3365. $394, 289. 66 8. 41 37, 500. 00 E. R. PRICE, Cashier. Capital s t o c k paid in ! Surplusfund Undivided profits, less current expenses and taxes paid 3, 000. 00 National-bank notes outstanding. 83,o64. 58 | State-bank notes outstanding $150,000. 00 30, 000.00 49, 684. 03 32, 710. 00 11,875.83 Due to other national banks Due to State banks and bankers.. '25," 610." 20' I Dividends unpaid "*4,"903."32"j 5, 020. 01 14, 833.06 213.46 I I Individual deposits 1,683.00 United States deposits 723.01 Deposits of U.S. disbursingofficers. I. 20,754.90 2, 200. 00 Notes and bills rediscounted Bills payable 1, 687. 50 5, 000. 00 Liabilities other than those above stated 593, 013.87 Total. 310, 766. 77 593, 013. 87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 463 MASSACHUSETTS. Northboro National Bank, Northboro. SAMUEL WOOD, President. W. J . POTTER, Cashier. No. 1279. Resources. Liabilities. Loans and discounts j Overdrafts U. S. bonds to secure circulation ...\ XL S. bonds to secure deposits U. S. bonds on band j Premiums on U. S. bonds Stocks, securities, etc Baiik'ghqiise,furniture,andfixtures! Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers. I Due from approved reserve agents. [ Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels ; cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S Total. $234,272. 91 .53 50,000. 00 Capital stock paid in j $100,000.00 Surplus fund i Undivided profits, less current ! expenses and taxes paid 4, 000. 00 National-bank notes outstanding. 12, 057.40 | State-bank notes outstanding 2 000. 00 4 000. 00 | Due to other national banks I I Due to State banks and bankers 20. 000. 00 I 2, 250. 00 2,830.17 i 25, 033. 71 \ Dividends unpaid 10.00 12.84 7,656.85 3, 095. 00 2,755.15 45,000.00 232.50 Individual deposits United States deposits Deposits of U.S.disbursingofticers. 173,571.42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 344,389,24 Total. 344, 389.24 First National Bank of Easton, North Easton. CYRUS LOTHROP, President. * Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 416. $307,920. 63 150, 000. 00 12, 562. 50 205, 306. 46 5, 000. 00 46, 512. 45 6,604.42 2,180. 00 77. 51 20,112. 80 2, 520. 00 '"6," 750. 00 E. H. KENNEDY, Cashier. Capital stock paid in. $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. . \ . Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 60, 000. 00 65, 528. 21 130, 237. 50 90.00 209, 691. 06 Notes and bills rediscounted Bills payable Liabilities other than those above stated 765, 546. 77 Total. 765, 546. 77 Orange National Bank, Orange. JOHN W. WHEELER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from' Treasurer U. S Total . No. 2255. $318, 453. 02 1,091.57 70, 000. 00 WARREN M. KING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 58,031.25 | State-bank notes outstanding 6,000.00 1 1 Due to other national banks 3" 592.24 1 Due to State banks and bankers.. 1 Dividends unpaid 17,457.92 458.12 '""867." 00* 347. 31 10,818.80 9, 552. 00 3,150. 66 499, 759. 23 Individual deposits United States deposits Deposits of U.S.disbursing officers. $100, 000.00 55, 000. 00 17, 424. 58 61, 560. 00 4, 403. 59 441.00 260, 930. 06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 499, 759. 23 464 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Oxford National Bank, Oxford. No. 764. A. L. JOSLIN, President. C. B. SHERMAN, Cashier. Resources. Liabilities. Total. $86, 425. 60 i Capital stock paid in. 116.01 | 25,000.00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 20, 665. 00 I State-bank notes outstanding 2, 750. 00 ! j Due to other national banks Due to State banks and bankers.. Dividends unpaid 100. 00 Individual deposits '4,'065"b6' United States deposits 211.88 Deposits of U.S.disbursingomcers. 4.162.45 400.00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above $50, 000. 00 145, 020. 94 Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture, andfixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalloanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 145, 020. 94 20, 000. 00 8, 407. 63 22, 500.00 1, 309.13 1, 030. 00 41, 774.18 stated Total . Palmer National Bank, Palmer. JAMES B. SHAW, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j XT.S.certificates of deposit .! Redemption fund with Treas. U. S.j Due from Treasurer U. S No. 2324. 303, 958.18 Total. CHAS. B. FISKE, Cashier. $216,284.08 I Capital stock paid in. 675.54 ! l 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2. 800. 00 National-bank notes outstanding. 11, 337. 85 State-bank notes outstanding 4, 300. 00 Due to other natienal banks Due to State banks and bankers.. 31, 203.17 Dividends unpaid. 84. 22 Individual deposits 251. 00 j United States deposits 140. 87 Deposits ofU.S. disbursing officers. 9, 556.45 1, 200. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated $100, 000.00 20, 000. 00 24, 207. 79 22, 500. 00 32.00 137, 218.39 303,95.8.18 Total .. South Danvers National Bank, Peabody. WILLIAM P. CLARK, President. Total. G. M. FOSTER, Cashier. No. 958. Loans and discounts | $345, 745. 93 Overdrafts | 413. 96 U. S. bonds to secure circulation... | 50, 000.00 U. S. bonds to secure deposits \ U. S. bonds on hand i Premiums on U. S. bonds i Stock s, securities, etc j 11,100. 00 Bank'ghouse,furniture,andnxturesj 45,195. 86 Other real estate and mortg's owned 2, 446. 06 Due from other national banks Due from State banks and bankers. Due from approved reserve agents. j 8, 990. 58 Checks and other cash items | 918. 14 Exchanges for clearing house 3, 756. 00 Bills of other national banks 210. 57 Fractional currency, nickels, cents. 22, 912. 65 Specie 3, 400. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XT. S.] 2, 250. 00 Due from Treasurer U. S Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $150,000.00 68, 000.00 1,074.33 44, 260. 00 7, 576.47 6,144. 00 220, 284. 95 Notes and |bills rediscounted. Bills payable Liabilities other than those above stated Total. 497, 339. 75 UEPOKT OF THE COMPTROLLER OF THE ( URRENCr. MASSACHUSETTS, Warren National Bank, Peabody. NATHANIEL SYMQNDS, President. No. GIG. FRANK C. MERRILL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on hand Premiums on U. S. bonds | Stocks, securities, etc ' Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers \ Due from approved reserve agents. Checks an<l other cash items Exchanges for clearing house | Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes i U. S. certificates of deposit | Redemption fund with Treas. U. S.i D ue from Treasurer U. S $369, 058. 61 53. 44 50, 000- 00 85.344.90 20,000.00 j Capital stock paid in 100,000.00 17,410.08 44, 290. 00 Due to other national banks 1, 620. 82 928." 64' i Due to State banks and bankers.. j *26,"679."60" 5,827.73 '4,251*00 ; 390.47 17, 600. 00 j 8,000. 00 2, 250. 00 Dividends unpaid 7. 575. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 364,041.99 Notes and bills rediscounted Bills payable Liabilities other than those above stated 739, 784. 39 Total. $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 4, 837. 50 Total . 789, 784. 39 Third National Bank, Pittsfield, HENRY \V. TAFT, President. Loans and discounts ! Overdrafts ; U. S. bonds to secure circulation... U. S. bonds to secure deposits \ U. S. bonds on hand I Premiums on U. S. bonds ' Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2525. $451,428.47 R. B. BARD WELL, Cashier. Capital stock paid in $125, 000. 00 129.29 i 50,000. U0 i Surplus fund 25, 000. 00 75, 000. 00 Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 47, 652. 33 44, 020. 00 8. 6S8. 99 Due to other national bulks 3,137. 25 Due to State banks and bankers 45.849.44 1,277.22 | Dividends unpaid .-...' ! 2,234.00 Individual deposits 160. 71 United States deposits i 13, 603. 15 i 10,000.00 Depositsof U.S.disbursingofficers.! Notes and bills rediscounted j 2,250.00 ; Bills payable i Liabilities other than those above stated 005,069.53 302, 708. 21 2, 000. 00 605, 069. 53 Total - - Agricultural National Bank, Pittsfield. J. L. WARRINER, President. Loans and discounts ' Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds • Stocks, securities, etc ; Bank'ghouse,furniture,andfixtures l Other real estate and mortg's owned ^ Due from other national banks Due from State banks and bankers. I Due from approved reserve agents.! Checks and other cash items ' Exchanges for clearing house | ! Bills ot other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. OUR, 30 http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis No. 1082. 1.1). FERRY, Cashier. $917, 738. 95 Capital stock paid in.. ; 380.00 I 200,000. 00 Surplus fund ! Undivided profits, less current j ; expenses and taxes paid 67, 577. 79 | National-bank notes outstanding. ; State-bank notes outstanding.. 1\ Due to other national banks ' 18, 423. 47 Due to State banks and bankers.. 2, 6G0. 73 83,318. 74 j: Dividends unpaid. 298. 80 || ! Individual deposits : 722, 00 United States deposits i 410.60 i Deposits of U.S. disbursing officers. i j 25,580. 85 16, J64. 00 j Notes and bills rediscounted > Bills payable I 9, 000. 00 Liabilities other than those above ! stated !. 1,342,275.93 Total , J $2oo, ooo.oo 200, 000. 00 102, 368. 29 170, 860. 00 50, 096. 42 7, 647. 38 10, 000. 00 601, 303. 84 ... 1,342,275.93 466 REPORT OF THE COMPTROLLER OF THE CURRENCY, MASSACHUSETTS, Pittsfield National Bank, Pittsfield. ANDREW J . WATERMAN. President. No. 1260. H. A. BREWSTER, Cashier. Resources. Loans and discounts Overdrafts XL S. bonds to secure circulation... • U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds \. Stocks, securities, etc Bank'gho use, furniture,and fixtures Other real estate and niortg's owned . Due from other national banks Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ;. Bills of other national banks ' Fractional currency, nickels, cents. Specie ; Legal-tender notes U. S. certificates of deposit \. Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $717,853.93 ; Capital stock paid in j $300,000.00 163.14 | 50, 000. 00 • Surplus fund ; 155, 000.00 Undivided profits, less current j 13, 314. 34 expenses and taxes paid ! National-bank notes outstanding 44, 240.00 18, 668. 50 j State-bank notes outstanding 7,243.35 | 86, 528.91 i Due to other national banks 50,908.27 ! Due to State banks and bankers... 1,919.86 :|Dividends unpaid j 291.00 45,746.46 n 4,750.88 |; Individual deposits i 276, 649. 61 2V102* 66*; United States deposits j. 317.47 ! Deposits of U. S.disbursing officers. j. 23,800.00 "' 4,300.00 j ; Notes and bills rediscounted. Bills payable 50,000.00 *"2*256'66'i! Liabilities other than those above j stated \ 930,023.86 ji Total. 4, 000. 00 930,023.86 Old Colony National Bank, Plymouth. W. S. MORISSEY, President. No. 996. JAMES B. BROWN, Cashier. Loans and discounts $461,142.09 j I Capital stock paid in ! $250,000.00 Overdrafts ! ] U. S. bonds to secure circulation...; i.567 666." 66" | Surplus fund 100,000.00 U. S. bonds to secure deposits j 1 Undivided profits, less current j U. S. bonds on hand • I expenses and taxes paid... ; 36,280.18 Premiums on U. S. bonds ' !| National-banknotes outstanding.' 132,020.00 Stocks, securities, etc | 121,690.89 ; I State-bank notes outstanding I Bank'ghouse, furniture,and fixtures, | Other real estate and mortg's owned; 8,440. 04 • Due to other national banks I 3,786. 58 Due from other national banks ! j Due from State banks and bankers. j !i Due to State banks and bankers... Due from approved reserve agents. 148, 524. 03 283. 50 : of Checksi iand other cash items 1,255.50 I Dividends unpaid Exchanges for clearing house j 397, 444.82 • Bills of other national banks I 1,040.00 j Individual deposits Fractional currency, nickels, cents. 324.88 United States deposits • . Specie 18,647. 65 I Deposits of U. S.disbursing officers. j. Legal-tender notes 5,000. 00 i Notes and bills rediscounted U. S. certificates of deposit ! Redemption fund with Treas. U. S.i 6, 750. 00 : Bills payable J . Due from Treasurer U. S ' Liabilities other than those above stated 3, 000.00 Total . 922,815.08 Total. ~922, 815. 08 Plymouth National Bank, Plymouth. C. B. STODDARD, President. No. 779. W. L. BOYDEN, Cashier. $276,083.42 ij Capital stock paid in Loans and discounts ' ' $160,000.00 Overdrafts \. "ie'o^ooo'oo'j! Surplus fund U. S. bonds to secure circulation... 32,000.00 U. S. bonds to secure deposits I. Undivided profits, less current U. S. bonds on hand L expenses and taxes paid 12,031.25 6,000.00 I National-bank notes outstanding Premiums on U. S. bonds ! 142, 500.00 19,764. 00 I State-bank notes outstanding Stocks, securities, etc I Bank'ghouse,furniture, and fixtures 13,593.67 I Other real estate and mortg's owned . 2,147.17 Due to other national banks Due from other national banks '. Due to State banks and bankers. Due from State banks and bankers. [. 38, 895. 63 Dividends unpaid Due from approved reserve agents. 26.00 Checks and other cash items 13.00 Individual deposits Exchanges for clearing house '. 188,634. 33 ! 2,000.00 United States deposits Bills of other national Danks j. Fractional currency, nickels, cents. 132.03 Deposits of U. S.disbursing officers.'. 9,657.00 Specie | Legal-tender notes \ 4, 000. 00 Notes and bills rediscounted. ! U. S. certificates of deposit . Bills payable Redemption fund with Treas. U. S. 7, 200. 00 Due from Treasurer U. S . Liabilities other than those above ! Total . 537,338.75 ' stated Total. , 537, 338.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 467 MASSACHUSETTS. First National Bank, Provincetown. MOSES N . GIFFORD, President. No. 736. JOSEPH H . DYER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... I U. S. bonds to secure deposits i U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures; Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers. j Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national b a n k s . . j Fractional currency, nickels, cents. Specie : Legal-tender notes ; U . S . certificates of deposit i Redemption fund with Treas. U . S . ! Due from Treasurer U. S j $221, 005.84 5. 00 200,000.00 4, 000. 00 106,066.75 4, 000. 00 Capital stock paid in. | $200, 000. 00 Surplus fund Undivided profits, less current : expenses and taxes paid National-bank notes outstanding.; State-bank notes outstanding 45,000.00 Due to other national banks Due to State banks and bankers ..! i 7, 363.28 j Dividends unpaid 816. 07 Individual deposits |. 305.00 United States deposits 132.79 I Deposits ofU. S.disbursing ofiicers. |. 7.571.05 2,475.00 j Notes and bills rediscounted. j Bills payable 9,000. C | O I • Liabilities other than those above stated , 562,740.78 ! Total. Total . 7, 848. 97 175, 260. 00 10, 249. 35 3.00 124, 379.46 562, 740. 78 National Granite Bank, Quincy. No. 832. T. KING, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits :. U. S. bonds on hand \. Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. \. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ;. Bills of other national banks ; Fiactional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ' Redemption fund with Treas. TJ. S- i Due from Treasurer U. S Total . R. F . CLAFLIN, Cashier. $489,674.67 jj Capital stock paid in j $150,000.00 2,150.90 125,000. 00 | Surplus fund , 50,000.00 ' Undivided profits, less current ! 58, 639. 04 ij expenses and taxes paid : 13,862.50 j National-banknotes outstanding.! 110,500.00 43,872.05 | State-bank notes outstanding !. 18,200.00 16, 660.00 Due to other national banks Due to State banks and bankers. 47,665.11 ! Dividends unpaid 10,687.66 ! ! j Individual deposits ; 437,150.72 2,215.00 j| United States deposits \ 62.87 | DepositsofU. S.disbursing officers.; 6,360.00 ! i " i 13, 854.00 ! I Notes and bills rediscounted 10, 000. 00 i| Bills payable ! 5,625.00 !j ! 400.00 j| Liabilities other than those above I! stated 806,289.76 I Total . 806,289. 76 National Mount Wollaston Bank, Quincy. CHARLES A. HOWLAND, President. Loans and discounts I Overdrafts | U. S.bonds to secure circulation...\ U. S. bonds to secure deposits ' U. S. bonds on hand - j Premiums on U. S. bonds \ Stocks, securities, etc : Bank'g house,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers -I Due from approved reserve agents.) Checks and other cash items j Exchanges for clearing house Bills of other national banks ' Fractional currency, nickels, cents.! Specie j Legal-tender notes j U. S. certificates of deposit i Redemption fund with Treas. U. S. ; Due from Treasurer U. S I Total. No. 517. $356,487.11 137, 500.00 14, 000.00 9, 665.00 , 11,845. 52 331. 72 HORACE F . SPEAR, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding j 50, 000.00 29, 597.85 120,260.00 | Due to other national banks I Due to State banks and bankers..! Dividends unpaid ! 1 Individual deposits 1 2,055. 00 i J United States deposits i 35. 71 | DepositsofU.S.disbursing officers. 6,563.80 H 1,000. 00 ij Notes and bills rediscounted 10, 000. 00 II Bills payable 6,187.50 I Liabilities other than those above stated , 556,671.36 ; $150,000.00 Total . 36.00 206, 777.51 556, 671. 36 468 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Reading. WENDELL BANCROFT, President. No. 4488. WILLIAM A. LANG, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc i Bank'ghouse, furniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $157,889.65 j Capital stock paid in . 7,430.00 4, 527. 92 11,250. 00 600. 00 Due to other national banks Due to State banks and bankers.. 5,000. 00 20,446.19 1, 875. 99 Dividends unpaid 40.00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. . 832.00 4,189. 05 4,000. 00 Notes and bills rediscounted Bills payable 562.50 135, 698. 32 :. I. Liabilities other than those above stated 208, 995.38 Total. $50,000. 00 i 12, 500.00 | Surplus fund Undivided profits, less current j expenses and taxes paid | 1,100.00 National-bank notes outstanding State-bank notes outstanding Total. 49.14 208, 995?38 First National Bank, Rockland. EDWARD PATSON TORREY, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $50, 000.00 j [ Individual deposits 575. 00 j I U nited States deposits 255. 37 jj Deposits of U.S.disbursingofn'cers. 3, 660.10 3, 000. 00 Notes and bills rediscounted. j Bills payable 562.50 Liabilities other than those above stated 103,382.00 174,412.33 ! Total . GEO. H. HUNT, Cashier. No. 3868. $133,976.12 | Capital stock paid in 376.55 12, 500.00 Surplus fund 1 Undivided profits, less current 1 expenses and taxes paid 1,000.00 ij National-bank notes outstanding. 5, 600. 00 |j State-bank notes outstanding 1, 200.00 Due to other national banks | Due to State banks and bankers .. 11,706.69 ij Dividends unpaid. Total . 3, 200.00 6, 842.83 10, 950. 00 37.50 174,412. 33 Rockport National Bank, Rockport. LORING GRIMES, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers, j Due from approved reserve agents J Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit. Redemption fund with Treas.TT. S. Due from Treasurer U. S Total. No. 1194. GEO. W . TUFTS, Cashier. Capital stock paid in . $163,441.23 Surplus fund Undivided profits, less current expenses and taxes paid , National-bank notes outstanding State-bank notes outstanding 45,000. 00 4,000.00 4,500. 00 2, 000. 00 10,000.00 $100, 000.00 20,000.00 3, 296. 98 40, 500.00 I Due to other national banks 10, 000. 00 j Due to State banks and bankers. 9.125. 26 69.92 Dividends unpaid Individual deposits i United States deposits 12, 393. 23 Deposits of U.S. disbursing officers. Notes and bills rediscounted 2, 025. 00 Bills payable Liabilities other than those above stated 262,554.64 I Total. 297.00 98, 460. 66 262,554.64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 469 MASSACHUSETTS. First National Bank, Salem. E. KENDALL JENKINS, President. No. 407. G L. STREETER, Cashier. .Resources. Loans and discounts ! Overdrafts U. S bonds to secure circulation, j U S. bonds to secure deposits j U S bonds on hand | Premiums on U. S. bonds i Stocks, securities, etc ! Bank 'ghouse,furniture,and fixtures! Other real estate and mortg'sownedi Due from other national banks . . . Due from State banks and bankers. Due from approved reserve agents J Checks and other cash items j Exchanges for clearing house Bills at other national bajuks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from. Treasurer U, S Liabilities. $589,870,94 ! Capital stock paid in 3, 652.99 50,000.00 \ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 44 419 71 State-bank notes outstanding 2,777.00 Due to other national banks 936.27 Due to State banks and bankers.. 15,958.27 3, 644.35 2,434.00 453. 55 30,122 50 1,800.00 2,250.00 748,319,58 Total. Dividends unpaid $300,000.00 51 000.00 17,210.85 44,430.00 3, 355 73 44.00 Individual deposits : United States deposits |. Deposits of U S.disbursing officers. j. Notes and bills rediscounted. Bills payable Liabilities other than, those above stated Total. 307,279,00 25, 000.00 748,319.58 Asiatic National Bank, Salem. No. 634. GEO. H ALLEN, President. Loans and discounts Overdrafts « U So bonds to secure circulation... U. S. bonds to secure deposits i U. S, bonds on hand i Premiums on U, S. bonds j Stocks, securities, etc j Bank 'g house,!'urniture,and fixtures i Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $516,960.96 127.64 80,000.00 8,100.00 110,126. 22 1,191.83 40, 208.51 2,294. 73 6,054. 00 222.86 12, 941.20 12, 000.00 3,600. 00 600.00 Surplus lund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000.00 5, 394.06 72, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 17,539.07. Individual deposits United States deposits Deposits of U. S.disbursingofficens 297,341.52 6,325.80 Notes and bills rediscounted. Bills payable Liabilities other than those abov<: stated 794,427.95 Total. W. O. CHAPMAN, Caahier. Capital stock paid in. Total. 5,827.50 794,427.95 Mercantile National Bank, Salem. W. L. HYDE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S bonds Stocks, securities, etc B a n k g house, furniture, andfixturesj Other real estate andnio? tg's owned; Due from other national banks Due from State Danks and bankers. Due from approved reserve agents. Checks and othercash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents Specie ". Legal tender notes. U . S . certificates of deposit.... Redemption fund with Treas. U. S. I Due from Treasurer U. S j Total. No. 691. LELAND H. COLE, Cashier. $410,561.95 ! Capital stock paid in $200, 000. 00 462.39 I 100,000.00 ! Surplus fund 50, 000. 00 Undivided profits, less current expenses and taxes paid 10, 779. 64 7.500.00 National-bank notes outstanding, ; 89,000. 00 5,100 00 State-bank notes outstanding 9,000, 00 Due to other national banks ! 1,958.26 1, 702 86 Dueto State banks and bankers..! 27, 719. 45 Dividends unpaid 2.00 2, 810. 44 229,750.36 Individual deposits 600. 00 United States deposits 136. 67 Deposits of U.S.disbuTsingofficers. 8,100. 50 3, 296. 00 Notes and bills rediscounted Bills payable 4,500.00 I Liabilities other than those above stated 581,490.26 i Total 581,490.26 470 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Merchants' National Bank, Salem. E. A U G . EMMERTON. President. No. 726. H . M . BATCHELDER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. 8. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc ! Bank'ghouse, furniture, and fixtures j Other real estate and mortg's owned Due from other national banks J Due from State banks and bankers. Due from approved reserve agents j Checks and other cash items < Exchanges for clearing house j. Bills of other nationaljbanks [ Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $570,810.79 i Capital stock paid in. 416 22 I 50,000.00 I Surplusfund j Undivided profits, less current j expenses and taxes paid : 5,000.00 National-bank notes outstanding. 107,041.53 State-bank notes outstanding j $200,000.00 Due to other national banks i Due to State banks and b a n k e r s . . . 30,207.23 Dividends unpaid \ 4,894.25 | i Individual deposits j 1, 547.00 United States deposits I. 121.98 DepositsofU.S.disbursingoflicers.i. 23,472 75 5, 000.00 Notes and bills rediscounted. Bills payable 2, 250- 00 ! Liabilities other than those above 14,697.66 32,541.49 44, 040.00 5, 088.65 stated Total . 805,850.45 i Total. 75,000.00 52.50 435,078.80 4,440.00 805,850.45 National Exchange Bank, Salem. C. ODELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.,. U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. j Checks and other cash items j Exchanges for clearing house ; Bills of other national banks. j Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit., i Redemption fund with Treas. U. S. \ Due from Treasurer U. S | No. 817. $454 218.21 Capital stock paid in. 53.65 50,000.00 Surplus fund 1,800.00 3,100.00 14 000.00 1,359.67 11.305 37 2,884.22 1,050.00 198.03 19,146.50 7,088.00 2,250.00 $200,000.00 Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 40, 000.00 6, 796.98 43, 780. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 6,066.49 Individual deposits United States deposits DepositsofU.S.disbursing officers 258,784. 18 26,00* " otes and bills rediscounted N Bills payable Liabilities other than those above stated Total . 555,453.65 I Total. S. Gr. SYMONDS, Cashier. 555>453.65 Naumkeag National Bank, Salem. J o s . H . TOWNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furnit ure, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due f I'ora approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks... ^Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U, S. Due from Treasurer U. S Total Xo. 647. N. A. VERY, Cashier. $965,019,16 ,; Capit al stock paid in I 169.22 ! i 50,000.00 | Surplus fund | Undivided profits, less current I expenses and ta^es paid National-banknotes outstanding.j 124, 934. 75 State-bank notes outstanding j 5, 000.00 $500,000.00 Due to other national banks Due to State banks and bankers.. I. 4,227.08 401. 29 68,715.10 13,168. 20 Dividends unpaid. Individual deposits 5,164.00 I United States deposits I 79.74 !| Deposits of U.S.disbursing officers. 35,961.25 j i 11,850.00 i| Notes and bills rediscounted. Bills payable *" 2, 250." 66 Liabilities other than those above stated 1,282,712.71 Total 300,000.00 24,396.43 44,010.00 501.00 398,478.20 11,100.00 1,282,712.71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 471 MASSACHUSETTS. Salem National Bank, Salem, BENJAMIN W . KUSSELL, President. GEO. D PHIPPEN, Cashier. No. 704. Resources. Liabilities. Loans and discounts Overdrafts U S. bonds to secure circulation.,. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and ether cash itemi Exchanges for clearing house Kills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue frono Treasurer U. S $655,091.25 MCapital stock paid in j 3,365.32 I 50,000.00 ' Surplus fund , Undivided profits, less current expenses and taxes paid 5,932.37 National bank notes outstanding. 154,914.58 State-bank notes outstanding 6, 500. 00 5,700.00 Due to other national banks 19, 686,82 42,426.52 3, 555. 89 6,642.00 108. 00 3, 052. 61 30,000.00 2, 250. 00 72,000,00 2,257.47 45,000.00 Due to State banks and bankers.. Dividends unpaid 45, 000.00 Individual deposits j United States deposits I. Deposits of U.S.disbursingofficers.!. 509, 585.39 9, 000.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 989, 225.36 Total. $300,000.00 6,382.50 Total. 989,225. 36 Shelburne Falls National Bank, Shelburne Falls. LORENZO GRISWOLD, President. No. 1144. l Loans and discounts ! Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits I U. S. bonds on hand | Premiums on U. S. bonds I Stocks, securities, etc . j Bank'ghouse,furniture,andnxtures' Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers.; Due from approved reserve agents. [ Checks and other cash items • ) Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. — Total. C. W. HAWKS, Cashier. $190,101.92 j Capital stock paid in j 25,000.00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 662. 50 7,000.00 $100,000. 00 26, 000.00 14, 262.11 22, 500. 00 .!} Due to other national banks Due to State hanks and bankers-. Dividends unpaid 583.79 Individual deposits United States deposits 157. 87 I DepositsofU.S.disbursingoflicersJ 6,909.05 | 85.00 j Notes and bills rediscounted 102,104,90 2,750.01 , 25,344.53 2,353.92 1,125.00 39.00 Bills payable Liabilities other than those above i stated I 265,489.80 Total . 265, 489.80 Somerville National Bank, Somerville. J. O. HAYDEN, President. No. 4771. Loans and discounts ' Overdrafts ' U. S. bonds to secure circulation.... | U. S. bonds to secure deposits • U. S. bonds on hand Premiums on U. S. bonds i Stocks, securities, etc | Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents.; Checks and other cash items ! Exchanges for clearing house '• Bills of other national banks Fractional currency, nickels, cents. Specie t Legal-tender notes j U. S. certificates of deposit j Redemption fund with Treas. U. S.! Due from Treasurer U. S j Total | JAS. F. BEARD, Cashier. $429, 330.76 ' Capital stock paid in. 23.23 79,000.00 Surplus fund ! Undivided profits, less current I expenses and taxes paid 7,150. 00 \ National-bank notes outstanding. 17, 629.90 •i State-bank notes outstanding 1, 300.00 Due to other national banks Due to State banks and bankers.. 29, 767. 27 Dividends unpaid 3.38 Individual deposits 2.400.00* United States deposits 141.59 Deposits of U. S.disbursing officers 18,122.81 7, 212.00 Notes and bills rediscounted. Bills payable 3.555.00 500.00 Liabilities other than those above stated 596,135.94 J Total. $100,000.00 11,500.00 12,353.06 69, 900. 00 24,876. 49 376, 656.39 850. 00 596, 135. 94 47- KEPOKT UF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS* Southbridge National Bank, Southbridge. No. 934. J.\( OH EDWARDS, President. FRANCIS L. CHAPIN, Cashier Liabilities. Resources. Loans and discounts J Overdrafts \ 17. S. bonds to secure circulation...! U. S. bonds to secure deposits '. U. S. bonds on hand Premiums on U. S. bonds $419, 986. 63 319.90 100, 000. 00 [ . L ! Stocks, securities, etc . Ban k g house, furniture, andfixtu res Other real estate and mortg's owned . Due from other national banks \. Due from State banks and bankers.'. Due from approved reserve agents Checks and other cash items \ Exchanges for clearing house i. Bills of ottie.r national banks ! Fractional currency, nickels, cents.j Specie ! Legal-tender notes \ U. S. certificates of deposit Redemption fund with Treas. U. S., Due from Treasurer U, S - Total . Capital stock paid in • $150,000.00 ' Surplus fund Undivided profits, less current expenses and taxes paid ! National bank notes outstanding..' State-bank notes outstanding 30, 000. 00 30,078. 01 90,000.00 2, 000. 00 Due to other national banks Due to State banks and bankers . 60,912.88 4,138.81 1,605.00 413.14 7,124. 75 10,193.00 4, 500. 00 611,194.11 Dividends .unpaid Individual deposits United States deposits Deposits of U.S.disbursingoffieers I | Notes and bills rediscounted ! Bills payable | ! Liabilities other than those above '• \ stated i Total . 311,116.10 611,194.11 Framingham National Bank, South Framingham. JAMES J . VALENTINE, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation... U, S. bonds to secure deposits ', ! U. S. bonds on hand . Premiums on U. S. bonds ' Stocks, securities, etc '• Bank'g house, furni t ure, andfi x t ures Other realestateandmortg's owned . Due from other national banks Due from State banks and bankers. . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes | TJ. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S I. Total . No. 528. $328,124. 05 108. 90 200, 000. 00 28, 500.00 149, 549. 98 9, 420. 00 F R E D . L. OAKS, Cashier. $200,000.00 Capital stock paid in Surplus fund i Undivided profits, less current expenses and taxes paid ..', National-bank notes outstanding.. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. j 35,880.62 11J721. 4G 50,000.00 27, 543. 60 180, 000. 00 4, 235. 24 15, 629. 97 22.00 Dividends unpaid 2, 000. 00 Individual deposits. . . . . 266.18 United States deposits i 16, 658. 55 v! 3,057.00 ! Deposits of U.S.disbursingofficers.i Notes and bills rediscounted I ~"9*oo6."66':i Hills payable , Liabilities other than those above stated i 794,298.i Total . 316, 867. 99 794, 298. 80 First National Bank, South Wey mouth. H. B. REED, President. Loans and discounts ' Overdrafts U. S. bonds to secure circulation.. . U. S. bonds to sec are deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank1 ghouse,furniture,and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items ; Exchanges for clearing house ! Bills of other national banks ' fractional currency, nickels, cents. Specie i Legal-tender notes i TJ. S. certificates of deposit I Redemption fund with Treas. TJ. S. Due from Treasurer U. S I Total No. 618. $243, 868.48 52.37 100, 000. 00 J . H . STETSON, Cashier. Capital stock paid in | Surplus fund 1 i Undivided profits, less current j I expenses and taxes paid j i National-bank notes outstanding..! 28,184.00 State-bank notes outstanding | $150,000. 00 50,000.00 5,875.45 86, 400.00 Due to other national banks Due to State banks and bankers 10,969. 82 3,104. 43 2,057. 00 208.16 8,440.00 2, 00;). 01) 4, 500. 00 403,384.20 Dividends unpaid Individual deposits i United States deposits Deposits of U.S.disbursingoffieers 4, 512.00 106,596.81 Notes and bills rediscounted. Bills payable Liabilities other than those above ! stated j Total . 403, 384. 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 473 MASSACHUSETTS. Spencer National Bank, Spencer. ERASTUS JONES, No. 2288. President. ¥RANK A. DRURY, Cashier. Liabilities. Resources. Loans and discounts < $252, 887. 86 \ Capital stock paid in j $150, 000.00 O verdrafts i 561. 03 30, 000. 00 | U. S. bonds to secure circulation... | 80,000. 00 !' Surplus fund ij Undivided profits, less current j U. S. bonds to secure deposits j I j expenses and taxes paid j 10, 742.92 U. S. bonds on hand j ! 72, 000. 00 Premiums on U. S. bonds j 8, 800.00 i National-bank notes outstanding .i I Stocks, securities, etc j 78,210.00 State-bank notes outstanding Bank'ghouse,furniture,and fixtures 1,000. 00 i Due to other national banks j 23, 322.66 Other real estate and mortg's owned Due from other national banks 1 Due to State banks and bankers.. Due from State banks and bankers 48,977.38 i Dividends unpaid. Due from approved reserve agents. 15.00 230. 00 Checks and other cash items. c I Individual deposits house ... 197, 245.41 Exchanges for clearing hou 210. 00 ! United States deposits Bills of other national bank 36.22 !! DepositsofU.S.disbursingofficers. Fractional currenc7, nickels, cents.j 6,813.50 jj Specie j 2, 000.00 ! Notes and bills rediscounted Legal-tender notes I I j Bills payable XL S. certificates of deposit 1 3, 600.00 j Redemption fund with Treas. U . S . Liabilities other than those above I Due from Treasurer IT. S |. stated i Total . 483, 325. 99 Total 483, 325.99 First National Bank, Springfield. No. 14. JOHN OLMSTED, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds ! Stocks, securities, etc —j Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. I Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. A. FOLSOM, Cashier $794,675.10 : Capital stock paid in i $400,000. 00 2,537.56 i 150,000.00 1 Surplusfund j 63,600.00 i Undivided profits, less current | j expenses and taxes paid 19,709.57 15, 500. 00 j National-bank notes outstanding J 135, 000. 00 22, 000. 00 State-bank notes outstanding 63, 500. 00 | Due to other national banks j "l\ 584 "76" I Due to State banks and bankers..; 233. 82 9,033.23 Dividends unpaid | 814.39 2,440. 54 I Individual deposits 2,500.00 United States deposits 5 6.72 Deposits of U. S.disbursing officers. 34,985. 00 2, 540.00 Notes and bills rediscounted. Bills payable 50.00 477, 251. 49 20, 000. 00 6, 750. 00 Liabilities other than those above j stated 1,115,611.06 Total . 1,115,611.06 Second National Bank, Springfield. GURDON BILL, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation U. S. bonds to secure deposits j. U. S. bonds on hand ;. Premiums on U. S. bonds i Stocks, securities, etc ; Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. . Due from approved reserve agents Checks and other cash items. Exchanges lor clearing house j Bills of other national banks Fractional currency, nickels, cents.; Specie \ Legal-tender notes j U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ,. .. . Total. C. H. CHURCHILL, Cashier. No. 181. $818,877.92 Capital stock paid in $300, 000. 00 { 2, 347.18 50,000. 00 Surplusfund | 150,000.00 Undivided profits, less current expenses and taxes paid 32,134. 26 3,225.00 National-bank notes outstanding. 44,120.00 169, 868. 75 State-bank notes outstanding. 80,000. 00 20, 930. 73 21,709. 03 Due to other national banks j Due to State banks and bankers..;. 27, 350. 55 Dividends unpaid 4, 802. 62 2, 204. 86 Individual deposits 275.00 United States deposits 194.18 Depositsof U.S.disbursing officers 58,133. 00 7,850. 00 ! Notes and bills rediscounted. I Bills payable 2, 250. 00 Liabilities other than those above i stated 1, 270,018. 82 Total 19,258. 58 12.00 599, 993. 98 124, 500.00 ! 1, 270, 018.82 474 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, Third National Bank, Springfield. No. 308. F. H. HARRIS, President. F R E D . HARRIS, Cashier. Resources. Liabilities. $1,411,952.61 Loans and discounts 2, 362. 64 Overdrafts 450, 000. 00 U. S. bonds to secure circulation... 50,000. 00 U. S. bonds to secure deposits U. S. bonds on hand 64, 500. 00 Premiums on U. S. bonds 140,011.69 Stocks, securities, etc 85,468. 27 Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned 62, 385. 96 Due from other national banks 5,402. 84 Due from State banks and bankers 189, 257.20 Due from approved reserve agents. 4, 669.17 Checks and other cash items 6, 891. 77 Exchanges for clearing house 485.00 Bills of other national banks 141.25 Fractional currency, nickels, cents. 39,978.10 Specie 12, 740. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 12,410.00 Capital stock paid in. $500, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid, National-bank notes outstanding. State-bank notes outstanding 400, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 146, 538. 22 2,167. 72 Individual deposits United States deposits Deposits of U.S.disbursing officers. 945,126. 74 45,000. 00 246. 06 99, 377. 76 400, 050. 00 150.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2,538,656.50 j Total. Due from Treasurer II. S Total. 2,538, 656.50 Agawani National Bank, Springfield. HENRY S. HYDE, President. No. 1055. W. M. WILLARD, Cashier. Loans and discounts i $1,073,160. 89 Capital stock paid in I $500,000.00 Overdrafts ! 13,142. 86 U. S. bonds to secure circulation...! 300,000.00 Surplus fund i 59, 500.00 TJ. S. bonds to secure deposits i Undivided profits, less current, j U. S. bonds on hand : expenses and taxes paid ! 21, 781. 73 Premiums on U. S. bonds i 33,150. 00 National-bank notes outstanding; j 267, 380.00 Stocks, securities, etc \ 65,175.49 State-bank notes outstanding...'..! Bank'ghouse,furniture,andfixturesi 72,275.00 i 66, 887. 39 Other real estate and mortg's owned: 10, 000. Q0 Due to other national banks 2,469. 00 Due from other national banks 12, 667. 96 Due to State banks and bankers.. Due from State banks and bankers .'• 431.50 Due from approved reserve agents. 79, 880. 23 Dividends unpaid Checks and other cash items 1 5,722. 68 Exchanges for clearing house 7, 576. 58 Individual deposits 647,010. 85 Bills of other national banks 2, 370. 00 United States deposits Fractional currency, nickels, cents. 60.85 Deposits of U. S.disbursing officers. Specie | 33, 925. 00 156,807. 07 Legal-tender notes i 4,000.00 Notes and bills rediscounted U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S.: 9,160. 00 Liabilities other than those above Due from Treasurer U. S stated Total 1, 722, 267. 54 Total . 1,722, 267. 54 Chapin National Bank, Springfield. No. 2435. WILLIAM K. BAKER, President. GEO. R. GERRALL, Cashier. 1 i $1,319,671.18 Loans and discounts 3,600.09 Overdrafts U. S. bonds to secure circulation... j 300,000.00 TJ. S. bonds to secure deposits I. 100, 000.00 U. S. bonds on hand j 58, 562. 50 Premiums on U. S. bonds I 33, 835. 63 Stocks, securities, etc j 83, 000. 00 Bank'ghouse,furniture,and fixtures | Other real estate and mortg's owned;. Due from other national banks ' Due from State banks and bankers.! 10, 291. 53 Due from approved reserve agents. I 109, 951. 33 Checks and other cash items | 1,527. 62 Exchanges for clearing house j 8,198. 75 Bills of other nationalpanks | 10,105.00 317.66 Fractional currency, nickels, cents, j 67, 386.00 Specie ; Legal-tender notes i 12, 935. 00 U . S . certificates of deposit ']. Redemption fund with Treas. U. S. 13, 500.00 ! Due from Treasurer U. S . Total i 2,163,095.72 Capi tal stock paid in $500,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22,634.47 270, 000.00 Due to other national banks Due to State banks and bankers.. 20,627.11 8,156.21 Dividends u n p a i d . . . , Individual deposits United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted. Bills payable 72,000.00 154.00 1,169, 523.93 100, 000.00 Liabilities other than those above stated , Total 2,163,095.72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 475 MASSACHUSETTS. Chicopee National Bank, Springfield. A. J. MCINTOSH, President. A. B. W E S T , Cashier. No. 988. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.. Due from Treasurer 17. S Liabilities. .565,191.05 ;! Capital stock paid in ; $400,000.00 703.78 : 205,000.00 1 Surplus fund 1 150,000.00 Undivided profits, less current • expenses and taxes paid ; 35,140.31 21,500.00 j National-bank notes outstanding- j 182,400. 00 92,819.68 j State-bank notes outstanding j 62,000.00 ! Due to other national banks | 10, 206. 22 i4,759.56 Due to State banks and bankers.. I 15, 000. 00 155,769.74 Dividends unpaid j 176.00 42, 608. 08 1, 547, 636.08 8, 495.43 Individual deposits i 10,140.00 United States deposits 330.29 Depositsof U.S.disbursing officers, j . 98, 506. 00 1.7, 510. 00 Notes and bills rediscounted Bills payable 9, 225.00 Liabilities other than those above stated Total 2, 325, 558.61 Total . 2, 325, 558.61 City National Bank, Springfield. JAMES D. SAFFORD, President. No. 2433. E. A. CARTEE, Cashier. $1,122,417.20 i Capital stock paid in Loans and discounts 384.94 I Overdrafts 250,000.00 I j Surplus fund U. S.bonds to secure circulation...[ U. S. bonds to secure deposits ; | Undivided profits, less current U.S.bonds on hand expenses and taxes paid 50,150. 00 | National-bank notes' outstanding.; Premiums on U. S. bonds 24, 010. 60 State-bank notes outstanding Stocks, securities, etc 12, 675. 00 Bank'ghouse,furniture,andfixtures; 20, 448. 49 Due to other national banks Other real estate and mortg's owned; j 4,659. 22 Due to State banks and bankers.. j Due from other national banks j 360. 55 Due from State banks and bankers.; 126, 513. 86 Dividends unpaid Due from approved reserve agents.; I 1, 022.40 Checks and other cash items -J 5, 386.17 Individual deposits | Exchanges for clearing house j 3, 720. 00 United States deposits Bills of other national jbanks 100. 29 Fractional currency, nickels, cents. 51, 250. 00 Depositsof CT.S.disbursingofticers. j Specie 4, 000. 00 Notes and bills rediscounted Legal-tender notes | TJ. S. certificates of deposit Bills payable j Kedemption fund with Treas. U. S. 11,250.00 Liabilities other than those above ! Due from Treasurer U. S stated $250, 000.00 1, 688, 348. 72 1, 688, 348. 72 Total. Total . 100, 000. 00 45,844.79 225,000. 00 21, 710.33 1,479.59 35.00 944,279.01 100,000. 00 John Hancock National Bank, Springfield. E. D. CHAPIN, President. Loans and discounts \ Overdrafts j. TJ. S. bonds to secure circulation...! U. S. bonds to secure deposits I. U.S.bonds on hand I. Premiums on U. S. bonds Stocks, securities, etc \ Bank'g house, furniture,and fixtures! Other real estate and mortg's owned!. Due from other national banks • Due from State banks and bankers .j. Due from approved reserve agents.j Checks and other cash items. Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents.; Specie | Legal-tender notes ; U. S. certificates of deposit \. Redemption fund with Treas. TJ. S-i Thie from Treasurer U. S j Total. No. 982. E. DUDLEY CHAPIN, Cashier. $557,065.83 j Capital stock paid in 125,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 9,187. 50 National-bank notes outstanding 29, 050. 00 State-bank notes outstanding $250,000.00 50, 000.00 26, 084. 86 111,950.00 1, 000. 00 Due to other national banks ' Due to State banks and bankers.. j id,"oil. 6i Dividends unpaid 1, 363. 93 '"*6," 743." 38* 787. 84 9,127. 88 I Individual deposits 4, 898. 00 ' United States deposits Depositsof U.S.disbursingofticers.'. 153. 20 24, 439. 00 6, 500. 00 Notes and bills rediscounted 353,189. 85 Bills payable 5, 625.00 Liabilities other than those above stated • 792,588. 64 Total. 792, 588. 64 476 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Pynchon National Bank, Springfield. EDWARD P. OHAPIN. President. GEORGE R . B O N D , Cashier Resources. Liabilities. Loans and discounts j $1,527,148.46 i Capital stock paid in ; $200, 000.0( Overdrafts | 8,210.25 U. S. bonds to secure circulation... j 125, 000. 00 ! Surplus fond j 100,000.0( U. S. bonds to secure deposits i Undivided profits, less current j U. S. bonds on hand '[. expenses and taxes paid i 20, 048. 5fc Premiums on U. S. bonds ; 16, 000. 00 I National bank notes outstanding, j 109,100. 00 Stocks, securities, etc j 111,006.52 I State-bank notes outstanding j 28, 200. 00 Bank'ghouse,furuiture,and fixtures! Other real estate and mortg's owned . Due to other national banks { 124, 039.06 15, 210. 69 Due to State banks and bankers..j. Due from other national banks Due from State banks and bankers.! 3,531.64 Due from approved reserve agents, i 61, 379. 58 Dividends unpaid. Checks and other cash items 18,291.42 } Exchanges for clearing house 2,412.31 j Individual deposits 1,389,048.65 10, 000. 00 i United States deposits Bills of other national Danks Fractional currency, nickels, cents. J 81.42 DepositsofU.S.disbursingofficers. Specie * j 57, 639. 00 Legal-tender notes j 32, 500. 00 Notes and bills rediscounted... Bills payable IT. S. certificates of deposit \ 80, 000. 00 Redemption fund with Treas. U. S. 5,625.00 Due from Treasurer U. S Liabilities other than those above I stated Total. 2, 022. 236. 29 Total 2,022, 236. 2 Springfield National Bank, Springfield. HENRY H. BOWMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonus on hand | Premiums on U. S. bonds ! Stocks, securities, etc Bank'ghouse,funiiture,ai]dfixtures. Other real estate and mortg's owned Due from other national bauks Due from State banks and bankers. I Due from approved reserve agents. | Checks and other cash items Exchanges for clearing house ! Bills of othernationall>anks :| Fractional currency, nickels, cents. j Specie ; Legal-tender notes ! U. S. certificates of deposit j Redemption fund with Treas. U . S . ! Due from Treasurer U. S j No. 4907. 1,252,737.95 Total. RALPH P . ALDEN, Cashier. $933,997.96 I Capital stock paid in $200,000.00 159. 98 j 100,000. 00 j Surplus fund 50, 000.00 :j Undivided profits, less current i expenses and taxes paid 29,418.29 10. 000. 00 ! National-bank notes outstanding. 87, 800. 00 44, 500. 00 ij State-bank notes outstanding 14, 000. 00 Due to other national banks 10, 204. 66 • 9,048.31 Due to State banks and bankers..• I 45, 298. 72 { Dividends unpaid 15.00 6, 219. 38 j 12, 213.12 I; Individual deposits 875, 300.00 10,000. 00 : United States deposits ;. 985. 78 !; Deposits of U.S.disbursingofficers.'. 24,083. 70 25, 731. 00 I Notes and bills rediscounted. j Bills payable 4, 500. 00 12, 000.00 Liabilities other than those above stated Total- j 1,252,737.95 Housatonic National Bank, Stockbridge. DANIEL R. WILLIAMS, President. Loans and discounts j Overdrafts j TJ. S. bonds to secure circulation... j TJ. S. bonds to secure deposits |. TJ. S. bonds on hand i. Premiums on U. S. bonds |. Stocks, securities, etc j Bank'g house, furniture, andfixtures' Other real estate and mortg's owned . Due from other national banks Due from State banks-and bankers.'. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U . S . Due from. Treasurer U. S Total. No. 1170. D. A. KIMBALL, Cashier. $327,104.36 j Capital stock paid in 52,000.00 i! Surplus fund !j Undivided profits, less current !| expenses and taxes paid National-banknotes outstanding. 108,671.13 State-bank notes outstanding 14,974.42 ., i Due to other national banks j 9, 775. 59 I Due to State banks and bankers..!. I 48,559.53 j| Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 20. 00 131. 79 4,356. 55 4,105.00 I Notes and bills rediscounted. | Bills payable 2,293.00 | J! Liabilities other than those above stated 571, 991. 37 Total. $200,000.00 150, 000. 00 1,301.52 44,475.00 16, 500.15 63.00 159,651.70 571,991.37 REPORT OF THE COMPTROLLER OP THE CURRENCY. 477 MASSACHUSETTS, Stoneham National Bank, Stoneham. CHAS. W. TIDD, President. No. 4240. CHAS. A. BAILEY, Cashier. ResourcesLoans and discounts ! Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand \ Premiums on U. S. bonds j Stocks, securities, etc i Bank'gfcouse,furniture,andfixtures! Other real estate and mortg s owned; Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house j Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U, S Total . . Liabilities. $147, 587.38 27,500.00 1,850.00 23,300.00 450.00 30,362.89 474. 45 ' 100.00 80.64 9, 705. 85 2, 760. 00 1,237. 50 Capital stock paid in i Surplus fund j Undivided profits, less current J expenses and taxes paid | National-bank notes outstanding. \ State-bank notes outstanding j . $50, 000.00 3, 300.00 10,456. 86 24, 750.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursing officers. j Notes and bills rediscounted Bills payable 156, 901.85 I ! j Liabilities other than those above stated Total 245,408. 71 245,408.71 Bristol County National Bank, Taunton. S. L. CUSHMAN, President. No. 766. Loans and discounts i Overdrafts. U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures; Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . H. H. TOWNSEND, Cashier. $743,565. 26 | j Capital stock paid in 105, 000. 00 j $500, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding, j 149, 047. 00 State-bank notes outstanding ! 60,000. 00 Due to other national banks : 1 Due to State banks and bankers 1 136,051.14 i Dividends unpaid. 2,378.54 | Individual deposits ; 9, 798. 00 United States deposits i 721.88 Deposits of U.S.disbursingofficers. i 50, 800. 00 5,000. 00 4, 725. 00 1,267, 430.13 200, 000.00 27,308.70 94, 500.00 4, 508. 67 343.00 440,769.76 Notes and bills rediscounted j Bills payable Liabilities other than those above stated Total 1, 267, 430.13 Machinists' National Bank, Taunton. W M . C. DAVENPORT, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation-.. i U. S. bonds to secure deposits j. U. S. bonds on hand j. Premiums on U.S.bonds i Stocks, securities, etc j Bauk'g house, furniture,and fixtures! Other real estate and mortg's owned;. Due from other national banks I Due from State banks and bankers, j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Total . No. 947. JOHN H. DALGLISH, Cashier. $427, 298. 70 Capital stock paid in ; $200, 000.00 25. 02 180, 000. 00 Surplus fund : 115, 000. 00 1,500. 00 65, 380. 00 15, 000. 00 6. 269.15 J, 018. 86 43, 820.] 6 334.54 5, 483. 00 600. 00 24,462.18 3,500. 00 8,100.00 3, 720. 00 786,511. 61 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding , Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits j Depositsof U.S.disbursingofficers. 27, 726.12 159, 600.00 4, 046.33 2,143.98 18.00 277, 977.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 786,511.61 478 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Taunton National Bank, Taunton. No. 957. GEO. A. WASHBURN, President. GEO. W. ANDROS, Cashier. Liabilities. Eesources. Loans and discounts $1,115, 586.93 Capital stock paid in j Overdrafts 7.75 U. S. bonds to secure circulation... i 510,000. 00 Surplus fund i Undivided profits, less current U. S. bonds to secure deposits | IT. S. bonds on hand I expenses and taxes paid Premiums on U. S. bonds 44,410. 00 | National-bank notes outstanding. 29, 889.45 j State-bank notes outstanding Stocks, securities, etc ' 15, 000. 00 Bank'g house, furniture, and fixtures Other real estate and niortg'sowned Due to other national banks Due from other national banks 726.89 Due to State banks and bankers . Due from State banks and bankers., Due from approved reserve agents. \ 65, 013. 47 Dividends unpaid Checks and other cash items j 713.07 Exchanges for clearing house \ Individual deposits Bills of other national, banks i 21,108.00 United States deposits Fractional currency, nickels, cents ! 474.17 Deposi ts ofU. S.disbursing officers. Specie i 36, 710. 70 Legal-tender notes : 12,220.00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. j 22, 950.00 Due from Treasurer U, S i Liabilities other than those above stated Total . -i Total 1,874,810.43 $600, 000.00 200,000.00 51,569. 50 456,097.50 29,963.30 301.00 536,879.13 1,874,810.43 Townsend National Bank, Townsend. A. D. FESSENDEN. President. No. 805. Loans and discounts $273,372.23 Overdrafts U. S. bonds to secure circulation... 100, 000.00 U. S. bonds to secure deposits „.; U. S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc ( Bank'ghouse,furniture,and fixtures! 1,000.00 Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. | 7, 911. 76 Due from approved reserve agents. | 1,832. 02 Checks and other cash items ! Exchanges for clearing house j. Bills of other national banks 310. 00 Fractional currency, nickels, cents. 22. 27 Specie '. 5, 467. 00 Legal-tender notes 8, 000.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 4,500.00 Due from Treasurer U. S Total . 402, 415. 28 HENRY A. HILL, Cashier. Capital stock paid in j Surplus fund Undivided profits, less current i expenses and taxes paid \ National-bank notes outstanding.: State-bank notes outstanding Due to other national banks Due to State banks and banker?.. Dividends unpaid. Individual deposits United States deposits. !. Depositsof U. S.disbursiug^officers -1. $100, 000.00 20,000. 00 37, 259.32 90, 000.00 479. 00 154,676.96 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 402,415.28 Crocker National Bank, Turners Palls. C. W. HAZELTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. !§. certificates of deposit Redemption fund with Treas. U. S.1 Due from Treasurer U. S Total . No. 2058. D. P. ABERCROMBIE, Cashier. $438, 981. 51 !! Capital stock paid in j $200, 000.00 739.90 5*0, 000. 00 | j Surplus fund ; 45,000.00 Undivided profits, less current j expenses and taxes paid 13,189.88 National-bank notes outstanding. 40,000.00 3, 600. 00 State-bank notes outstanding | 1,000.00 i 5, 000. 00 Due to other national banks j 8,449.94 330. 84 Due to State banks and bankers.. I 46,679.45 48.70 2, 759. 00 135. 44 14,750. 00 2,000. 00 2, 250.00 568,274.84 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers - 5.00 261, 630.02 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 568,274.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 479 MASSACHUSETTS. Blackstone National Bank, Uxbridge. MOSES TAFT, President. No. 1022. Resources. C. S. WBSTON, Cashier. Ij Liabilities. Loans and discounts | $146,448.84 jj Capital stock paid in I $100,000.00 Overdrafts i i | II. S. bonds to secure circulation..-! 25,000.00 || Surplus fund I 10,594.00 XJ. S. bonds to secure deposits j || Undivided profits, less current I U. S. bonds on hand : |j expenses and taxes paid ! 3,227.45 Premiums on U. S. bonds j || National-bank notes outstanding.j 22,500. 00 Stocks, securities, etc i 37,588.75 j State-bank notes outstanding I Bank'ghouse,furniture,and fixtures; ;| I Other real estate and mortg'sownedj j Due to other national banks I Due from other national banks i j! Due to State banks and bankers.. i Due from State banks and bankers. j ! ; j Due from approved reserve agents.; 4, 329. 97 j| Dividends unpaid 2, 000.00 Checks and other cash items ' 116.71 !j j Exchanges for clearing house ; | Individual deposits 91,080.71 Bills of other nationallbanks j 105.00 j| United States deposits j Fractional currency, nickels, cents.; 166.89 ; Deposits of U.S. disbursing officers.! ! Specie * 12,521.00 1 Notes and bills rediscounted. Legal -tender notes. Bills payable U.S. certificates of deposit. Redemption fund with Treas. U. S. j 1,125.00 j Due from Treasurer U. S i •! Liabilities other than those above : i; ! stated ; Total ! 227,402.16 Total ; 227,402.16 National Bank of South Reading, Wakefield. CYRUS G. BEEBE, President. No. 1455. THOMAS WINSHIP, Cashier. Loans and discounts j $225, 277.40 ! | Capital stock paid in j $100,000.00 Overdrafts ; ! i U.S. bonds to secure circulation...: 50, 000.00 j [ Surplus fund 25,000.00 U. S. bonds to secure deposits | j j Undivided profits, less current I U. S. bonds on hand j j expenses and taxes paid l 18,134.48 Premiums on U. S. bonds 2,500.00 ;} National-bank notes outstanding. 45,000.00 Stocks, securities, etc 19,235.18 jj State-bank notes outstanding Bank'ghouse, furniture, and fixtures " Other real estate and mortg's owned . Due to other national banks Due from other national banks. Due to State banks and bankers. Due from State banks and bankers Dae from approved reserve agents. 32,530.65 || Dividends unpaid Checks and other cash items 1, 200. 00 jj Exchanges for clearing house I ii Individual deposits 159,116.65 Bills of other national banks 800. 00 j United States deposits Fractional currency, nickels, cents. 202.90 i Depositsof U.S.disbursingofficers Specie '. \ 12,238.00 ,j Legal-tender notes j 1,017.00 |j Notes and bills rediscounted U. S. certificates of deposit ' Bills payable Redemption fund with Treas. U. S. 2, 250. 00 ;, Due from Treasurer U. S Liabilities other than those above i ;: stated ! Total 347,251.13 ;' Total ; 347,251.13 Waltham National Bank, Waltham. HAMBLIN L. HOVEY, President. No. 688. Jos. F. GIBBS, Cashier. Loans and discounts j $572,668. 02 ! j Capital stock paid in Overdrafts ....! 115.86 |i U. S. bonds to secure circulation... j 50,000.00 j j Surplus fund U. S. bonds to secure deposits j j Undivided profits, less current U. S. bonds on hand • j! expenses and taxes paid Premiums on U. S. bonds j National-bauk notes outstanding. Stocks, securities, etc j 13,201.00 ; State-bank notes outstanding Bank'ghouse,furniture,andfixtures: 65,000.00 j Other real estate and niortg'sownedj ji Due to other national banks Due from other national banks • ;| Due to State banks and bankers..! Duefrom State banks and bankers.j jj j Due from approved reserve agents.! 28,344.00 jj Dividends unpaid j Checks and other cash items i 5,228.84 j i " " Individual deposits j Exchanges for clearing house. 10, 000.00 United States deposits Bills of other national banks.. Fractional currency, nickels, cents. | 157.80 Depositsof U.S.disbursingofncers. j Specie ! 79,711.00 ! Legal-tender notes ; 12,000.00 Notes and bills rediscounted U. S. certificates of deposit ! Bills payable .\ Redemption fund with Treas. U. S. 2,250. 00 Liabilities other than those above Due from Treasurer U. S ( stated . Total ! 8387676752" Total $150,000.00 50,000. 00 16, 951. 28 44, 430.00 4,000.00 573,295.24 480 REPORT OF THE COMPTROLLER OF THE CURRENCY MASSACHUSETTS. Ware National Bank, Ware. No. 628. WILLIAM S. HYDE, President. HENRY K. HYDE, Cashier, Resources. Liabilities. Loans and discounts | $440,977.99 | Capital stock paid in j l Overdrafts j TJ. S. bonds to secure circulation... j 50,000.00 j Surplus fund j U. S. bouds to secure deposits j ! Undivided profits, less current ! U. S. bonds on hand j expenses and taxes paid j Premiums on U. S. bonds 4,000. 00 I National-bank notes outstanding. Stocks, securities, etc < 99,091. 75 , State-bank notes outstanding..... | Bank'ghouse^urniture^aiidfixturesj 20,000.00 | Other real estate and mortg's owned 13,000. 00" i Due to other national banks Due from other national banks j Due to State banks and bankers . Due from State banks and bankers, i | Due from approved reserve agents. i 16,984.08 j Dividends unpaid Checks and other cash items i 616.41 Exchanges for clearing house Individual deposits Bills of other nationaljbanks 120. 00 United States deposits : Fractional currency, nickels, cents.' 201. 32 j Deposits of U.S.disbursingofficers. j. Specie 9,142.75 i Legal-tender notes • 6, 382. 00 j Notes and bills rediscounted. Bills payable U. S. certiticates of deposit Redemption fund with Treas. U. S.j 2, 250.00 ] Due from Treasurer XJ. S \ Liabilities other than those above ! stated ' Total. 662, 766.30 Total. ;300,000.00 50,000.00 12, 722.63 45, 000. 00 3,616.99 6,000.00 245, 426.68 662, 766.30 National Bank, Wareham. GERARD C. TOBEY, President. Loans and discounts j Overdrafts i U. S. bonds to secure circulation... i U. S. bonds to secure deposits j TJ. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc : Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. U. S. j Due from Treasurer U. S i No. 1440. $111,495. 70 25,000.00 $100,000.00 Surplus fund Undivided profits less current I expenses and taxes paid j National-bank notes outstanding.! State-bank notes outstanding I. ]56, 583.96 1,600.00 Due to other national banks ! Due to State banks and bankers..; Dividends unpaid [ 1,724. 24 35,885.97 i Individual deposits ; 11,195.00 ji United States deposits L 142. 04 ji Deposits of U.S.disbursing officers.!. 7, 469. 00 4, 000. 00 I Notes and bills rediscounted ;. Bills payable \. 1,125.00 Liabilities other than those above stated 356, 220. 91 Total. E. A. GAMMONS, Cashier. Capital stock paid in Total. 26, 020.00 27. 399.36 21, 810.00 1,548.00 179, 443.55 356, 220.91 Union Market National Bank, Watertown. L. SIDNEY CLEVELAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation..., U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ; Bank'ghouse,furniture,andiixturesi Other real estate and mortg's owned, Due from other national banks \ Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks , Fractional currency, nickels, cents. i Specie ! Legal-tender notes j U. S. certificates of deposit [ Redemption fund with Trea&. U.S.I Due from Treasurer TJ. S • Total. No. 2108. GEORGE S. PARKER, Cashier. $240,105.80 ;; Capital stock paid in j 181. 88 100, 0U0.00 ij Surplusfund i :j Undivided profits, less current | expenses and taxes paid j 7,500. 00 National-banknotes outstanding J 36,284. 99 State-bank notes outstanding ! 10,000.00 1, 361.42 Due to other national banks ; j Due to State banks and bankers.. ! 19,431.07 2,831.97 , i Dividends unpaid • 1,187.00 Individual deposits 47. 66 United States deposits ' 6,485.35 Deposits of U.S.disbursing officers.! 1. 065. 00 ! Notes and bills rediscounted ! 4,500.00 I Bills payable \ i 430,982.14 $100,000.00 20,000.00 21,939.06 90,000.00 30. 00 151, 217 92 45,000. 00 i , Liabilities other than those above j ; stated Total. 2, 795.16 430,982.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 481 MASSACHUSETTS, First National Bank, Webster. CHESTEB C. CORBIN, President. No. 2312. EDWARD L. SPALDING, Cashier. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds on band J .... Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otber real estate and mortg's owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer U. S Total Liabilities. $233, 552.93 25, 000. 00 Capital stock paid in $100,000.00 2, 500. 00 45, 851. 25 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 000. 00 1, 317. 75 Due to other national banks Due to State banks and bankers.. 309. 30 829. 75 5,196. 00 224.88 19,590. 00 7, 500. 00 Dividends unpaid 7,559. 27 4, 590.62 22, 500. 00 10, 007.01 261. 00 Individual deposits United States deposits DepositsofU.S.disbursing officersNotes and bills rediscounted Bills payable 200,078.96 1,125. 00 Liabilities other than those above stated „ Total 344, 996. 86 344,996.86 First National Bank, Westboro. JOHN L. BRIGHAM, President. No. 421. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bank'g house.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. $156, 741.46 8.82 50, 000. 00 A. V. HARRINGTON, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current 4,500.00 expenses and taxes paid National bank notes outstanding State-bank notes outstanding 5, 336.00 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 086.31 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 257,841. 01 Total. 99,918. 70 5, 500.00 8,610.00 19,132. 72 3,407.32 1, 500. 00 106. 29 8,684.40 1,900. 00 257,841.01 First National Bank, Westfield. M. B. WHITNEY, President. No. 190. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... tJ. S. bonds to secure deposits XJ. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. OUR, http://fraser.stlouisfed.org/ £ T 2 Federal Reserve Bank of St. Louis $358,964. 70 127.12 250,000.00 10, 000. 00 12, 837. 75 2,575.00 9,000.00 42, 066.63 9, 210. 63 107, 920.59 690.46 3,260. 00 149. 95 27, 383. 50 5,840. 00 11, 250. 00 851, 276.33 31 LORINQ P. LANE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks , Due to State banks and bankers. Dividends unpaid Individual deposits , United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $250,000.00 71,000.00 9, 036. 67 222, 300. 00 8, 966.51 17, 325.79 1,774.00 270,873.36 851,276.33 482 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Hampden National Bank, Westfield. L. E. NORTON, President. No. 1367. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Premiums on U. S. bonds Stocks, secnrities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Liabilities. $390,608. 88 322.87 50, 000. 00 21,000.00 9, 000.00 17, 695.38 1,378.71 52,065.40 558, 24 6,762. 00 157.28 26, 890.30 1,000.00 2, 250. 00 2, 550.00 582, 239. 06 Total. FRED. H. SACKETT, Cashier. Capital stock paid in $150, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 22, 003.79 45, 000. 00 Due to other national banks Due to State banks and bankers.. 6,154.83 17, 690. 37 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 64, 000.00 401.00 276, 989. 07 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 582, 239. 06 Union National Bank, Weymouth. -, President. Loans and discounts /. Overdrafts U. S.bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S HENRY A. NASH, Cashier. No. 510. $333,798.17 Capital stock paid in $200, 000.00 7.64 80, 000.00 Surplusfund 60, 000.00 Undivided profits, less current. expenses and taxes paid . 14, 552. 51 3, 200.00 National-bank notes outstanding. 71, 980.00 33, 273. 76 State-bank notes outstanding 11, 757.00 D.ue to other national banks Due to State banks and bankers. 32,539.44 Dividends unpaid 1,134. 50 3,413. 88 Individual deposits 155, 824. 66 305.00 United States deposits 182. 53 Deposits of U.S.disbursingofficers. 11,366.25 4, 568.00 Notes and bills rediscounted. Bills payable 3, 600.00 Liabilities other than those above 518, 011. 67 Total. stated Total. . 14, 520. 00 518, Oil. 67 Whitinsville National Bank, Whitinsville. JAMES F . WHITIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash .items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. TJ. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 769. GEO. H. SPRAGUE, Cashier. $100/600.00 $299, 979.54 Capital stock paid in. "25,666" 66' 197, 885. 25 197, 505.44 319.55 5, 545.00 184.56 24,569.05 5,000.00 1,125.00 757,113.39 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 46, 422.93 22,500.00 Due to other national banks Due to State banks and bankers. . Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 488,190.46 Notes and bills rediscountedBills payable Liabilities other than those above stated Total. 757,113.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 483 MASSACHUSETTS. "Whitman National Bank, Whitman. No. 4660. ALBEET DAVIS, President. BELA ALDEN, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on hand -. * Premiums on U. S. bonds Stocks^ securities, etc Bank'ghouse,furniture,and fixtures Otherrealestate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. Liabilities. $124, 640. 29 2.42 12, "500. 00 500.00 100.00 15, 706. 85 646.11 1,377. 00 23. 53 7,052.50 3,160.00 562. 50 $50,000.00 Capital stock paid in Surplus fund Undivided profits, less c u r r e n t expenses a n d taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding Due to other national b a n k s D u e to State banks and b a n k e r s . . 3, 500. 00 2, 932.69 11, 250. 00 1, 587.27 Dividends unpaid 28.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 96, 973. 24 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 166, 271. 20 Total. 166,271.20 Williamstown National Bank, Williamstown. JOHN B. GALE, President. No. 3092. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $124, 363.14 45.04 13,000. 00 CHARLES S. COLE, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes x>aid National-bank notes outstanding. State-bank notes outstanding 6, 800. 00 5,183.91 11,700.00 5, 600. 00 34,816.49 66.15 51.04 5,193. 80 2, 600. 00 585.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers 8,767. 69 27.50 105, 059.61 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 187, 538.71 187, 538. 71 First National _ Bank, Winchendon. JOHN H. FAIRBANK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand... .• Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due. from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. L . BEALS, Cashier. No. 327. $330,853". 64 5.59 60, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 88,851.12 14, 000.00 3, 600. 00 Due to: other national banks 152. 20 Due to State banks and bankers. 32, 810. 38 Dividends unpaid 170. 00 Individual deposits 225.00 United States deposits 124.89 Deposits of U.S.disbursing officers. 12,130.80 215.00 Noftes and bills rediscounted. Bills payable 2, 700. 00 Liabilities other than those above stated 545, 838. 62 Total. $200,000.00 100, 000. 00 50, 952. 92 52, 670. 00 908.00 141, 307.70 545, £ 484 KEPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Woburn. JOHN JOHNSON, President. Total. G. A. DAY, Cashier. No. 746, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank 'g house, furniture.and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S, certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Liabilities. $433, 200. 44 58.67 180, 000. 00 8, 755. 00 13. 900.00 33,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. - 39, 668. 91 Dividends unpaid 3. 942. 49 4, 078. 00 167. 95 10, 561. 25 4, 404. 00 8,100. 00 739,836.71 Individual deposits United States deposits. Deposits of U.S. disbursingofficers. Notes and bills rediscounted. Bills payable $200,000.00 70, 000. 00 3, 030. 98 162, 000. 00 37, 368. 04 7, 000. 00 245,437.69 15, 000. 00 Liabilities other than those above stated Total. 739, 836.71 First National Bank, Worcester. G. K. RAND, Cashier. No. 2699. $2, 307,471. 50 Capital stock paid in Loans and discounts $300/000. 00 807.54 Overdrafts • 50, 000. 00 Surplus fund 200, 000. 00 U. S. bonds to secure circulation... . U. S. bonds to secure deposits Undivided profits, less current 38,414, 52 U. S. bonds on hands expenses and taxes paid Premiums on U. S. bonds 45? 000.00 National-bank notes outstanding. 52, 034. 59 State-bank notes outstanding Stocks, securities, etc 7, 000. 00 Bank'ghouse,furniture, andfixtures 33, 571. 58 Due to other national banks Other real estate and mortg's owned 13,624. 88 39. 58 Due to State banks and bankers.. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. 171, 048. 66 Dividends unpaid 1, 982. 66 Checks and other cash items 9, 600. 47 Individual deposits Exchanges for clearing house 2,194, 404.98 14, 564. 00 United States deposits Bills of other national banks , 60. 00 Depositsof U.S.disbursingofficers. Fractional currency, nickels, cents. 71,513.80 Specie 23, 500.00 Notes and bills rediscounted. Legal-tender notes 50, 000. 00 Bills payable U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities other than those above A. H. WAITE, President stated Total. 2,795,444.38 Total. 4, 000. 00 2, 795, 444. 38 Central National Bank, Worcester. No. 455. WM. WOODWARD, Cashier. $1,163,497. 33 Capital stock paid in Loans and discounts $300,000. 00 2,183. 23 Overdrafts 50,000.00 U. S. bonds t£ secure circulation... Surplus fund 100, 000.00 U. S. bonds to secure deposits Undivided profits, less current expenses and taxes paid 31 104 22 U S bonds on hand Premiums on U. S bonds National-bank notes outstanding. 45,000. 00 18,472.00 State-bank notes outstanding Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned 17, 646. 38 Due to other national banks Due from other national banks Due to State banks and bankers.. Due from State banks and bankers. Due from approved reserve agents. 54, 491.11 Dividends unpaid 15.00 Checks and other cash items 684.00 4, 550. 01 Individual deposits 891, 661. 00 Exchanges for clearing house 5, 440. 00 United States deposits Bills of other national banks Fractional currency, nickels, cents. 205. 57 Depositsof U.S.disbursingofficers. Specie 51 153 35 Legal-tender notes 12' 500. 00 Notes and bills rediscounted U. S. certificates of deposit 20, 000. 00 Bills payable Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Liabilities other than those above stated Total 1, 385, 426. 60 Total 1,385,420.60 H. A. MARSH, President. REPORT OF THE COMPTROLLER OF THE CURRENCY. 485 MASSACHUSETTS. Citizens' National Bank, Worcester. HENRY S. PRATT, No. President. 765. GEO. Resources. A. SMITH, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned' Due from other national bunks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. SpeGie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . $875,850.01 22. 40 50, 000. 00 Capital stock paid in $150, 000.00 28, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.| State-bank notes outstanding j 24, 653.01 Due to other national banks Due to State banks and bankers 90, 670. 94 3, 285. 89 1,334.00 3,460. 00 230.13 43, 845. 05 12, 000. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. Dividends unpaid 40, 000. 00 17, 006. 08 45, 000.00 97,483. 65 30. 00 786, 081. 70 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1,135, 601.43 1,135,601.43 City National Bank, Worcester. CALVIN FOSTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 476. , 693,463. 81 134. 57 50,000. 00 *"i6,"o66."oo 1,750.00 87, 400. 00 64. 055.09 175, 032. 28, 327. "io,89O. 72. 50, 899. 47,424. 30, 000. 2, 250. NATH'L PAINE, Cashier. Capital stock paid in $400, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks ' Due to State banks and bankers Dividends unpaid 100,000. 00 102,910.77 44,390. 00 186, 751.97 Individual deposits I 1,417, 644. 03 United States deposits I. Deposits of U.S.disbursingofficers. I. Notes and bills rediscounted |. Billspayable Liabilities other than those above stated Total 2, 251,699. 77 2, 251,699. 77 Mechanics' National Bank, Worcester. F. H. DEWEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds , Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 1135. $962, 450.01 252. 68 50, 000. 00 GEO. E. MERRILL, Cashier. Capital stock paid in. $350, 000. 00 40, 700. 00 5, 500.00 105, 900. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. . 48, 893.45 5, 219. 76 107, 291. 33 5, 526. 58 8, 245. 00 316. 41 46, 004. 40 21,839. 00 2, 250. 00 1, 320, 795.17 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. i 12, 854.51 41, 700. 00 110.00 826, 537.21 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total 1, 320, 795.17 486 P.EPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Quinsigamond National Bank, "Worcester. E. B. STODDARD, President. No. 1073. J . L. CHAMBERLIN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of othernational banks Fractional curreney, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in $911, 016. 88 70.04 70, 000. 00 175, 297. 28 5,000.00 || 13,000.00 I Due to other national banks 9,691.32 I Due to State banks and bankers. I 75, 283. 59 Dividends unpaid j 472. 20 2,198. 48 Individual deposits ! 5,960. 00 United States deposits 255. 52 Deposits of U.S.disbursing officers -; 70, 644. 00 10,380. 00 Notes and bills rediscounted Bills payable 3,150. 00 100, 000. 00 28, 335. 37 62,600.00 36, 491. 07 9.00 872,483. 87 Liabilities other than those above stated 1,352,419. 31 Total. $250, 000. 00 Surplus fund | Undivided profits, less current j expenses and taxes paid National-bank notes outstanding.! State bank notes outstanding | Total. Worcester National Bank, "Worcester. No. 442. STEPHEN SALISBURY, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums o n U . S . bonds Stocks, securities, etc Bank'g house, furniture, andfixturesj Otherrealestateand mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Chec Exchanges f clearing h for l i house n Bills of other national ban k s nat ik Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. SDue from Treasurer U. S Total. J . P . HAMILTON, Cashier. ,661,139.02 : Capital s cock paid in. 918.27 , 75,000.00 j Surplusfund ! | ! Undivided profits, less current j expenses and taxes paid I National bank notes outstanding-! State-bank notes outstanding ! 1, 00U. 00 2, 200. 00 196, 950. 05 60,000.00 Due to other national banks 19*309.52 j $500, 000. 00 200, 000. 00 49, 789. 57 67,500.00 37, 028. 43 Due to State banks and bankers,.. 140,711.28 Dividends unpaid ! 5, 741. 05 7,061.33 I 1, 373,906. 66 6,138. 00 • Individual deposits 428. 64 ! United States deposits ! 91, 026. 50 DepositsofU.S.disbursingom'cers.j 17, 226.00 i 10, 000. 00 70, 000. 00 Notes and bills rediscounted 3, 375. 00 Bills payable Liabilities other than those above stated : Total 2, 298, 224. 66 I 2, 298, 224. 66 National Bank, Wrentham. SAMUEL WARNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S.bonds to secure deposits j U. S. bonds on hand ! Premiums on U. S bonds Stocks, securities, etc Bank'ghouse^'urniture.andfixturesj Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1085. $107,839.04 39.94 25, 000.00 F . N. PLIMPTON, Cashier. Capital stock paid in 2, 250.00 9, 500.00 j $52, 500. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid \ National-bank notes outstanding, j State-bank notes outstanding j 17, 500. 00 4,509.11 22, 500. 00 Due to other national banks • Due to State banks and bankers. 7,980.40 i 1,033.42 I Dividends unpaid 326. 39 Individual deposits 'i',iho.bb'\ United States deposits 1.14 j Deposits of U. S.dish ursing officers. 114.25 3,979.00 I "it"i25."6o"; 160, 012.19 62, 676. 69 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. .j 160, 012.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 487 MASSACHUSETTS. First National Bank of Yarmouth, Yarmouth Port. JOSHUA C. HOWES, President. No. 516. W M . P . DAVIS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand, Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers % Due from approved reserve ageats. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U . S . certificates of deposit Redemption fund withTreas. TJ. SDue from Treasurer U. S Total $432, 202. 97 350, 000. 00 48,942. 93 3,500. 00 14, 813. 32 185.69 2, 260. 00 25.82 3, 542. 50 971. 00 15, 750.00 872,194.23 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $350,000. 00 85,000.00 17,745. 71 313, 670.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 1,803. 50 103, 975.02 Notes and bills rediscounted Bills payable Liabilities other than those above stated . . Total 872,194.23 488 REPORT OF THE COMPTROLLER OF THE CURRENCY. M I C H I G A IN. First National Bank, Albion. No. 3316. W. O'DONOUGHUE, President. H. M. DEARING, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate andmortg s owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea9. U. S. Due from Treasurer U. S Total. Liabilities. $299,591.42 12, 063.22 82, 500. 00 7,150.00 511. 93 8, 000. 00 15,442.43 13,693. 71 2, 988.44 2, 070. 00 98.39 12, 258.15 4, 000.00 3,712.50 Capital stock paid in. $150, 000 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22,000.00 16,924.;»5 74, 250. 00 Due to other national banks Due.to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 200, 905.84 Notes and bills rediscounted. Bills payable Liabilities other than those above ': stated ! Total . 464,080.19 464, 080.19 First National Bank, Allegan. No. 1829. B. D. PRITCHARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $121, 779. 23 3,817.86 12, 500.00 14, 001.83 6,709.00 1,294. 75 4,171. 43 28.95 17, 796.29 1, 442.85 F . I. CHICHESTER, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 1,700.41 10, 650. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 553. 93 Individual deposits. .• 300. 00* United States deposits 134. 57 Deposits of U. S.disbursingofficers 15, 831. 59 4,940. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 132, 406. 51 205, 310. 85 stated Total . 205, 310. 85 Alpena National Bank, Alpena. GKO. L. MALTZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks..... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house.. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 2847. $322, 575. 54 2,971.76 50, 000. 00 20, 731.20 3, 700. 00 2, 050.03 31,185.51 595. 84 2, 070. 00 74.32 19,137. 75 10, 284. 00 2, 250. 00 J O H N C. COMFORT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 13, 000. 00 2, 090. 29 45, 000. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits \ United States deposits j Depositsof U.S.disbursingoffieers-j 357, 535. 66 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 467, 625.95 Total . 467, 625.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 489 MICHIGAN. First National Bank, Ann Arbor. No. 2714. P H I L I P BACH, President. S. "W. CLARKSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits X S bonds on hand J Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agent s. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fronVTreasurer TJ. S Total Liabilities. $306. 997.12 3; 077. 47 25, 000. 00 8, 500. 00 15, 520. 00 13, 371. 40 8, 658.13 27,443.02 3, 281. 24 8, 220. 00 234. 55 15, 632.15 2,908. 00 1,102.50 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 20, 000.00 35, 829. 32 22, 050. 00 5,000.00 236.00 Individual deposits United States deposits Deposits of U .S.disbursingofficers. 256, 830. 26 Notes and bills rediscounted Billspayable Liabilities other than those above 439, 945.58 stated Total 439, 945. 58 National Bank, Battle Creek. No. 3314. V. P. COLLIER, President. Loans and discounts $349,294.53 Overdrafts 1,618.98 TJ. S. bonds to secure circulation... 40,000, 00 TJ. S. bonds to secure deposits U . S . bonds on hand Premiums on U. S. bonds 4,000.00 Stocks, securities, etc 37,467.50 Bank'gbouse, furniture, and fixtures 11, 903. 83 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. 8,883. 72 Due from approved reserve agents. 34,269.08 Checks and other cash items 148. 86 Exchanges for clearing house Bills of other national banks 3, 430. 00 Fractional currency, nickels, cents. 80. 28 Specie 18,971.80 Legal-tender notes 2, 000. 00 U. S. certificates of deposit Redemption fund with Treas. TJ. S1,800.00 Due from Treasurer U. S Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State bank notes outstanding $150,000.00 15, 000. 00 5, 392. 91 36, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 307,475. G7 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 513, 868. 58 Total. JAMES BOUGHTON, Cashier. Capital stock paid in. Total. 513, 868. 58 First National Bank. Bay City. JOHN F. EDDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2853. $729, 351. 81 5, 304. 07 50, 000. 00 4, 000. 00 20, 000. 00 5,137. 50 3,401.98 6, 207. 69 38,739. 86 842. 09 1,163.98 4, 789. 00 139. 65 29, 900. 00 4,040.00 2, 250.00 FRED'K P . BROWNE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $200,000. 00 50, 000.00 25, 781. 74 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 3,493.13 49, 399.31 Individual deposits United States deposits Depositsof U.S disbursing officers. 465,077.85 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 66, 515. 60 905, 267. 63 490 REPORT OF THE COMPTROLLER OF THE CURRENCY. MIC H I O AN. Old Second National Bank, Bay City. ORRIN BUMP, President. No. 4953. M. M. ANDREWS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds*to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks..... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer XJ. S. Liabilities. $1,126,668. 23 127. 83 50, 000. 00 6,000.00 2,966."o6" 4, 501. 21 14, 378. 29 83, 444. 53 76. 20 2, 976. 78 5, 200. 00 1,163. 20 45,774. 00 6, 703. 00 2,250. 00 50, 000. 00 Due to other national banks Due to State banks and bankers. 6, 433. 32 64, 368. 51 21, 548. 65 45, 000.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofl&cers. 642, 271.20 Notes and bills rediscounted Bills payable 122, 541. 5 Liabilities other than those above stated 1,352,163. 27 Total . $400, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 1, 352,163. 27 Total. First National Bank, Benton Harbor. No. 4261. S. A. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other nationalbanks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house hous Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas., U. S. Due from Treasurer U. S Total . $185,820. 95 593.56 12, 500.00 1,500.00 2; 858. 66 2,586. 50 331.63 38,099.52 2,457.73 122.54 11,908. 55 4,804.00 562. 50 JAMES BALEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding , $50, 000. 00 40, 000. 00 1, 579. 48 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers . 161,316.66 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 264,146.14 264,146.14 Total. First National Bank, Bessemer. Jos. SELLWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits \J. S. bonds oa hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents Checks and other cash items. Exchanges for clearing house... Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WILLIAM I. PRINCE, Cashier. No. 3947. $162. 716. 23 250*30 12,500. 00 1,400.00 1, 969. 34 9, 600. 00 16.75 *i2,*96i."29 1,000. 00 186.11 7,440. 50 2, 500. 00 562. 50 213, 043.02 ~ Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50, 000.00 3, 500. 00 2, 384. 02 11, 250. 00 571.52 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 145, 337. 48 Notes and bills rediscounted. Bills payable Liabilities other than those abovev stated Total. 213, 043. 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 491 MICHIGAN. First National Bank, Buchanan. JAMES REYNOLDS, President. No. 3925. JNO. F . REYNOLDS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k g house, furniture* and fixtures Other real estate andmortg's owned Due from other national ban ks Due from State banks and bankers. Due from a]>proved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $88, 342.17 3, 642. 06 12, 500. 00 1, 200. 00 Capital stock paid in $50, 000. 00 6, 202. 58 Surplus fund Undivided profits, less c u r r e n t ' expenses and taxes paid National-bank notes outstanding^ State-bank notes outstanding 3,971.08 11, 250. 00 1, 730. 00, 12, 823. 55 2, 021. 01 81.38 2, D04. 70 1, 449. 00 "562.50 Due to other national banks , Due to State banks and bankers..j I Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. j Notes and bills rediscounted Bills payable 55, 832. 71 i ' Liabilities other than those above stated 127, 256.37 Total. Total. 127, 256. 37 First National Bank, Calumet. No. 3457. EDWARD RYAN, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Ban k 'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $557,492. 35 362. 25 25, 000. 00 WILLIAM B. ANDERSON, Cashier. j $100,000.00 Surplus fund I Undivided profits, less current j expenses and taxes paid i 2, 750. 00 National-bank notes outstanding.j 36, 580. 00 State-bank notes outstanding | 21, 128.15 j 5, 000. 00 Due to other national banks i 9, 308. 63 Due to State banks and bankers..' 12, 853. 74 236,398. 80 Dividends unpaid : 5, 277.39 Individual deposits j 10, 800. 00 United States deposits j • 292. 67 Deposits of U.S.disbursing officers 50,000. 00 52, 774. 80 36, 430. 00 " Capital stock paid in 12,387.24 22,500.00 828, 686. 54 i Notes and bills rediscounted Bills payable '' 1,125. G * O 1,013,573.78 Liabilities other than those above | stated ; Total { 1,013,573.78 First National Bank, Cassopolis. S. T. READ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1812. CHAS. A. RITTER, Cashier. Capital stock paid in. 11, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,220. 00 138. 32 $50, 000. 00 Due to other national banks Due to State banks and bankers. 20, 687.14 126. 87 14,718.57 10, 950. 00 Dividends unpaid Individual deposits j " *1," 635." bb" United States deposits !. 198. 54 Deposits ofU.S.disbursing officers. j. 8, 075. 00 500. 00 25, 000. 00 114,881.? Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 215, 550.40 Total . 215, 550. 40 492 REPORT OP THE COMPTROLLER OF THE CURRENCY. MICHIOAJV. First National Bank, Charlotte. No. 1758. F. S. BELCHER, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie ; Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $167,191. 09 65.80 18, 750. 00 1, 500. 00 i6,"8o6.'66 1,105. 00 23 398.92 360. 00 606. 00 233. 38 16, 214. 00 417. 00 843. 75 Capital stock paid in $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 25, 000. 00 7,121.36 16, 470. 00 257. 41 4.96 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 117, 631. 21 Notes and bills rediscounted. Bills payable Liabilities other than those above j stated 241, 484. Total. 241,484. 94 Total. W. P. LACEY, Cashier. Liabilities. 94 Merchants' National Bank, Charlotte. No. 3034. E. T CHURCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nick els, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $128,674. 34 359. 04 12, 500. 00 3, 600. 00 9, 000. 00 21,935. 00 1,891. 74 10,137. 37 153.62 1, 765. 66 65. 01 6, 929. 00 2,000. 00 562.50 H. K. JENNINGS, Cashier. $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S .disbursing officers. 25, 000. 00 27, 945.17 11, 250. 00 2, 368. 02 83, 009. 43 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 199, 572. 62 199,572.62 First National Bank, Cheboygan. GrEO. F . RAYNOLDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S. bonds to secure deposits T S bonds on hand X Premiums on U. S. bonds Stocks securities etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency,nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3235. $228,355. 91 427. 20 13, 000. 00 14, 500.00 A. W. RAMSAY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers 18,165.11 703. 32 1,509.00 58.47 13,498. 67 1, 414. 00 585. 00 $50, 000. 00 10, 000. 00 1, 257. 26 11, 700. 00 47.36 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable 194, 212. 06 25, 000. 00 Liabilities other than those above 292, 216. 68 stated Total 292,216. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 493 IICHIGAN. Coldwater National Bank, Cold water. No. 1235. L. M. WING, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. TJ. S. bonds to secure deposits... IT. S. bonds on hand Premiums on TJ. 8. bonds Stocks, securities, etc Bank' g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. TJ. S. Due from Treasurer TJ. S $221, 791. 75 3,497.49 25,000.00 ' 27, 704. 31 1, 890. 00 34/002.51 75. 00 4,813.65 105. 00 1,341.00 28.36 14, 715. 95 2,415.00 1,125.00 Capital stock paid in $100,000.00 Surplusfund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35, 000. 00 17, 992.15 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingomcers. 163, 012.87 Notes and bills rediscounted-. Bills payable Liabilities other than those above stated 338,505.02 Total. H. R. SAUNDERS, Cashier. Liabilities. 338, 505. 02 Total . Southern Michigan National Bank, Coldwater. L. E. EOSE, President. No. 1924. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S $324, 311. 79 4, 246. 05 165, 000. 00 16,175.00 54,488. 75 16, 000.00 1, 500. 00 685.25 42.62 10,586. 76 379. 06 4,441.00 84. 39 17, 613.40 6, 050. 00 7, 425.00 100. 00 629,129. 07 Total. A. S. UPSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $165, 000.00 35,000.00 48,355.06 148, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursmgofficers. Notes and bills rediscounted. Bills payable 231,819.96 Liabilities other than those above stated Total . 19,129. 07 First National Bank, Corunna. W. D. G-ARRISON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items... Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1256. $165, 397.85 428. 84 12, 500. 00 6,000. 00 550.00 15, 524.60 125.35 489. 00 81.03 7,100. 00 3, 000.00 562. 50 211,759.17 W. A. ROSENKRANS, Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Cashier. $50,000. 00 6,500.00 1, 724.71 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 137,784.46 4,500. 00 211, 759.17 494 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Detroit. ' No. 2707. D. M. PERKY, President. JOHN T. SHAW, Cashier. Resources. Loans and discounts Overdrafts. . r U. S. bonds insecure circulation... U. S. bonds to>;secure deposits TJ. S. uonds on hand Premiums on U. S. bonds Stocks* securities, etc Bank'g house, furniture,and fixtures J OtHer real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . . Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. ;, 336*, 130.09 Capital stock paid in 38/45 150,000. 00 Surplus fund 150, 000. 00 Undivided profits, less current expenses and taxes paid National-bank-notes outstanding. 35, 000. 00 State-bank notes outstanding..... Due to other national banks 211,772.63 I Due to State banks and bankers.. 65,033.74 S 696,740.47 Dividends unpaid 484.82 139, 358. 85 Individual deposits 34, 818. 00 Certified checks. United States deposits 518. 69 Deposits of U.S.disbursingofficers. 229,754. 66 234, 902. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 1,765? 42 Liabilities other than those above stated 1 5,293, 067. 82 $500, 000. 00 100, 000. 00 114,941.99 J 28,950. 00 443, 593. 60 1, 443, 082. 56 2, 410, 786. 40 15, 997. 20 19,140.49 116, 575. 58 5,. 293, 067. 82 Total . American Exchange Bank, Detroit. M. S. SMITH, President. HAMILTON DEY, Cashier. No. 3357. $2, 364, 845. 87 Capital stock paid in. Loans and discounts | $400, 000. 00 7, 628. 75 Overdrafts 50, 000."00 Surplus fund U. S. bonds to secure circulation-.. 100, 000. 00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand 77, 004. 38 expenses and taxes paid Premiums on U. S. bonds National-bank notes outstanding 38, 960. 00 Stocks, securities, etc State-bank notes outstanding 2. 353. 50 Bank'g house,furniture,and fixtures Otherreal estate and mortg's owned 28, 679. 76 Due to other national banks 237, 448. 81 16,7, 623. 66 Due to State banks and bankers.. Due from other national banks 322, 931. 85 12, 538. 27 Due from State banks and bankers. 254, 626. 47 Dividends unpaid Due from approved reserve agents. 80.00 1, 430. 37 Checks and other cash items 49, 338. 91 Individual deposits Exchanges for clearing house 2, 082, 658. 38 Bills of other national banks 19,112. 00 United States deposits Fractional currency, nickels, cents. 2,106. 36 Deposits of U.S.disbursingofficers 213, 812. 00 Specie 81, 900. 00 ! Notes and bills rediscounted. Legal-tender notes U. S. certificates of deposit Bills payableRedemption fund with Treas. U. S. Due from Treasurer U. S Commercial National Bank, Detroit. H U G H MCMILLAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghpu8e,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional Currency, nickels, cents. Specie Legal-tender notes U. S. eertificatesuof deposit Redemption fund with Treas. U. S. Duafrom Treasurer U. S Total No. 2591. $2, 746,869.06 1, 550. 74 50, 000.00 150,000.00 14, 000.00 M. L . W I L L I A M S , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 500. 00 16,165. 88 Due to other national banks 90,134. 36 Due to State banks and bankers.. 66,826. 54 401, 552. 38 Dividends unpaid 8, 597. 23 31, 763. 01 Individual deposits 5, 069. 00 United States deposits 4, 540. 99 Deposits of U.S.disbursing officers. 193, 589. 00 90,000. 00 Notes and bills rediscounted. Bills payable $500, 000. 00 100, 000. 00 157, 796. 00 37,150. 00 632, 442. 69 522, 857.64 1, 784, 792. 02 106, 362.00 35, 007. 84 2, 250.00 Liabilities other than those above stated , 3, 876, 408.19 Total . 3, 876, 408.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 495 MIC H I G A N . Detroit National Bank, Detroit. No. 2870. A L E X . MCPHEESON, President. Kesources. Loans and discounts $3,922,557. 33 74.98 Overdrafts 50,000.00 U. S. bonds to secure circulation... IT. S. bonds to secure deposits... U.S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc 8, 626.86 Bank'g house, furniture, and fixtures 7,000. 00 Other real estate and mortg'sowned 110,891.20 Due from other national banks 68, 373. 30 Due from State banks and bankers. Due from approved reserve agents. 544, 827.72 2,356.40 Checks and other cash items 47, 362.06 Exchanges for clearing house 23,166. 00 Bills of other national banks 893.36 Fractional currency, nickels, cents. 337, 095. 00 Specie ..... % 101,265. 00 Legal-tender notes. IT. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. 3, 501. 50 Due from Treasurer U. S Total. 5,230,240.71 W M . T. D E GRAFF, Cashier. Liabilities. Capital stock paid in $1,000,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 585, 754. 00 1,101,017.73 posi Certified checks United States deposits Deposits of U.S. disbursing officers. 2,186,142. 58 2,339.00 111,081.69 43, 800. 00 105.71 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 5, 230,240.71 Preston National Bank, Detroit. I\ W. HAYES, President. N o . 3730. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $3,582,081. 90 63. 28 1, 000, 000. 00 120, 000. 00 28, 000. 00 7,472. 96 206,454.18 51,972.36 423,466. 25 1,527.19 68,384. 34 30,480. 00 1, 818.03 251,257. 50 150, 000. 00 45,000.00 5,967, 977.99 Total. H. L. O'BRIEN, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Certified checks Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. ., 000,000.00 90, 000. 00 38, 837.90 900, 000. 00 686, 560. 32 896, 483.28 2, 350, 589. 66 5, 506. 83 5, 967, 977.99 Union National Bank, DetroitE. D. EATHERLY, President. Loans and discounts Overdrafts X S. bonds to secure circulation-.. L U. S. bonds to secure deposits U. S. bonds on hand.--., Premiums on U. S. bonds Stocks, securities, "etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks v Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas/U.S. Due from Treasurer U. S Total No. 3487. $453,054.59 68.81 50, 000. 00 4,500. 00 3,000. 00 6,855.57 6,152. 52 56. 074. 52 1,659. 29 9,211. 32 8,-341.00 119. 56 43,684.35 23, 765. 00 2,250. 00 668,736. 53 J . B. PADBERG, Cashie Capital stock paid in $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding... A 18,000.00 Due to other national banks Due to State banks and bankers.. 16.30 29, 766.27 12, 644.24 45, 000.00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disburging officers. 362,936.58 373.14 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 668, 736. 53 496 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Eaton Rapids. No. 2367. A. J . BOWNE, President. F. H. J ) E GOLIA, Cashier. Resources. Liabilities Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $126, 709. 78 459. 85 12, 500. 00 1, 000. 00 6, 000. 00 8, 200. 00 1, 820. 90 479. 44 45. 00 35.80 5, 048. 75 1, 238. 00 562.50 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 10,000. 00 7, 217. 00 11, 250. 00 987.48 5.00 Individual deposits United States deposits DejJositsofU.S. disbursing officers. 67, 959. 37 Notes and bills rediscounted Bills payable 12,161.17 4, 500.00 Liabilities other than those above stated Total. 164, 080. 02 164, 080.02 First National Bank, Escanaba. F. H. VAN CLEVE, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ... Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S R. LYMAN, Cashier. No. 37G1. ;287, 609. 35 Capital stock paid in. $50,000. 00 34.88 ! 15,000.00 ! Surplus fund 20,000.00 Undivided profits, Tess current 4,919.81 expenses and taxes paid 1, 000. 00 National-bank notes outstanding. 13,500. 00 15, 000. 00 State-bank notes outstanding 12, 000. 00 33.40 Due to other national banks 4, 405. 24 Due to State banks and bankers.. 607.55 729.59 44, 414. 56 Dividends unpaid. 333. 83 Individual deposits 313,437.05 11,106. 00 United States deposits 46.36 Depositsof U.S.disbursing officers. 10,143.00 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above stated 402, 497. 81 Total. 402, 497. 81 Total . First National Bank, Flint. No. 3361. D. S. Fox, President. Loans and discount? Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $335,579. 55 3, 723. 72 200, 000.00 21, 88, 21, 26, 500.00 639.35 000. 00 085. 91 245. 07 1,136. 61 16, 677. 87 496.12 1, 416. 00 312. 91 16,497. 00 10, 900. 00 9, 000.00 753,210.11 C. S. BROWN, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 636.34 180,000. 00 Due to other national banks Due to State banks and bankers.. 160.39 7,500.00 Dividends unpaid. Individual deposits United States deposits _. Depositsof U.S.disbursingoflicers. 362, 913. 38 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total. 753, 210.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 497 MICHIGAN. National Bank, Grand Haven. No. 4578. D. CUTLER, President. GEO. STICKNEY, Cashier. Liabilities. Resources. Loans and discounts { Overdrafts ....' j U. S. bonds to secure circulation... j U. S. bonds to secure deposits . U. S. bonds on hand !. Premiums on U. S. bonds I Stocks, securities, etc *... [ Bank g house,furniture, and fixturesj Other real estate and mortg s owned;. Due from other national banks J Due from State banks and bankers.! Due from approved reserve agents, j Checks and other cash items | Exchanges for clearing house. i Bills of other national banks | Fractional currency, nickels, cents, j Specie Legal-tender notes ! U. S. certificates of deposit j Redemption fund with Treas. U . S . ' Due from Treasurer U. S Total. $283,191.97 i Capital stock paid i n . . $100, 000,00 750.25 i 50,000.00 | Surplus fund 7,500.00 Undivided profits, less current 4,072.73 expenses and taxes paid 4, 875.00 National-bank notes outstanding. 41, 830.00 1, 690. 00 State-bank notes outstanding-.... 3. 500.00 Due to other national banks 318.86 2, 909. 55 Due to State banks and bankers. J . 751.12 27, 505. 39 Dividends unpaid ! 45.00 736.12 Individual deposits j 255, 884.10 i. 5,970.00 United States deposits 179.84 DepositsofU.S.disbursingofncers.!. 20, 341.45 5, 000. 00 j Notes and bills redjscounted. ! Bills payable 2, 250.00 I Liabilities other than those above I stated 409,650.69 Total. 409,650. 69 Fourth National Bank, Grand Rapids. D. A. BLODGETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2611. 1, 746, 863.30 Total. W M . H. ANDERSON, Cashier. •, 095, 806. 28 Capital stock paid in. 635. 82 50, 000. 00 1 Surplus fund 1 50,000. 00 jj Undivided profits, less current 5, 000. 00 ! expenses and taxes paid J 12, 000. 00 |j National-banknotes outstanding. 32, 829. 06 j i State-bank notes outstanding 4, 768. 33 17,159.64 Due to other national banks 20, 622. 22 Due to State banks and bankers.. 22, 909. 90 321.855.62 Dividends unpaid 697. 39 9,152. 94 Individual deposits 8, 425. 00 United States deposits 898. 95 Deposits of U.S. disbursing officers. 65, 852.15 20, 000. 00 j Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated Total. $300,000.00 35, 500. 00 18,209. 96 45,000.00 52,599. 33 389,510.21 243.60 859, 755. 46 30,504. 66 15, 540. 08 1,746,863.30 Fifth National Bank, Grand Rapids. J. E. EARLE, President. Loan s and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesi Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit I Redemption fund with Treas. U. S. | Due from Treasurer U. S I Total. CUR, http://fraser.stlouisfed.org/ PT 2Federal Reserve Bank of St. Louis No. 3488. W . H . FOWLER, Cashier. $250,900.97 Capital stock paid in j $100.000. 00 154.41 25,000. 00 j Surplus fund 7,500.00 j Undivided profits, less current | expenses and taxes paid 3,610.19 I National-bank notes outstanding.J 22,500. 00 l 5, 991.17 j State-bank notes outstanding 3,018.45 7,500.00 j Due to other national banks 27,469. 75 j Due to State banks and bankers. 48,141. 85 j Dividends unpaid 146.06 309. 94 1,500. 74 !j Individual deposits 268, 712.49 7,513.00 1 United States deposits 1 ( 88.81 |j Deposits of U.S.disbursing officers. I 22,750.55 1,400.00 ! Notes and bills rediscounted. | Bills payable 1,125. 00 Liabilities other than those above i stated , 395.90 402,864.64 I Total . 498 REPORT OF THE COMPTROLLER OF THE CURRENCY. MIC H I G A N . Grand Rapids National Bank, Grand Rapids. ENOS PUTNAM, President. No. 2460. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes • TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S Total. F . M. DAVIS, Cashier. Liabilities. 2, 500. 88,097. 7, 000. 26, 399. 1,049. 26, 907. 158,118. 2, 234. 5,671. 24, 615. 420. 49, 304. 31,045. 2, 250. 8, 000. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bauk notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers $500, 000.00 100, 000. 00 65, 066. 54 45, 000. 00 18, 795. 57 84,198.34 1,376.00 754,397.87 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,568,834.32 j Total . 1,568, 834.32 National City Bank, Grand Rapids. CONSTANTINE MORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S . Total. No. 3293. $998, 523. 35 3, 806. 92 50, 000. 00 57, 200. 00 10, 650. 00 55, 300. 00 52, 300.00 7, 874. 21 2, 478. 96 50. 337. 33 206, 033. 70 9, 003. 82 8, 049. 56 30, 469. 00 400.00 108, 896.90 33, 000.00 J. FREDERIC BAARS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflficera. Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 1, 686, 573. 75 Total. $500,000.00 96,500.00 30. 211. 81 45,000.00 1, 220.61 7, 099. 41 120. 00 1, 006,421.92 1,686, 573.75 Old National Bank, Grand Rapids. JAMES M. BARNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S . . . . Total. No. 2890. HARVEY J . HOLLISTER, Cashier. ,971,810.38 2, 952. 24 50, 000. 00 Capital stock paid in. Surplus fund j Undivided profits, less current j expenses and taxes paid . 6,000.00 National-bank notes outstanding. 117, 395. 37 State-bank notes outstanding $800,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 30, 768.09 395,146.01 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 1,486,396.77 11,948.14 50, 856. 47 57,129. 62 80, 318. 28 388, 207. 47 6,386. 36 10,990.64 10, 000. 00 172.57 191,086. 25 10, 000. 00 2,250. 00 9, 000. 00 2, 976, 503. 79 160,000.00 58, 422. 92 44, 260.00 1,510.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 2,976,503.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 499 M I C H IO AN. First National Bank, Hancock. No. 2143. WM. HARRY, President. W M . CONDON, Cashier. Hesources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $575,647.38 ' Capital stock paid in i 3, 537.15 ! 50,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 6, 000.00 National-bank notes outstanding 7, 456.15 State-bank notes outstanding.. „. 24, 618. 95 5, 000. 00 Duo to other national banks 4-12. 20 29, 404. 60 Due to State banks and bankers.. 115, 533. 55 ; Dividends unpaid 346. 95 '! "Individual deposits ~ " 5 "420.'00" United States deposits !| 155.39 || Depositsof U.S.disbursing officers. 35, 957. 30 11.520.00 Notes and bills rediscounted. Bills payable 2,250.00 |! Liabilities other than those above stated 873,289.62 Total . $200, 000. 00 50, 000. 00 19,650. 43 44, 000. 00 2,191. 98 248. 75 485.00 556, 713.46 873, 289. 62 Hastings National Bank, Hastings. No. 1745. A. J . BOWNE, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secuie deposits ! U. S. bonds on band \ Premiums on U. S. bonds ! Stocks, securities, etc j Bank'gbouse,furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national bank Fractional currency, nickels, cents. Specie *. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W . D . H A Y E S Cashier. , $174,331.59 i! Capital stock paid in 567.22 ij 25, 000.00 1 Surplus fund 1 ! ! Undivided profits, less current i | expenses and taxes paid .! National-bank notes outstanding.) ! 28, 748.44 j I State-bank notes outstanding 17,500.00 jj 7,621.95 i| Due to other national banks ! Due to State banks and bankers. 7,561.58 ! Dividends unpaid 1,086.75 I Individual deposits 1,600*00 United States deposits .25 Deposits of U.S.disbursingofificers 5, 903. 00 10,132. 00 Notes and bills rediscounted Bills payable 1,125. 00 I Liabilities other than those above stated 281,177.78 Total. $100,000.00 5, 000. 00 8, 465.12 22, 500. 00 138,712.66 6,500. 00 281; 177.78 First National Bank, Hillsdale. P. M. STEWART, President. No. 168. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures O ther real estate and mortg's owned I Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total ; CHARLES F.STEWART, Cashier. $350,577.97 | Capital stock paid in j 5,501.09 ! 13,750.00 i Surplus fund j Undivided profits, less current { expenses and taxes paid j National-bank notes outstanding, j 55,350.00 I State-bank notes outstanding j 5,500.00 i|; I 2,700.00 :!J Due to other national banks j 85.21 ijI Due to State banks and bankers.. j 168.11 i| 57,584.02 :!! Dividends unpaid \ 1,661.51 lij I j Individual deposits j 6, 210. 00 I United States deposits ! 11. 63 I Depositsof U.S.disbursingofficers. I i 22, 452. 75 1 5,170. 00 i Notes and bills rediscounted j. Bills pay able j. 6.18.75 il Liabilities other than those above stated $55, 000. 00 527,341.04 i 527,341.04 Total . 30, 000. 00 28, 956. 51 12, 375. 00 160.13 1,012. 31 399, 837. 09 500 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. National Bank, Houghton. Z. W. WRIGHT, No. 3334. President. JAMES B. STURGIS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S bonds Stocks, securities, etc Bank'g house, furniture, andfixturesi Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $829,854. 49 7, 201.95 50, 000.00 6,500.00 44, 759. 54 19, 513.98 1, 574. 57 315, 494. 82 1, 528. 22 17, 000. 00 197.90 58, 499. 45 51,112.00 2, 250. 00 1, 486. 00 I $150, 000.00 Surplus fund j Undivided profits, less current j expenses and taxes paid j National-banknotes outstanding J State-bank notes outstanding Capital stock paid in 75, 000. 00 Due to other national banks ! 117.44 Due to State banks and bankers.. I 2, 755. 98 i Dividends unpaid Individual deposits ! 1,107, 091. 59 United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted j Bills payable j Liabilities other than those above stated 1, 406, 972. 92 Total . 27, 007. 91 45,000.00 Total . 1, 406, 972. 92 First National Bank, Ionia. No. 275. Y. H . SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's o wned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaVbanks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . FRANK A. SESSIONS, Cashier. $309,175.74 Capital stock paid in ! 2,893.17 25,000.00 I Surplus fund !• Undivided profits, less current i expenses and taxes paid .| i| National-bank notes outstanding.! I State-bank notes outstanding 8, 600. 00 21,007.96 I Due to other national banks 1 324. 21 j Due to State banks and bankers.. I 41,384.35 ! Dividends unpaid. 1,304.71 ' . j Individualdeposits 90.00 United States deposits. 87.40 !! Deposits ofU.S disbursing officers. 15,663.30 " 2, 880. 00 ji Notes and bills rediscounted. .]! Billspayable 1,125. 00 Liabilities other than those above stated 429,485. Total . $100,000.00 20, 000. 00 2,151.76 21, 900.00 10. 32 285,423. 76 429, 485. 84 First National Bank, Iron Mountain. JOHN R. WOOD, President. No. 3806. A. D. ELDRIDGE, Cashier. Loans and discounts ' $152,225.63 Capital stock paid in ! Overdrafts \ 314.54 U. S. bonds to secure circulation... i 30,000.00 Surplusfund ! U. S. bonds to secure deposits ' Undivided profits, less current U. S. bonds on hand *. expenses and taxes paid Premiums on U. S. bonds j 6,975. 00 National-banknotes outstandingStocks, securities, etc 2,500.00 State-bank notes outstanding Bank'gliouse^urniture^ndfixturesi 10, 000.00 Otherreal estate and mortg's owned; 23, 258.66 Due to other national banks Due from other national banks i Due to State banks and bankers.. Due from State banks and bankers.! 739. 09 Due from approved reserve agents. j 5,969. 07 Dividends unpaid Checks and other cash items | 169.47 Exchanges for clearing house Individual deposits 1.970.00 United States deposits Bills of other nationalt»anks 84.94 Fractionalcurrency, nickels, cents. Deposits of U.S.disbursing officers. 9, 836. 00 Specie 2, 000. 00 Notes and bills rediscounted. Legal-tender notes U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. \ 1, 350.00 | Due from Treasurer U. S Liabilities other than those above stated , Total. 247,392.40 j Total. $50,000.00 12,000.00 10,735.59 27,000.00 774.97 46.10 146, 835.74 247, 392. 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 501 MICHIGAN. First National Bank, Iron-wood. No. 3971. E. I). NELSON, President H. F. JAHN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankg house, furniture, and fixtures Other real estate an d mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $62, 595. 87 Capital stock paid in. 4,624.58 I 12,500.00 | Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding. State-bank notes outstanding 34, 000. 00 4, 000. 00 4, 290. 00 539.72 2, 000. 00 32,431.80 1,653.91 3, 978. 00 86.40 3,800. 00 10, 000.00 5,110.91 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers.; Notes and bills rediscounted Bills payable ! j 82. 934. 43 8, 767.44 Liabilities other than those above stated 168,062.78 Total. $50,000. 00 168, 062. 78 Total . Ishpeming National Bank, Ishpeming. No. 3095. C. H. HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks..... Due from State banks and bankers Due from approved reserve agents. Checks and other cash items JExchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $278,772. 27 737.15 12, 500. 00 50, 000. 00 7, 500. 00 4, 930. 00 29, 350. 00 3,537.35 1,182. 03 13, 869. 34 1, 757.12 163.00 19.95 25, 955. 00 1, 500.00 562. 50 432,335.71 A. B. MINER, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 50, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,412. 85 922. 59 Individual deposits United States deposits Depositsof U.S.disbursing officers. 269, 756. 54 44,973. 78 26.22 3, 293.73 10, 950. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 432,335.71 First National Bank, Ithaca. R. M. STEEL, President. Loans and discounts Overdrafts U. S. bonds to secur* circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse, furniture, andfixtures Other real estate andiBortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. FOSTER CHAFEY, Cashier. No. 3217. $129,951. 86 Capital stock paid in $50, 000. 00 1, 708. 95 12, 500. 00 Surplus fund 10, 000. 00 Undivided profits, less current 3, 908. 84 expenses and taxes paid 1,100.00 National-bank notes outstanding. 11, 250. 00 10,907.42 State-bank notes outstanding 954.00 8, 281.44 Due to other national banks 55.40 Due to State banks and bankers 7, 530.59 50.01 3, 303. 00 4,250.00 '"562.'50" 181,155.17 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofncers. Notes and bills rediscounted Bills payable 96, 996.33 0,000.00 Liabilities other than those above stated Total 181,155.17 502 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, People's National Bank, Jackson. No. 1533. J . M. ROOT, President. F. H. HELMER, Cashier. Resources. Loans and discounts Overdrafts IJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture, and fixtures Other real estate and mortg's owned Due from other national bunks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $249.640. 05 i i Capital stock paid in 3; 316. 92 jj 25, 000. 00 j j Surplus fund 1 Undivided profits, less current 1 ji expenses and taxes paid ! National-bank notes outstanding. 3, 000. 00j| State-bank notes outstanding 2, 000. 00 20, 238. 37 Due to other national banks. .<.. Due to State banks and bankers. 3.72 12,606.11 Dividends unpaid. 330.21 1,518.79 Individual deposits 8, 795. 00 United States deposits 56.23 Depositsof U.S.disbursing officers. 24,195.10 8, 604. 00 Notes and bills rediscounted. Bills payable 1,125.00 j 400.00 ! Liabilities other than those above stated 360,829.50 || Total. $100,000. 00 20,188.20 (5,937.09 22, 500. 00 211,204.21 Total. 360, 829. 50 First National Bank, Kalamazoo. No. 191. L. M. GATES, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I>ills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $474,799. 63 567. 32 35,000. 00 1, 317. 50 40,300.00 33, 787. 20 1, 748. 05 54, 555. 02 2, 529. 56 F. N. ROWLEY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid I Individual deposits 469." 66" j United States deposits 676. 87 Deposits of U.S. disbursing officers. 12,315.00 18,495.00 Notes and bills rediscounted. Bills payable 1,575.00 Liabilities other than those above stated 678,135.15 Total . I $100,000.00 100,000.00 29, 684. 77 31,500. 00 255. 00 416,695.38 678,135.15 City National Bank, Kalamazoo. E. C. DAYTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit l^edemption fund with Treas. U. S. Due from Treasurer TJ. S Total. W. R. BEEBE, Cashier. No. 3210. $506, 925. 44 $125, 000. 00 Capital stock paid in. 5, 441.84 32, 000. 00 Surplus fum . 62, 500. 00 nd fu Undivided profits, less current 500.00 8, 859. 96 expenses and taxes paid 4,175. 50 National-bank notes outstanding. 28, 800. 00 2, 000. 00 State-bank notes outstanding 4, 000. 00 4, 004. 86 Due to other national banks 500. 51 Due to State banks and bankers.. 49,497.19 j Dividends unpaid 5, 586.11 Individual deposits 421,421.18 639.00 United States deposits 140.11 Deposits of U. S.disbursing officers. 10, 581. GO 20,150. 00 1, 440. 00 647,081. 65 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 647, 081. 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 503 MIC H I O A N . Kalamazoo National Bank, Kalamazoo. E. J. PHELPS, President. No. 3211. THERON Y. SEBRING, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock s, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ,536, 728. 64 2,890.31 50, 000. 00 4, 500. 00 12, 300. 00 3, 600. 00 14, 006. 56 1,000.00 100.00 52, 639.10 1,915.75 "'2*376.'o6' 321. 09 22, 442. 00 35, 000. 00 2, 250. 00 $150, 000. 00 Capital stock paid in Surplus fund . Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. . 50 000. 00 15 265. 27 45 000. 00 14 9.33 303.80 470. 00 Dividends unpaid 467 021. 05 742 Individual deposits United States deposits Deposits of U .S.disbursing officers 069. 45 Notes and bills redisconnted Bills payable Liabilities other than those above stated Total 742,069. 45 Michigan National Bank, Kalamazoo. JOHN W. TAYLOR, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds ou hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furaiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels.cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 1359. $422,490. 98 1, 618. 37 50,000.00 7,350.00 ALBERT HENRY, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,000. 00 16, 000. 00 12, 097. 20 j Due to other national banks 1,246. 20 Due to State banks and bankers. 59,486. 34 Dividends unpaid 1,568.75 Individual deposits 1, 988. 00 United \States deposits 27.08 Deposits of U.S.disbursing officers. 64,812. 85 6,100. 00 Notes and bills rediscounted. Bills payable 2, 250. 06 Liabilities other than those above stated ., Total. 652, 035. 77 100,000. 00 30,485. 05 45, 000. 00 928.00 375, 622. 72 652, 035. 77 First National Bank, Lake Linden. No. 3948. JOSEPH BOSCH, President. Loans and discounts . Overdrafts * TJ. S. blonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $325,409. 50 1, 849.72 25, 000. 00 2,750. 00 1, 902. 52 8, 588. 29 3, 676.17 567.90 155, 752. 74 3, 958. 87 ""i,"22o'6o' 172. 04 27, 670. 55 20, 095. 00 1,125.00 579, JOHN E, JONES, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,105. 71 1,186.46 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 403, 087. 71 10, 858. 42 22, 500. 00 Notesand bills rediscounted. Bills payab'e Liabilities other than those above stated Total 579, 7C8.30 504 REPORT OF THE COMPTROLLER OF THE CURRENCY. 11CHIOAI. City National Bank, Lansing. No. 3513. E. W. SPARROW, President. B. F. DAVIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand * Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture.andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items... Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. II. S. Due from TreasurerU. S $300,175.97 j Capital stock paid in | 834.25 100, 000. 00 Surplus fund Undivided profits, less current 1 expenses and taxes paid 11,500. 00 I National-bank notes outstanding. 10, 475. 00 | State-bank notes outstanding 1, 000. 00 i| 16,824.37 ! i Due to other national backs 3, 233. 55 ! Due to State banks and bankers.. 3, 040. 41 59, 661. 78 I Dividends unpaid 3,300. 61 Individual deposits 1, 093. 00 j United States deposits 258. 53 • DepositsofU.S.disbursingofficers. 30, 794. 95 2,000. 00 Notes and bills rediscounted. : Bills payable 25,000.00 13, 616.04 88, 700.00 340. 00 321, 036.38 4,500.00 Liabilities other than those above stated 548, 692. 42 Total. $100,000.00 548,692. 42 Total. First National Bank, Lapeer. H. K. WHITE, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds \ Stocks, securities, etc ! Bank'ghouse,furniture,andfixturesi Other real estate and mortg'sownedj Due from other national banks Due from State banks and bankers Due from approved reserve agents.! Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit. Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. No. 1731. C. G>. W H I T E , Cashier. $338,125. 61 !i Capital stock paid in. $75, 000.00 6, 996. 66 25, 500. 00 : | Surplus fund... 25, 000. 00 j Undivided profits, less current 66,001.47 i expenses and taxes paid 20, 240. 00 | National-bank notes outstanding. 700. 00 ij State-bank notes outstanding 3,000. 00 24, 343. 59 Due to other national banks | 3, 276. 58 ' Due to State banks and bankers.. | 12, 277. 54 13,372.94 i! Dividendsunpaid. 291.80 S Individual deposits 231, 384.11 1, 400. 00 i | United States deposits !. 471. (iO | Depositsof U.S.disbursingofficers J . 12,700.00 5,130.00 Notes and bills rediscounted !. Bills payable 1,147. 50 !i I Liabilities other than those above I stated I Total. 433,179.70 I 433,179.70 First National Bank, Ludington. No. 2773. GEO. N. STRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. L. HAMMOND, Cashier. $284,397. 24 j! Capital stock paid in 536. 82 ' 25, 000. 00 , Surplus fund ij Undivided profits, less current 100. 00 ! expenses and taxes paid 2, 350.00 !j National-bank notes outstanding. 35, 310. 00 I State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. 22,148. 93 : 09,418.46 ; Dividends unpaid 773.80 i I n d i v i d u a l deposits 498. 195. 26, 909. 1, 345. 00 73 00 00 \ \ j United States deposits j. ij Deposits ofU.S.disbursing officers-I. $100,000.00 13,*000. 00 6,123. 25 22, 500. 00 3, 911. 22 334, 573.51 Notes and bills rediscounted. I Bills payable 1,125.00 Liabilities other than those above i stated !. 480, 107. £ Total. 480,107.98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 505 MICHIGAN. First National Bank, Manistee. No. 2539. T. J. RAMSDELL, President. GEO. A. DUNHAM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $583,765. 82 6,445. 97 25,000. 00 3, 000. 00 86,133. 37 Capital stock paid in. 20,468.90 Due to other national banks 639.60 Due to State banks and bankers. 4.344.53 | 190,149.66 . Dividends unpaid 844.74 I Individual deposits 22, 460. 00 United States deposits 545.49 Deposits of U. S.disbursing officers 63, 413. 25 1, 590. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 1,009,926.33 Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 80, 000.00 . 5, 887.54 22, 500.00 3, 204.00 3, 738.77 794, 596. 02 1,009,926.33 Total. Manistee National Bank, Manistee. Louis SANDS, President. No. 2606. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture and fixtures Other I eal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items use Exchanges for clearing hous Bills of other nationalpanks Fractional currency, nickels,cents. Specie Legal-tender notes *U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $428, 914. 61 409.98 55,000.00 11, 775. 00 1,815. 81 47,196. 92 4,812.92 70, 054. 80 533. 49 741. 00 11.75 42, 720.00 4,500.00 2, 475. 00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . • 75, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid . 18.15 Individual deposits United States deposits Deposits of U. S.disbursing officers. 10, 697. 01 48, 750.00 230. 00 435,886.12 Notes and bills rediscounted Bills payable Liabilities other than those above stated 670, 961. 28 Total. GEO. M. BURR, Cashier. Capital stock paid i n . Total. 670,961. 28 First National Bank> Marquette. P E T E R W H I T E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 390. $499, 210. 56 1,102.61 137, 500.00 15,000.00 12, 088. 99 43, 324.00 721. 00 5, 314. 20 14,589. 61 110,683.05 9, 963. 65 4, 035. 00 163. 00 38, 881.10 9,481. 00 "(5,'i87.'56 008,245.27 FRANK J . JENNISON, Cashier. Capital stock paid in Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding, i State-bank notes outstanding I Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $150,000.00 50, 000.00 2, 873.16 123,710.00 8, 398. 89 565,001.88 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 908,245.27 506 REPORT OF THE COMPTROLLER OF THE CURRENCY, MICHIGAN. First National Bank, Marshall. No. 1515. CHAS. T. GOBHAM, President. C. E. GORHAM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on X S. bonds L Stocks, securities, etc. Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks — Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $126, 200. 27 2,896. 31 25, 000.00 106, 288. 08 11,800.00 15,158.86 450. 76 37, 063. 9> 572.90 2, 360. 00 38. 42 20, 720. 20 3V 630. 00 I" 125.00 Capital stock paid in I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $100,000.00 100,000.00 28, 066.77 21, 200. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits ...... Deposits of U. S .disbursing officers 104,037.99 Notes and bills rediscounted Bills payable Liabilities other than those above stated ...... 353,304.76 Total. 353,304.76 First National Bank, Menominee. S. M. STEPHENSON, President. Loans and discounts > Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furriture,and fixtures Other real estate and mortg's owned Due from other national banks Doe from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes.: U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3256. $541,844. 59 421. 04 100, 000. 00 G. A. BLESCH, Cashier. I Capital stock paid in . $100,000.00 j Surplus fund ! Undivided profits, less current j expenses and taxes paid 5, 000. 00 National-bauk notes outstanding. 9,600. 00 State-bank notes outstanding..... 50, 000.00 10, 697. 60 90,000.00 Due to other national banks 4, 375. 28 Due to State banks and bankers.. 15.48 127,832. 26 Dividends unpaid 3, 051. 56 Individual deposits 2, 000. 00 United States deposits 808. 20 Deposits of U.S.disbursingofficers. 43, 769. 00 4, 000. 00 Notes and bills rediscounted. Bills payable .* 4, 500. 00 Liabilities other than those above stated 3,826.29 31.37 592,662.15 Total. 847, 217. 41 847, 217.41 Lumbermen's National Bank, Menominee. A. A. CARPENTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... V. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4454. $306, 397. 38 18.79 25, 000. 00 18, 000. 00 ""'690.'76' 17, 381. 51 1,167. 97 2,170. 00 385. 62 13, 600.00 15, 000. 00 1,125. 00 400, 937.03 M. S. HARMON, Cashier. Capital stock paid in j $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ; 50,000.00 Due to other national banks Due to State banks and bankers.. 1,402.98 Dividends unpaid Individual deposits II nited States deposits Deposits of U.S.disbursing officers. 17, 713.47 22,497. 50 80.00 209,243.08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 400,P37.03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 507 MICIIIOAN. First National Bank, Monroe. No. 1587. GEQ. SPALDING, President. GEO. L. LITTLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $117, 800.17 1,361.62 12,500. 00 300.00 1, 500. 00 6, 050. 00 7, 723. 26 13,163. 48 545. 78 141. 75 12,131.09 1,355.36 594. 00 172.14 18,117.60 562.50 1.00 Capital stock paid in. $50, 000.00 Surplus fund : Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11, 000.00 3, £25.51 11^8 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 118,144.24 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 194,019.75 194,019.75 First National Bank, Mount Pleasant. ROBERT M. STEEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and inortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S Total. No. 3215. $89, 586.73 19.66 12, 500. 00 1, 267.00 7, 509. 03 12, 709. 90 19,728.18 330. 44 257. 09 7, 918. 65 307. 59 so." 66' 86.93 2, 013. 50 5,265. 00 562.50 D. SCOTT PARTRIDGE, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 10,000.00 6,496. 06 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscoun ted. Bills payable 78, 896. U 3,500.00 Liabilities other than those above stated Total. 160,142.20 160,142.20 Hackley National Bank, Muskegon. C. H. HACKLEY, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4398. $479, 559.17 1, 547. 26 25,000.00 GEO. A. ABBOTT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid "2,"5OO*6o'i National-bank notes outstanding. State-bank notes outstanding 39,920.64 Due to other national banks 1, 571. 05 Due to State banks and bankers.. 44, 920.10 Dividends unpaid 5, 266. 68 Individual deposits 5, 348. 00 United States deposits 362. 61 Deposits of U.S.disbursingofficers. 31, 556. 50 15, 000.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 653, 677. 01 Total. $100,000.00 50,000.00 17,350.11 22,500.00 4,128. 90 20.00 459, 678.00 653,677.01 508 REPORT OF THE COMPTROLLER OF THE CURRENCY. M I C H I O A N. Merchants' National Bank, Muskegon. No. 3088. .JOHN TORRENT, President. H. O. LANGE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gl)ouse,furniture,and fixtures Otherrealestateand mortg's owned i)ue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $198, 360, 29 3, 247. 95 25, 000. 00 5,904.07 2,000.00 Capital stock paid in $100, 000. 00 25, 000. 00 Due to other national banks 146. 02 5,533.07 i 11,609.66 S 210. 00 78.92 1, 539. 30 1, 009. 00 1,125.00 255, 763. 28 Total. \ Surplus fund j Undivided profits, less current ! expenses and taxes paid j National-bank notes outstanding- j State-bank notes outstanding | 2, 284. 57 22, 500. 00 ! Due to State banks and bankers.. i Dividends unpaid | Individual deposits United States deposits ! Deposits of U.S.disbursingofficers.i Notes and bills rediscounted ! Bills payable J Liabilitie other than those above stated . Total . 46, 782. 87 59,195.84 255, 763.28 National Lumberman's Bank, Muskegon. A . V . M A N N , President. No. 4840. Loans and discounts „ Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand premiums on U. S. bonds Stocks, securities, etc : Bank'ghouse,furniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from apirroved reserve agents. Checks and other cash itfjms Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S $465, 097. 48 1, 243. 46 25, 000. 00 C. C. BILLINGHURST, Cashier. Capital stock paid i n . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes o u t s t a n d i n g . State-bank notes outstanding 25, 000.00 Due to other national banks 89 Due to State banks and b a n k e r s . . 41 87 | j Dividends unpaid 31 Individual deposits 9, 304. 00 United States deposits .• 111.01 Deposits of U. S.disbursingofficers 33, 360. 55 14,500.00 j| Notes and bills rediscounted j 859. 79 2, 725. 00 12,666. oo 5,300.15 22, 500. 00 4, 094. 498. 17, 358. 4, 534. 1,125.00 40.00 437, 853. 04 . I j Bills payable I Liabilities other than those above i stated : Total. Total. 591, 552.98 Union National Bank, Muskegon. M. "WILSON, President. Loans and discounts i Overdrafts ! U. S. bonds to secure circulation... I TJ. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds ! Stocks, securities, etc j ,Bank'ghouse,fnrniture,andfixtures' Other real estate and mortg's owned D u e from other national b a n k s i •Due from State banka and bankers.! D u e from approved reserve a g e n t s . I Checks and other cash items | E x c h a n g e s for clearing house I Bills of other national b a n k s F r a c t i o n a l currency,nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit Redemption fund w i t h T r e a s . U . S . | D u e from T r e a s u r e r U. S Total. No. 4125. W M . B. M C L A U G H L I N , Cashier. $175, 564. 74 | Capital stock paid in • $100, 000.00 2,552.55 |25,000.00 | \ Surplus fund j 7, 500.00 I j Undivided profits, less c u r r e n t ! jj expenses and taxes paid 2,051.50 j j! National-bank notes o u t s t a n d i n g . | 20, 940. 00 17,378. 93 !; State-bank notes o u t s t a n d i n g !. 3,300.00 ij \\ Due to other national b a n k s i 9,195.48 2, 016. 38 j | D u e to State b a n k s a n d b a n k e r s iI 8, 214. 68 j! Dividends unpaid 2, 024.42 ! | j j I n d i v i d u a l deposits 9,964.00,1 j United States deposits 1,036.77 1 Deposits ofU.S.disbursing officers. j 1 14,994.15 j | I Notes and bills rediscounted i Bills payable i 1,125.00 1 1 Liabilities other than those above j stated I. 263, 171.62 i i Total. 115,463. 97 , 8,020.67 263,171.62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 509 MICHIGAN, First National Bank, Negaunee. No. 3717. A. MAITLAND, President. T. C. YATES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums o n U S . bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned!. Due from other national banks !. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total . $257,939.89 Capital stock paid in ! 228. 36 I 12,500.00 ! Surplus fund j Undivided profits, less current j expenses and taxes paid \ National-bank notes outstanding, j 9, 748. 76 State-bank notes outstanding j 1,350.00 Due to other national banks | Due to State banks and bankers..! 1 003.94 33,191.09 Dividends unpaid 133. 25 Individual deposits | "i, 666.66 United States deposits \. 95.68 Deposits of U. S.disbursing officers -1. 15,765. 00 |. 3, 495. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 337, 013. 47 $50, 000. 00 27, 500. 00 2, 243. 67 10,850.03 375.34 246, 044. 46 337, 013.47 Total First National Bank, Niles. No. 1761. W. K. LACEY, President. Loans and discounts I Overdrafts ! U. S. bonds to secure circulation...! U. S. bonds to secure d e p o s i t s . . . . . | TJ. S. bonds on hand ! Premiums on U. S. bonds i Stocks, securities, etc i Bank'ghouse,furniture,and fixture! Other real estate and mortg's owned Due from other national b a n k s . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . CHAS. A. JOHNSON, Cashier. $330,609.78 j Capital stock paid in 1,051.19 25,000.00 Surplus fund Undivided profits, less currentexpenses and taxes paid National-bank notes outstanding 17, 666. 63 State-bank notes outstanding. 9, 909. 64 12, 800. 00 Due to other national banks 676. 05 Due to State banks and bankers. 29, 674. 80 Dividends unpaid 623.72 Individual deposits "i,"575." 00 j United States deposits 163.07 Deposits of U.S.disbursingofficers. 8,417.95 7, 200. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated Total . 446, 492. 83 $100, 000. 00 25, 000.00 5, 663. 76 22, 500. 00 292. 00 273, 037.07 20, 000. 00 446, 492. 83 Citizens' National Bank, Niles. A. G-. GAGE, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit ! Redemption fund with Treas. U. S. | Due from Treasurer U. S Total . No. 1886. $162, 793. 87 590. 08 50, 000.00 0, 000. 23, 500. 15, 500. 13, 404. 408. 00 00 00 68 48 E. F. WOODCOCK, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000. 00 1,612.35 45, 000. 00 Due to other national banks Due to State banks and bankers.. 2,125. 71 376. 67 Dividends unpaid ,.-,-. 65.00 1,031.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 187, 312. 54 138.30 20,261.10 2,000. 00 860.00 298,989. 89 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 510 REPOKT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Ovid. No. 3264. H. A. POTTER, President. HORACE N. KEYS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc -' Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $115, 656. 05 ' 1,279.39 12, 500.00 1, 500. 00 7, 949. 00 700.00 5, 585. 22 53.26 2,483.45 2, 977.00 Capital stock paid i n . $50, 000. 00 S u r p l u s f and U n d i v i d e d profits, less c u r r e n t e x p e n s e s a n d t a x e s paid N a t i o n a l - b a n k notes o u t s t a n d i n g State-bank n o t e s o u t s t a n d i n g 10, uOO.OO D u e to o t h e r n a t i o n a l b a n k s D u e to S t a t e b a n k s a n d b a n k e r s . . 8, 000.00 217.06 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 65, 778. 81 Notes and bills rediscounted Bills pajable ' Liabilities other than those above stated 6, 000.00 Total . 151, 245. «7 151, 245. 87 First National Bank, Paw Paw. H. M. OLNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1521. $181, 739. 80 2,265.10 25,000. 00 2, 000. 00 5,000.00 5,100.00 6,135. 51 20, 000. 00 6, 408. 38 128. 37 315.00 201.94 7,168. 00 3, 000. 00 1,125. 00 E. F. PARKS, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 993. 24 1, 836.32 22, 500.00 316. 00 Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 119, 941. 54 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 265, 587.10 265, 587.10 First National Exchange Bank, Plymouth. B . C. S A F F O R D , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 4649. $99,966. 82 88.17 12, 500. 00 O. A. FRASER, Cashier. Capital stock paid in I $50,000.00 Surplus fund | Undivided profits, less current I ! expenses and taxes paid 1, 375. 00 National-bank notes outstandingState-bank notes outstanding 7,393 "45" Due to other national banks Due to State banks and bankers.. 3, 000.00 2,974.81 10,850.00 7,254.42 || Dividends unpaid. Individual deposits 2, 766.00 United States deposits 51.07 Deposits of U.S.disbursingofficers. 6,137. 75 1, 500. 00 I Notes and bills rediscounted. I Bills payable 562. 50 37.50 Liabilities other than those above stated 139,632.68 Total . 72, 807. 87 339,632.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 511 MICHIGAN. Pontiac National Bank, Pontiac. W M . Gr. HINMAN, No. 3388. President. ALBB LULL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $342, 659. 97 4, 044. 67 25, 000. 00 3, 250. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 19, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 254.27 Individual deposits United States deposits Deposits of U.S.disbursing officers. 301, 440.93 2, 960. 89 22, 500.00 "i 6," 996." 97* 10,628.80 30, 016. 03 499. 68 "453.66 57.67 12, 660. 30 4, 864. 00 1,125.00 100.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 446, 256.09 446, 256. 09 First National Exchange Bank, Port Huron. JAMES GOULDEN, President. No. 4446. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $529, 342. 92 197.50 37, 500. 00 375. 00 10, 755. 00 2, 300. 00 12, 350. 00 10, 601. 84 10,124. 69 104, 832. 89 1,991.82 637. 51 3, 388. 00 82.09 14, 361. 25 8, 086. 00 1, 687. 50 748, 614. 01 H. G. BAENUM, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks I Due to State banks and bankers..j Dividends unpaid ' Individual deposits | United States deposits j. Deposits oi'U.S.disbursingofficers.j. $135,000.00 37, 000. 00 24, 384.15 32, 510. 00 11, 267. 03 508,452. 83 Notes and bills rediscounted. Bills payable Liabilities other than those above ! stated Total. 748, 614.01 First National Bank, Quincy. C. H. WINCHESTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer U. S Total C. L. TRUESDELL, Cashier. No. 2550. $96, 505.10 Capital stock paid in $50,000. 00 4, 239. 24 12, 500.00 Surplus fund 10, 000.00 Undivided profits, less current expenses and taxes paid 10. 284.84 11,250.00 National-bank notes outstanding. State-bank notes outstanding 4, 634. 22 143.86 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1.. , i," 795.'66' United States'deposits Deposits of U .S.disbursing officers. 49.26 4, 040. 80 1, 500. 00 562." 50" 128, 469. 98 46,935.14 Notes and bills rediscounted Bills payable Liabilities other than those above stated w Total 128,469.98 512 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIOAN, First National Bank, Reed City, L. K. PARKHURST, President. No. 4413. J. W. PARKHURST, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds j Stocks-, securities, etc j Bank'g house,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Cnecks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes — U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $104, 877. 20 1,100. 09 12,500. 00 Capital stock paid in 665. 48 9, 000. 00 601.55 5. 394.01 4,100.00 3, 763. 23 Due to other national banks Due to State banks and bankers. Dividends unpaid ! Individual deposits 8,751.00 United States deposits 240.93 j Deposits of U.S. disbursing officers. 10,109.25 9, 438. 00 | Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated -. 171,103. 24 Total . $50, 000. 00 Surplus fund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 3, 005.59 11,25G.00 937. 93 100.00 87, 422,, 66 8,112.87 274.19 171,103. 24 Total . First National Bank, Romeo. M. I. BRABB, President. Total. L. E. BEDELL, Cashier. No. 354. Loans and discounts . Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $134, 583. 60 22.55 25, 000. 00 Capital stock paid in $100,000.00 Surplus fund ' Undivided profits, less current j expenses and taxes paid i National-bank notes outstanding.j State-bank notes outstanding 20,000.00 7, 800. 00 Due to other national batiks 00 Due to State banks and bankers. 00 02 j Dividends unpaid 29 j Individual deposits 919.66 United States deposits 74.51 Deposits of U.S.disbursing officers.. 3, 884. 25 2, 806. 00 Notes and bills rediscounted . Bills payable 1,125. 00 Liabilities other than those above stated 30,000.00 3,727.90 22,500. 00 960. 400. 13, 375. 822. 211,772.22 j I! Total. 55, 544. 32 211,772. 22 Citizens' National Bank, Romeo. E. W. GriDDlNGS, President. S. A. READE, Cashier, No. 2186. Loans and discounts $148,769.70 ! Capital stock paid in I $100,000. 00 Overdrafts ... 205.40 j 20,000. 00 U. S. bonds to secure circulation... 25,000.00 \ Surplus fund U. S. bonds to secure deposits Undivided profits, less current 4,169.80 U. S. bonds on hand expenses and taxes paid 22, 500.00 Premiums on U. S. bonds j National-bank notes outstanding. Stocks, securities, etc \ State-bank notes outstanding Bank'g house, furniture,and fixtures! 9,400.00 Other real estate and mortg's owned! 2, 630. 00 i Due to other national banks 102. 20 g e! D from other national banks. k f th t i l b 1 4 Due 134. 30 j Due to State banks and bankers. Due from State banks and bankers. 3,168. 09 j Dividends unpaid 340.00 Due from approved reserve ageuts. 352. 37 Checks and other cash items Exchanges for clearing house Individual deposits j 52,438. 57 Bills of other national I)anks 3,494. 00 United States deposits iFractional currency, nickels, cents. 31.01 Deposits of U.S.disbursingofficers. Specie 5, 240. 70 Legal-tender notes Notes and bills rediscounted. U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 1,125. 00 Due from Treasurer U.S..Liabilities other than those above j stated i Total . 199,550. 57 Total. 199, 550. 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 513 MICHIGAN, First National Bank, Saginaw. No. 1768. A. W. WRIGHT, President. T. "W. STALKER, Cashier. Resources. Loaus and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits.. IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S Liabilities. $350, 342. 75 1.11 50,000. 00 5,000. 00 Capital stock paid in. 40, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 4,161. 61 465.48 8, 977. 25 43, 550. 00 i, 500. 00 2, 825. 89 1,043.75 103, 893. 32 159. 39 ""5,"770.'6b* 231. 53 27, 500. 60 5, 225. 00 2,250.00 Individual deposits United States deposits Deposits ofU.S.disbursmgofficers. 82.50 358, 506. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 555,743.34 j Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 555, 743. 34 Total. First National Bank of East Saginaw, Saginaw. E. T. JUDD, President. No. 637. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $444,108. 87 1,622.19 25,000.00 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 39, 268. 00 22, 500. 00 20, 000. 00 9, 766. 28 8, 081. 25 33, 656. 67 1,174. 57 5, 424.14 1, 485. 00 25.56 11,435.30 14,181. 00 1,125. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers. Notes and bills rediscounted. Bills payable 52, 601. 89 262, 715. 94 40,000. 00 Liabilities other than those above stated 577, 085.83 Total.. CLARENCE L. JUDD, Cashier. Capital stock paid in. Total . 577, 085.1 Second National Bank, Saginaw. G. W. MORLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total CUR, http://fraser.stlouisfed.org/ PT 2 - -33 Federal Reserve Bank of St. Louis No. 1918. , 061, 437. 61 1, 777. 96 150, 000. 00 Gr. B. MORLEY, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 13,718.75 ! National-bank notes outstanding. State-bank notes outstanding 150,000.00 "i2,"666.'66'|| 1, 444. 32 26, 769. 81 74, 064. 52 11, 372. 38 8,458. 57 2, 392. 00 181. 68 47,196. 68 8, 705. 00 6, 750. 00 1, 426, 269. 28 Due to other national banks Due to State banks and bankers. 59, 512. 61 135, 000.00 9, 927. C9 70,534.12 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 851, 294. 86 Notes and bills redisconnted. Bills payable Liabilities other than those above stated Total. 1, 426, 269.28 514 REPORT OF THE COMPTROLLER OF THE CURRENCY. IICHIOAIV. Commercial National Bank, Saginaw. DANIEL HARDIN, President. No. 3911. M. 0. ROBINSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U S bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,ancl fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $365, 887. 43 2,737.66 100, 000. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 12, 500. 00 National-bank notes outstanding. 10, 000. 00 State-bank notes outstanding 14, 000. 00 Due to other national banks Due to State banks and bankers... 18, 663. 24 2, 627. 58 1,115. 00 111. 55 13,274. 80 6, 550. 00 Dividends unpaid 50, 000. 00 5,149. 32 88, 995. 00 2,100.16 20, 341. 71 75.00 Individual deposits United States deposits Deposits of U.S.disbursing officers.. 285, 306. 07 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated Total 551, 967. 26 Total 531,967.20 Home National Bank of East Saginaw, Saginaw. "W. R. BURT, President. No. 2761. Loans and discounts. Overdrafts U. S. bonds to secure circulation... "U.S. bonds to secu re deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'ghouse,furniture,andfixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Thanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S $200, 000. 00 I Due to other national banks 206. 81 6, 577. 94 Due to State banks and bankers. 126, 039. 50 [ Dividends unpaid 389. 87 2, 638. 28 Individual deposits 1,605. 00 U nited States deposits 288. 31 Deposits of U.S.disbursingofficers. 26,003. 80 18, 045. 00 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those abov stated 12, 983. 92 12,527.93 1,063,001.84 Total. A. W. FIELD, Cashier. $491,996.54 I Capital stock paid in., I ],710.79 il 200, 000. 00 Surplus fund.. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 175, 500. 00 Total.. 140, 000. 00 20, 843. 61 180, 000.00 493, 646. 38 1,060,003.84 First National Bank, Saint Ignace. O. W. JOHNSON, President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds \ Stocks, securities, etc j Bank'ghonse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . No. 3886. E. H. HOTCHKISS, Cashier. $192, 366. 20 Capital stock paid in. 201.44 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 500.00 6, 000. 00 3, 800. 00 Due to other national banks 143. 27 17,170.13 528. 28 3,870. 00 159. 35 11,301.25 2, 000. 00 562.50 Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 163,894. 99 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 251,102. 42 Total. 251,102. 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 515 MICHIOAK. Saint Johns National Bank, Saint Johns. JNO. HICKS, President. No. 3378. P. E. WALSWORTH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cashitems. Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S Total Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers., Dividends unpaid 20,000.00 6, 269. 61 22, 500. 00 10, 516. 50 , Individual deposits United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted Bills payable 156, 710. 74 , Liabilities other than those above stated Total 315,996.85 315, 996. 85 First National Bank, Saint Louis. R. M. STEEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3239. $111,324. 61 3.00 12, 500. 00 A. B. DARRAGH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,625. 00 696. 73 1, 700. 00 228.24 Due to other national banks 6,468. 02 Due to State banks and bankers. 4, 755. 02 Dividends unpaid 99.08 Individual deposits 92.00 United States deposits 347.69 Deposits of U.S.disbursing officers. 6, 271. 00 5,250. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated ' 151,922.89 Total. $50, 000. 00 3, 700. 00 3, 297. 76 11,250.00 83, 675.13 151,922.89 First National Bank, Sault de Sainte Marie. OTTO FOWLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3547. EDWARD H. MEAD, Cashier. $119,506.56 Capital stock paid in. 89.73 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 21, 050. 00 State-bank notes outstanding 46, 000. 00 10,480.17 Due to other national banks j. Due to State banks and bankers.. j 50.00 101, 205. 62 Dividends unpaid 1, 947. 71 Individual deposits 1,141. 00 United States deposits 369. 82 Deposits of TJ.S.disbursing officers . 20, 532. 70 13, 500. 00 Notes and bills rediscounted . Bills payable 562. 50 Liabilities other than those above stated , 350,435. 81 Total. $50, 000. 00 25, 000.00 2, 035. 75 11, 250. 00 1, 917. 57 260,155.75 76.74 350,435. 81 516 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Sault Ste. Marie National Bank, Sault de Sainte Marie. T. "W. BURDICK, President. No. 3747. — — , Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand $134, 544. 48 1,281.44 25,000.00 Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S 1, 742. 92 58, 000. 00 1, 533. 20 3, 213. 42 1, 543. 42 10,333 17 1,443.59 2, 325. 00 137. 47 5, 533.50 5, 809. 00 Capital stock paid in Due to other national banks !. Due to State banks and bankers..] Dividends unpaid $100, 000. 00 10, 0UO. 00 590.38 22, 500. 00 1, 563. 53 j I n d i v i d u a l deposits United States deposits j Deposits of U.S.disbursingofficers.j. Notes and bills rediscounted Bills payable ' 103, 520. 01 15, 385. 69 1,125. 00 Liabilities other t h a n those above I stated 253, 565. 61 Total. \ Surplus fund I Undivided profits, less current j expenses and taxes paid i National-bank notes outstanding.j State-bank notes outstanding !- Total . I 253,565.61 National Bank, Sturgis. LEVANT E. W H I T E , President. Loans and discounts ! Overdrafts U. S. bonds t o secure circulation... U. S bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due fi oru other national b a n k s . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and otner cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S *. Total ISTo. 3276. H. L. ANTHONY, Cashier. $108, 925. 71 i I Capital stock paid in 1,510.17 |! 16, 500. 00 Surplus fund Undivided profits, less current j expenses and taxes paid 2, 000. 00 1 National-bank notes outstanding. 10, 842. 97 State-bank notes outstanding. 11,701.62 21,315.00 Due to other national banks j Due to State banks and bankers 8, 784. 94. 67. 7,521. 2,176. $65, 000. 00 16, 620. 00 2, 967.16 14, 850. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 92, 744. 82 Notes and bills rediscounted. Bills payable 742.50 Liabilities other than those above stated Total . 192,181. 192,181. £ First National Bank, Three Rivers. C. L. BLOOD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of ot her national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 600. $108,617.34 2, 663. 54 50, 000. 00 8, 385. 35 9, 893. 00 17,559.48 1,978.98 25, 290. 71 83. 00 C. H. BLOOD, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding j 20, 000. 00 81.72 45, 0U0. 00 Due to other national banks Due to State banks and bankers Dividends unpaid j Individual deposits j 27.94 United States deposits. 9, 334. 95 ! Deposits of U S.disbursing officers.! 3,345.00 ; Notes and bills rediscounted Bills payable 2.250.00 Liabilities other than those above 124, 347. 57 stated 239,429.29 j Total . 239,429. 29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 517 MICHIGAN, Three Rivers National Bank, Three Rivers. W. G. CALDWELL, President. No. 3133. L. T. WILCOX, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $100. 277.36 2, 516. 69 16,000.00 2, 000. 00 2, 500. 00 3,704.19 232. 50 3,085.91 6,445. 26 789. 59 91.01 7,173. 00 1,815.00 720. 00 Capital stock paid in $64,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding. 13, 000. 00 3, 055. 89 14,400.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 52, 894. 62 Notes and bills rediscounted Bills payable Liabilities other than r those aftove s ta ted \ Total . 147, 350. 51 147, 350.51 First National Bank, Traverse City. JNO. T. BEADLE, President. C. A. HAMMOND, Cashier. No. 3325. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. b<»nds to secure deposits IJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U". S. Due from Treasurer TJ. S Total. $143,166. 44 230. 08 12, 500. 00 1, 200. 00 100. 00 15, 454. 00 278. 45 40, 618. 23 25, 215.03 269. 99 "2," 702.'00 235. 45 10, 431. 55 6, 400. 00 562. 50 j Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000- 00 9, 000-00 3,176. 72 11,250.00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 185, 937. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 259,363.72 259,363. 72 Farmers' National Bank, Union City. T. B. BUELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. • No. 2372. $107, 252. 84 6,201.30 50, 000. 00 767.50 7, 000. 00 7,400.00 1,175. 00 10,446.17 8, 263. 87 3, 678. 02 ' 1,853.00 .13 5, 338. 95 5, 000. 00 2, 250. 00 216,620.78 H. T. CARPENTER, Cashier* Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits. United States deposits Deposits of U. S.disbursing officers. j $50,000. 00 10, 000. 00 8, 439. 68 45, 000. 00 240.00 102, 947.10 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 216,626. 78 518 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Union City National Bank, Union City. EZRA BOSTWICK, President. No. 1826. J . W. MCCAUSEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortag's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $170, 604. 78 4, 327. 29 12, 500. 00 1, 250. 00 1,500.00 8, 500. 00 3, 526. 25 13, 735. 63 1, 981. 93 328. 00 76.00 8,470. 75 3, 042.00 562. 50 Capital stock paid in $50, 000. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid t National-bank notes outstanding-1 State-bank notes outstanding. ' I Due to other national banks Due to State banks and bankers..L Dividends unpaid i. Individual deposits j United States deposits L Deposits of U.S.disbursingofficers. |. 15,376.77 11,250,00 143, 778.36 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 230,405.13 230,405.13 First National Bank, Vassar. FRANK NORTH, Cashier. No. 2987/ D. G. SLAFTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $87, 299. 82 295.53 12, 500.00 850. 00 2,500. 00 7, 088. 45 579.16 5, 926.71 830.29 $50, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits 57, 091.19 " **840". bb" United States deposits 39.16 3,607.10 2, 575. 00 562.50 2, 800. 00 4, 352. 53 11, 250. 00 Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 125,493. 72 Total . 125, 493. 72 First National Bank, White Pigeon. S. A. JONES, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on han d Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Dne from State banks and banker. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendar notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer IT. S. Total. No. 4527. « $104, 911.02 2,174. 89 45, 000. 00 3,793. 75 800. 00 2, 500. 00 3,486.57 7.27 4,946. 94 600. 27 2, 312. 00 22.86 30.00 5,000.00 2, 010.00 177,595. 57 T. E. CLAPP, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 1,179. 84 40, 200. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 71, 215. 73 5, 000. 00 177, 595.57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 519 M I C H I O A TV. First National Bank, Ypsilanti. D. L. QUIRK, President. No. 155. GEORGE C. BRADLEY, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouseji'urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State bank sand bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . Liabilities. 267, 075. 27 387.51 25.000.00 63,612.42 7, 500. 00 5,233.92 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. I State-bank notes outstanding j Due to other national banks Due to State banks and bankers. 420. 24 66, 634. 23 Dividends unpaid. 5, 480. 04 50.00 Individual deposits I 85.00 United States deposits I. 234. 70 Deposits of U.S.disbursing officers. . 29, 664. 70 11,177.00 Notes and bills rediscounted. Bills payable 1 125.00 Liabilities other than those above stated 483, 680. 03 Total. 312, 499. 97 483, 680.03 520 REPORT OF THE COMPTROLLER OF THE CURRENCY. M I N N E S O T A. First National Bank, Albert Lea. AUGUST PAULSON, Cashier. No. 3560. HARRY JONES, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S.j Due from Treasurer TJ. S i $193,362. 58 Capital stock paid i n . 3,067.96 I 12,500.00 I Surplus fund Undivided profits, less current expenses and taxes paid.National-bank notes outstanding. 102.00 State bank notes outstanding 9,561.15 Due to other national banks 29,246. 36 10 000.00 I Due to State banks and bankers.. 15,382.74 408.89 Dividends nnpaid 155. 66 | Individual deposits 74.99 16.545.50 ! United States deposits 1, 383. 00 j Deposits ofbills rediscounted. Notes and U. S.disbursing ofticers. Bills payable 562 50 Liabilities other than those above stated , 292, 352.67 Total . $50,000. 00 10, 000.00 8, 339. 68 11, 250. 00 24.00 197, 688. 99 15,000. 00 292, 352. 67 Total . Albert Lea National Bank, Albert Lea. No. 4702. H. D. BROWN, President. Loans and discounts Overdrafts U. S bonds t o secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture^andfixtures Other Veal estate andmortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalT)anks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $222. 707. 29 396. 78 12, 500. 00 1,187. 50 6, 864. 67 8, 902. 44 15,682.16 925. 23 49, 640. 97 330. 96 "* 1*480. 00 34.88 21,011.45 2, 510. 00 $50, 000.00 3, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 5, 049, 09 11,250.00 Due to other national banks Due to State banks and b a n k e r s . . 4, 342. 93 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 271, 094. 81 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 344, 736. 83 Total . C. B. KELLAR, Cashier. Capital stock paid in 344,736.83 Total . First National Bank, Alexandria. F. B. VAN HOESEN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . No. 2995. $149, 037. 27 369.74 15 000. 00 5, 514. 45 1, 200. 00 2, 000. 00 7,687. 09 1,209.10 2, 825. 00 104.43 15, 366. 75 G. B. WARD, Cashier. Capital stock paid i n . Surplusfand Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 12, 000. 00 7, 250.37 13, 500. 00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid Individ;ial deposits United States deposits Deposits of U.S.disbursing officers. 12.00 108, 226.46 Notes and bills rediscounted Bills payable Liabilities other than those above stated 200, £ Total . 200,988.83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 521 MINNESOTA. Anoka National Bank, Anoka. No. 3000. G. S. GUDERIAN, President. L. J . GREENWALD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums en U.S. bonds Stocks, securities, etc Ban k' gh ou se, furniture, an d fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $192, 287. 26 2, 056. 02 12, 500. 00 1, 000. 00 22, 000. 00 8, 384. 41 18, 596. 27 593. 83 156. 90 7, 978. 85 4, 232. 00 562. 50 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000,00 891. 64 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing, fficers. 198, 206.40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 270, 348. 04 270, 348. 04 Total .. First National Bank, Appleton. No. 4831. WILLIAM AUSTIN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State t a u k s and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $74, 857. 96 478.95 12, 500. 00 542. 61 7,190.17 2, 550. 68 4, 817. 76 6,711.81 96.85 - 4.03 6, 035. 00 4, 000. 00 562. 50 120, 348. 32 L. B. TADSEN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding 5, 500. 00 11, 250. 00 Due to other national banks.. Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 53, 598. 32 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 120, 348. 32 First National Bank, Austin. O. W. SHAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for. clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1690. Capital stock paid in. $375, 405. 07 1,891.99 12, 500. 00 34, 930. 00 10, 000. 00 6, 083. 38 5, 553. 70 4, 869. 25 61,836.88 2, 081. 84 "i," 320.66' 127. 47 44,761.50 8, 507. 00 562. 50 570, 430. 58 N. F. BANFIELD, Cashier. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 69, 802.16 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 429, 378.42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 570, 430. 58 522 REPORT OF THE COMPTROLLER OF THE CURRENCY, MINNESOTA. Austin National Bank, Austin. CHARLES H. DAVIDSON, President. No. 4131. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency,nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total J. L. MITCHELL, Cornier. Liabilities. Resources. $107,485.02 2,957. 23 12, 500. 00 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid i,*9i2.50 National-bank notes outstanding. 5,654. 56 State-bank notes outstanding 1, 616. 69 1,150. 00. Due to other national banks Due to State banks and bankers.. 37.48 9, 031. 80 1, 582. 34 351.42 6,113. 75 2,000. 00 562. 50 152,955.29 Dividends unpaid $50,000.00 2, 500. 00 469. 96 11, 250.00 24.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 88, 711.33 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 152, 955. 29 Citizens' National Bank, Austin. CHARLES L. WEST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from othei national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . JNO. W. SCOTT, Cashier. No. 4847. $126,120.12 $50, 000.00 Capital stock paid in. 2,071.99 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 867.19 11, 250. 00 562. 50 National-bank notes outstanding. State-bank notes outstanding 16,197. 57 Due to other national banks 3,102. 32 Due to State banks and bankers. 1,298. 38 8,571.43 Dividends unpaid 4,151. 22 Individual deposits 129,109. 25 4, 200. 00 United States deposits 158. 98 Deposits of U.S.disbursingofficers 9, 269.40 6,500. 00 Notes and bills rediscounted Bills payable 562. 50 195, 266.41 Liabilities other than those above | stated Total. 195, 266. 41 First National Bank, Barnesville. FRED. E. KENASTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalTbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4959. CHARLES R. OLIVER. Cashier. Capital stock paid in. 587.50 •i,*323.62 6,910. 78 1, 350. 00 19.21 6, 070.00 555.00 116, 333.94 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 250. 00 1, 564. 42 11,100. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers 53,419.52 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 116,333.94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 523 M H I E SOT A. First National Bank, Brainerd. No. 2590. A. F. FERRIS, President. % D. L A BAR, Cashier. Resources. Loans and discounts ?.. Overdrafts U.S. bonds to secure circulation U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks 1 Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item: Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents. I Specie j Legal-tender notes j TJ. S. certificates of deposit j Redemption fund with Treas. U. S.j Due from Treasurer TJ. S Total . Liabilities. $169,161. 35 1,506.48 12, 500. 00 1, 400. 00 41, 000. 00 4, 000. 00 50,005.32 1,668.49 1,030.00 80.93 15, 840.25 6, 336. 00 562. 50 1, 000.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 30, 000. 00 2, 485. 68 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits: United States deposits Deposits of U.S.disbursing officers. 212,075,47 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 306, 091.12 306, 091.12 First National Bank, Breckenridge. F R E D . E. KENASTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4644. $130, 641. 54 429. 93 12, 500. 00 529. 90 10, 463. 88 3, 300. 30 33, 627.13 11.91 600.'0*0 89.47 5,000. 00 2, 500. 00 562.50 HOWARD DYKMAN, Cashier. Capital stock paid in. $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 20, 000. 00 12,101.77 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers. 106, 904. 79 Notes and bills rediscounted. Bills payable Liabilitie other than those above stated.. Total . 200, 256. 56 200, 256.56 First National Bank, Crookston. GrEO. Q. ERSKINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2567. $199, 421.15 814.32 25, 000. 00 J. W. WHEELER, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . 14,015.72 I State-bank notes outstanding 13, 500. 00 23, 972. 02 Due to other national banks Due t o State banks and b a n k e r s . 6. 545. 75 33, 633. 41 Dividends unpaid 4. 920.75 } Individual deposits 478. 00 I United States deposits 119.76 | Deposits of U.S.disbursingofficers.! 10,991.38 1, 000. 00 i Notes and bills rediscounted ! Bills payable 1,125. 00 Liabilities other t h a n those above 5100, 000. 00 15, 500. 00 84.61 22, 000. 00 174,840.68 23, 111. 97 stated Total. 335, 537. 26 524 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. Merchants' National Bank, Crookston. JOHN CEOMB, President. No. 3262. A. D. STEPHENS, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts i TJ. S. bonds to secure circulation...' U. S. bonds to secure deposits ! U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. j Due from Treasurer U.S $156,460. 81 Capital stock paid m i 1,375.32 19, 000.00 I Surplus fund I Undivided profits, less current I j expenses and taxes paid 600.00 ; National-bank notes outstanding.! 1,500.00 State bank notes outstanding..."..! 19, 000. 00 6,000. 00 Due to other national banks j 1,575.00 Due to State banks and bankers.. i 7, 695. 52 17, 882.82 Dividends unpaid 284.13 ' Individual deposits "i, 050.66 j j United States deposits 190.05 jj Deposits of U.S.disbursingofficers. 5,435.00 4, 500. 00! Notes and bills rediscounted | ! Bills payable 715.00 || Liabilities other than those above stated 243, 263.65 Total. Total . $75, 000.00 3,000.00 1. 951. 08 17.100.00 129,212.57 17, 000. 00 243, 263. 65 First National Bank of Detroit, Detroit City. H. H. KENKEL, President. No. 3426. Total . W. J. BETTINGBN, Cashier. $93, 068. 79 i Capital stock paid in I 1,041.43 12, 500. 00 ! Surplus fund j ; Undivided profits, less current j | expenses and taxes paid j j! National-bank notes outstanding.| 26, 925. 25 il State-bank notes outstanding !. 2, 367.92 6,120. 00 Due to other national banks 3,848.89 i Due to State banks and bankers. 6,611.97 Dividends unpaid 357.65 I Individual deposits United States deposits 314.38 J Deposits of U.S. disbursing officers . ! 3,922.45 1,877.00 Notes and bills rediscounted. Bills payable 562.50 j Liabilities other than those above stated : $50, 000. 00 159, 518. 23 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S 159,518.23 Total . 12, 500. 00 2,326.72 11, 250. 00 First National Bank, Duluth. L. MENDENHALL, President. JOHN H. DIGHT, Cashier. No. 3626. | $1,000,000.00 $2, 292, 514. 81 Capital stock paid in Loans and discounts 5, 732. 34 Overdrafts 50, 000. 00 Surplus fund 200, 000. 00 U. S. bonds to secure circulation... j 50, 000. 00 Undivided profits, less current U. S. bonds to secure deposits 40, 275. 57 U. S. bonds on hand expenses and taxes paid 45, 000. 00 14, 000. 00 National-bank notes outstanding, Premiums on U. S. bonds 61,000.00 State-bank notes outstanding Stocks, securities, etc 200, 000. 00 Bank'ghouse,furniture,andfixtures Other real estate an d mortg' s o wned Due to other national "banks 155, 679. 82 111.784.81 Due from other national banks 171, 733. 81 49,683.24 Due to State banks and bankers.. Due from State banks and bankers. 405, 808. 48 Due from approved reserve agents. 334. 50 Checks and other cash items 538. 52 Dividends unpaid Exchanges for clearing house 53, 449.10 1, 568, 467.14 Bills of other national oanks 6, 305. 00 Individual deposits 1,181.09 United States deposits Fractional currency, nickels, cents. 27, 677. 34 169, 346. 70 Depositsof U.S.disbursing officers. Specie 17,189. 01 7, 764. 00 Legal-tender notes Notes and bills rediscounted 255,000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Bills payable Due from Treasurer U. S Liabilities other than those above stated Total . 3,481,358.09 Total . 3,481,358.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 525 M INNE SOTA. Marine National Bank, Duluth. No. 4421. F. E. SEARLE, President. J . P. JOHNSON, Cashier. Resources. Liabilities. Loans and discounts ( $416, 604. 94 I Capital stock paid in. Overdrafts I 7, 425. 82 U. S. bonds to secure circulation... • 50, 000. 00 Surplus fund II. S. bonds to secure deposits Undivided profits, less current U. S. bonds onhahd i... expenses and taxes paid 6,000.00 || National-bank notes outstanding. Premium s on U.S. bonds 59,506.18 | State-back notes outstanding Stocks, securities, etc 7,500.00 I! Bank'g house,furniture,andfixtures 12,736. 19 I! Dae to other national banks Other realestate and mortg's owned I 7,779.04 |l Due to State banks and bankers. J Due from other national banks 968.81 I! Due from State banks and bankers. 81,694.92 || Dividends unpaid Due from approved reserve agents. 3,152.98 Checks and other casli items 46,137.19 Individual deposits Exchanges for clearing house 1,500.00 |' United States deposits Bills of other national banks 210. 53 Deposits of U.S.disbursingomcers. IFractional currency, nickels, cents. 44, 322. 50 Specie 2, 027. 00 Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit Bills payable Redemption fund with Treas. U.S. I 2, 250. 00 Liabilities other than those above Due from Treasurer U. S ' stated Total. 749, 816.10 | Total . $200, 000. 00 12, 500. 00 12, 387. 61 45, 000. 00 2,851.19 30. 00 460,484. 94 16, 562.36 749, 816.10 National Bank of Commerce, Duluth. JOHN A. WILLAED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc-. Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . No. 4001. E. TV. MATTER, Cashier. $354, 870. 75 |j Capital stock paid i n . . . j 3, 293.25 50, 000.00 ! Surplus fund ij Undivided profits, less current 'j expenses and taxes paid 500.00 |j National-bank notes outstanding. 451. 50 jl State-bank notes outstanding 000. 00 516. 73 i! Due to other national banks 711.40 831. 79 Due to State banks and bankers.. 976. 57 Dividends unpaid 9, 357. 185. 209. 8, 756. 5, 003. 01 00 58 75 00 2, 250." 66 498, 913. 33 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $200,000.00 2,772.13 45,000.00 224.08 9. 00 207, 673.12 43, 235. 00 498, 913. 33 First National Bank, East Grand Forks. E. K. JACOBI, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits": . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S „ Total. No. 4638. $91,172.32 1,448. 89 12, 500. 00 W. H. PRINGLE, Cashier. Capital stock paid in. -I $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding.. 2,400.00 840.15 14, 477. 33 5, 921. 36 I Due to other national banks i. 2, 930. 31 Due to State banks and bankers.. . 4, 231. 60 19, 849.15 Dividends unpaid < . 5,970. 07 Individual deposits 155.00 United States deposits 312.00 7, 743. 25 Deposits of U.S.disbursingoflicers. 4.500.00 Notes and bills rediscounted Bills payable 562.50 410. 00 j Liabilities other than those above i * stated 173,023.93 | Total. 11, 250. 00 101,327.93 8, 046. 00 173, 023. 93 526 REPORT OF THE COMPTROLLER OF THE CURRENCY. MHMESOTA. First National Bank, Elbow Lake. • No. 4617. W. K. BAENES, President. W. E. LANDEENE, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts. IT. S. bonds to secure circulation... U. S. bonds to secure deposits. U. S. bonds on hand j Premiums on IT. S. bondsStocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateand mortg's owned Due from other national banks . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. •Due from Treasurer IT, S $50, 227. 04 Capital stock paid in $50,000.00 12, 500.00 j Surplusfund j Undivided profits, less current | expenses and taxes paid ! National-banknotes outstanding.! 403. 79 State-bank notes outstanding 7, 735.87 Due to other national banks 774.67 j Due to State banks and bankers. 1,365.11 i 4,014.88 I Dividends unpaid. | Individual deposits I 770.00 i United States deposits ! 27.26 ! Deposits of U.S.disbursing officers, j 2,845,10 905. 00 Notes and bills rediscounted j Bills payable j 857.50 Liabilities other than those above ! 900. 00 11,245.00 20, 281, 22 stated Total Total . 82,426.22 First National Bank, Fairmont. No. 4936. CHAS. H. LITTLE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. •I F R E D K. PORTER, Cashier. $91,565.61 ii Capital stock paid in. 5,634.91 Ii 12,500.00 Ii Surplusfund Undivided profits, less current .! expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 16,795.43 I Due to other national banks ! Due to State banks and bankers. 9,861.87 I Dividends unpaid 1, 540. 81 Individual deposits " "555.06 United States deposits 2.80 Deposits of U.S.disbursing officers. 2,613.05 1, 612. 00 Notes and bills rediscounted. Bills payable 551. 00 Liabilities other than those above stated $50, 000. 00 143,232.48 143, 232. 48 1, 000. 00 2, 864. 27 11, 020. 00 78, 348. 21 Total First National Bank, Faribault. T. B. CLEMENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1686. $305, 301.98 2,195. 32 50,000. 00 3, 000. 00 31, 200. 00 17,500. 00 4,100. 00 2, 976, 37 3, 225. 02 57, 315. 26 46.95 CHARLES M. WHITNEY, Cashier. Capital stock paid in j $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ! 43, 743. 55 45, 000. 00 10, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 565.00 United States deposits 407. 06 Deposits of U.S.dis bursing officers. 18, 970. 85 9, 814. 00 Notes and bills rediscounted. Bills payable 360, 334. 26 Liabilities other than those above stated 509, 077.81 Total . 509, 077.81 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 527 ITHN N E S O T A , Citizens' National Bank, Paribault. HUDSON WILSON, President. No. 1863. GEO. PEASE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg'sowned Due from other national banks Due from State banks and bankers Due-from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $266,959. 36 485. ] 5 50, 000. 00 $80, 000. 00 16, 000. 00 I expenses and taxes paid ! National bank notes outstanding 54, 794.18 I State-bank notes outstanding 38,510.02 45, 000. 00 Due to other national banks j Due to State banks and bankers..j Dividends unpaid. 1, 639. 79 18, 900. 00 12, 000. 00 1,021.40 10.772.34 91, 085. 26 2, 850. 02 1, 043. 00 73.50 29,931.75 2, 000. 00 1, 790.00 543,705.96 Total. Capital stock paid in. Surplus fund I Undivided profits, less current Individual deposits United States deposits .• DepositsofU.S.disbursingofficers. 362, 546. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 543, 705. 96 First National Bank, Fergus Falls. CHAS.D.WRIGHT, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2030. $188,622.12 2, 378.19 25, 000. 00 3, 000. 00 22, 292. 44 8, 246. 37 46, 930.90 3, 347. 38 5100, 000. 00 1, 900. 00 1, 910. 68 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 377.18 Individual deposits..; ""4" 295.'66" United States deposits '. 212. 84 Deposits of U.S.disbursing officers. 191, 578. 38 12, 276.00 1,125.00 540.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 318, 266. 24 Total. E. A . J E W E T T , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total } 318,266.24 Citizens' National Bank, Fergus Falls. J . AY. MASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit < Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2934. $117,467.15 400. 61 18,800. 00 C. C. W A E F I E L D , Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 824.07 2, 710. 00 767.89 34,508. 63 253.52 1,186. 00 79.58 10, 880. 00 2, 000. 00 Cashier. $75, 000. 00 623. 36 16,920.00 I Due to other national banks | Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursing officers. 100,180. 09 Notes and bills rediscounted 846.66" Bills payable 192, 723.45 Liabilities other than those above - stated .• Total. 192, 723.45 528 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. Fergus Falls National Bank, Fergus Falls. A. BRANDENBURG, President. No. 2648. F. J. EVANS, Cashier. Resources. Loans and discounts \ Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits I. TJ. S. bonds on hand !. Premiums on U. S.bonds j. Stocks, securities, etc ! Bankg house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks s Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $135,176.40 1. 189. 32 17,500.00 402. 87 21,130. 24 1,178.08 722.22 $70, 000.00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 7, 495.16 i Dividends unpaid 1,325.38 i| '\ Individual deposits 600.00 ii United States deposits 26.32 j Depositsof U.S.disbursingofficers. 11, 895. 00 ! 1, 045. 00 ! Notes and bills rediscounted. Bills payable 787. 50 Liabilities other than those above stated Total. 200,473.49 8, 485. 07 15, 750. 00 106, 238.42 200, 473. 49 First National Bank, Glencoe. C. H. DAVIS, President. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds ©n hand j Premiums on U. S. bonds Stocks, securities, etc j Bank'g house,furniture, andfixturesI Other real estate andmortg'sownedl Due from other national banks Due from State banks and bankers. e Due from approved reserve agents. C e s and other cash items e Checks a Exchanges f clearing h for house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes < U.\S. certificates of deposit | Redemption fund with Treas. U. S.l Due from Treasurer U. S Total. M. THOENY, Cashier. No. 2571. $117,497.87 Capital stock paid in. $50,000. 00 79. 52 12, 500. 00 Surplus fund 3, 670. 00 Undivided profits, less current expenses and taxes paid 1, 496. 59 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding 1,732.46 | 2,960.00 i Due to other national banks Due to State banks and bankers. 2,558.74 : 12,279.68 i Dividends unpaid 98.58 ! Individual deposits. 95, 387. 34 70.00 United States deposits 26.23 Depositsof U. S.disbursingofficers. 9,818.35 1,620.00 Notes and bills rediscounted. Bills payable * 562. 5o" Liabilities other than those above stated Total. 161, 803. 93 161, 803. 93 First National Bank, Hastings. GEO. W. GARDNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total. No. 496. $244, 868. 00 690.13 20, 000.00 JOHN HEINEN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current 20, 000. 00 I expenses and taxes paid 5,612.50 I National-bank notes outstanding. 26,000.00 | State-bank notes outstanding 6,734.48 ! 1,911.84 i Due to other national banks Due to State banks and bankers. 1,611.03 70, 355.89 Dividends unpaid 889.36 Individual deposits 935.00 United States deposits 254.22 Depositsof U.S.disbursingofficers. 17, 620.00 5,000. 00 Notes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above stated 423, 382. 45 Total. $75, 000. 00 15, 000. 00 20,208.51 18, 000. 00 295,173.94 423, 382. 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 529 MINNESOTA. National Bank, Kasson. T. S. SLINGERLAND, President. No. 4969. E. E. FAIRCHILD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $171, 519.12 167.13 12,500.00 Capital stock paid in 1, 765. 62 4, 800. 00 Due to other national banks i Due to State banks and bankers..i 8, 808. 27 3, 518. 92 8, 522. 09 106. 34 6,485.73 11, 240. 00 1, 490. 72 1, 654.34 i Dividends unpaid I. ! Individual deposits | 2, 644. 00 j United States deposits :, 115.05 [ DepositsofU.S.disbursingoflicers.! 15, 551. 55 2, 643. 00 162,082.30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 232,953.09 Total . $50, 000.00 Surplus fund j Undivided profits, less current i expenses and taxes paid '. National-bank notes outstanding! State-bank notes outstanding ! 232, 953. 09 Total. First National Bank, Lake Benton. CHAS. J . WEISER, President. No. 4509. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. JOHN S. TUCKEB, Cashier. $86, 588.65 j| Capital stock paid i 'i 12,500.00 | Surplus fund Undivided profits, less current expenses and taxes paid 1,250.00 ; National-bank notes outstanding. 1,500.00 I State-bank notes outstanding 10, 764. 57 3. 689. 59 Due to other national banks 2,194. 05 Due to State banks and bankers. 11, 918.63 Dividends unpaid 1, 023. 60 Individual deposits | 100. 00 United States deposits |. 61.04 DepositsofU.S.disbursingofficers.;. 4,966.45 1, 095. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 138,214.08 Total . ;50, ooo. oo 3, 200. 00 855. 06 11, 250. 00 3, 857. 42 5, 474. 27 63, 577. 33 138, 214.08 First National Bank, Little Falls. A. D. DAVIDSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ls o t t s Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis 34 A. R. DAVIDSON, Cashier. No. 4034. '] $50, 000. 00 $169, 457. 07 Capital stock paid in 686. 44 12, 500. 00 Surplus fund 10, 000.00 Undivided profits, less current 22, 593.13 expenses and taxes paid 11,250.00 1,625. 00 National-bank notes outstanding 1, 952. 41 State-bank notes outstanding 3, 000. 00 4, 814.24 Due to other national banks 5, 000. 00 985. 52 Due to State banks and bankers.. 9, 266. 52 , 251. 57 Dividends unpaid 100,448.15 717. 00 Individual deposits 105.41 United States deposits i 5, 281. 20 3, 500. 00 Depositsof U.S. disbursing officers. J Notes and bills rediscounted j 20, 713. 60 562.50 Bills payable j 5, 000.00 300. 00 Liabilities other than those above \ ! stated 220, 004.88 220,004.88 Total. 530 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. German-American National Bank, Little Falls. HAROLD THORSON, President. No. 4655. Resources. JOHN WETZEL, Cashier. 1 1 Loans and discounts j Overdrafts j U. S. bonds to secure circulation... j TJ. S. bonds to secure deposits ; U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures: Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ' Bills of other national baiiks i Fractional currency, nickels, cents. I Specie | Legal-tender notes j U. S. certificates of deposit I Redemption fund with Treas. TJ. S.! Due from Treasurer U. S \ Total . Liabilities. $91, 212. 38 Capital stock paid i n . 129. 90 12, 500. 00 ! Surplus fund $50, 000. 00 4, 000. 00 I Undivided profits, less current i expenses and taxes paid 1, 625. 00 I National-bank notes o u t s t a n d i n g . 2, 722. 37 i State-bank notes o u t s t a n d i n g 1, 90S. -".5 11,250.00 11, 942. 03 1,127.54 18,244.09 514.10 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 2, 0 JO. 00 Dividends unpaid i Individual deposits ! 350. 00 l United States deposits ! 73.75 Deposits of U .S.disbursing officers. I 4, 652. 90 1, 003. 00 • Notes and bills rediscounted ' 562. 50 Liabilities other than those above stated 9 000. C O Total 146, 659. 56 68, 501. 21 116, 059. 56 First National Bank, Luverne. W M . JACOBSEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds onhand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S A. D. LA DUE, Cashier. No. 3428. $137,486.09 f Capital stock paid in $50, 000. 00 4,402.09 I 12,500.00 I Surplus fund 10, 000.00 fund Undivided profits, less current 19, 887. 29 expenses and taxes paid 1,400.00 National-bank notes outstanding. 10, 950. 00 6,419.87 State-bank notes outstanding 10,005.95 : 7,030.88 Due to other national banks 2,709.11 Duo to State banks and bankers. 5, 225. 03 96.32 27,616.81 : Dividends unpaid 685.11 Individual deposits 121,126. 80 95. 00 United States deposits 82.29 Deposits of U.S.disbursin g offic 6, 399. 20 7,183. 00 Notes and bills rediscounted.. Bills payable 5, 000. 00 562.50 I .'; Liabilities other than those above stated ?, 485.10 224,674.22 ! Total . 224, 674. 22 Total . First National Bank, Mankato. JOHN A. WILLARD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urni ture,andfixtures Other real estatoandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total No. 1683. $457,439.90 4, 296.36 37,500. 00 21, 000.00 24, 546.14 2,038.10 2, 369. 95 27,761.70 3, 709.18 395. 00 347. 34 25,971.40 7,800. 00 1, 687. 50 500. 00 617,362.57 GEO. H. CLARK, Cashier. Capital stock paid in ! $150, 000. 00 Surplus fund j Undivided profits, less current I expenses and taxes paid \ National-bank notes outstanding. State-bank notes outstanding 22, 000. 00 14,012. 89 33, 050. 00 Due to other national banks Due to State banks and bankers 17, 394. 51 Dividends unpaid. 12.00 Individual deposits j United States deposits ! Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable j ;. 359, 871. 33 21, 021. 84 Liabilities other than those above j stated Total. 617, 362. 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 531 MINNESOTA. Mankato National Bank, Mankato. JOHN H. RAY, President. No. 3562. JNO. R. THOMAS, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds t o secure circulation-.. U. S. bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and b a n k e r s . Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other n a t i o n a l b a n k s Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . Liabilities. $262, 940. 68 Capital stock paid in ] $100, 000. 00 2, 574. 13 i 25, 000. 00 Surplus fund j 11, 500. 00 Undivided profits, less current I expenses and taxes paid 5, 828. 120 3,100.00 National-bank notes outstanding22, 500.00 750. 00 State-bank notes outstanding J 20, 044. 60 4,013.25 Due to other national banks i 292.58 14, 875. 37 Due to State banks and b a n k e r s . . j . 10, 616. 06 30, 246. 55i! Dividends unpaid J 87.50 1,152.67 jj I 256,193. 32 Individual deposits ! 1, 200. 00 ; United States deposits j. 162.14 Deposits of U.S.disbursingofficers-1. 13, 758.15 4, 243. 00 Notes and bills rediscounted. Bills payable 1,125.00 I Liabilities other than those above stated 396,401.60 Total. 396, 401.60 National Citizens' Bank, Mankato. JOHN F. MEAGHER, President. No. 4727. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. W . G. HOERR, Cashier. $451,096.28 i Capital stock paid in j 4,802.98 ! 25,000.00 I Surplus fund ! Undivided profits, less current j expenses and taxes paid | National-bank notes outstanding.; State-bank notes outstanding ; 12,120. 69 Due to other national banks j 7, 417. 82 i Due to State banks and b a n k e r s . . j 22,043.17 42, 388. 60 Dividends unpaid 2, 349. 79 Individual deposits 1, 243. 00 United States deposits 504. 71 Deposits of U.S.disbursingofncers. 39, 884. 00 16, 000. 00 I Notes and bills rediscounted. i Bills payable 1,125.00 j Liabilities other than those above I stated Total 625,976.04 I $100,000.00 20, 000.00 17,18]. 45 22, 500. 00 164. 05 1, 741. 29 464, 389. 25 625,976.04 First National Bank, Marshall. H. M. LANGLAND, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item: Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. W. HARDEN, Cashier. N o . 4614. > [ Capital stock paid i n . 7 336.16 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8,580. 92 C06. 75 Due to other national b a n k s . . . Due to State banks and b a n k e r s . . i 21,367.99 323.35 Dividends unpaid stated 142, 915. £ 2, 050. 00 699. 93 11, 250.00 ! Individual deposits I j. "l," 175." 66" j! United States deposits 160.12 j! Deposits of U.S. disbursing officers, j. G, 322. 20 4, 000. 00 Notes and bills rediscounted. Bills pavable 562.50 1 Liabilities $50, 0C0.00 78, 915. 93 other than those above Total. 142, 915. 86 532 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONESOTA, Lyon County National Bank, Marshall. C. B. TYLER, President. No. 4595. F. W. SICKLER, Cashier. Resources. Liabilities. Total. $90,117.33 Capital stock paid in. 574.09 12,500.00 i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 497.59 State-bank notes outstanding 7,174.97 I Due to other national banks ! Due to State banks and bankers.. 1,111.66 Dividends unpaid 336. 29 Individual deposits 1, 000. 00 United States deposits 249. 70 Deposits of U.S.disbursingomcers. 5, 847. 05 3,000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated $50, 000.00 122,971.18 Loans and discounts Overdrafts U. S. bonds to secure circulation... TL S. bonds to secure deposits ! U. S. bonds on hand ' Premiums on II. S. bonds I Stocks, securities, etc j Bank'ghouse,furniture,andfixturesi Otherreal estate and mortg's owned! Duo from other national banks | Due from State banks and bankers. Due from approved reserve agents. I Checks and other cash items | Exchanges for clearing house ' Bills of other national banks Fractional currency, nickels, cents. I Specie ' \ Legal-tender notes \ U. S. certificates of deposit j Redemption fund with Treas. U. S.! Due from Treasurer U. S 122, 971.18 Total . 3, 500.00 725.92 11, 250. 00 87.62 6.00 50,401.64 7, 000. 00 First National Bank, Minneapolis. C. T. JAFFRAY, Cashier. No. 710. JOHN MARTIN, President, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearin<* house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit i Redemption fund with Treaa. U. S-! Due from Treasurer U. S | Total , 120,964. 50 8, 247. 81 50, 000. 00 50, 000. 00 9,000.00 152, 000. 00 100, 000. 00 77,622.30 ;! 66,064.70 489.322.90 I 10,969.04 68 929. 56 ! 11.580.00 • ' 326.03 196824.50 I 65 000.00 i Capital stock paid in. $1, 000, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 15,481. 60 National-bank notes outstanding. 42,150. 00 State bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposi ts of U. S.disbursing officers Notes and bills rediscounted. Bills payable 327, 899.42 169, 280. 09 1,870,328.77 4, 361. 26 27, 566. 03 22,034.17 2,250.00 1 1 i Liabilities other than those above stated , 3,479,101.34 j Total 3,479,101.34 Columbia National Bank, Minneapolis. CHARLES KITTELSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit-..' Redemption fund with Treas. U. S. Due from TreasurerU. S Total.. No. 4739. Jos. BOBLETER, Cashier. $495, 204. 93 Capital stock paid in. 2, 579.11 50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid 500. 00 7, 095. 05 National-bank notes outstanding. State-bank notes outstanding 22, 405. 66 7,607. 64 20, 000. 00 Due to other national banks . . . . . . 28, 429. 04 Due to State banks and bankers.. 21,518.12 49,607. 37 Dividends unpaid 141.73 28, 596. 73 Individual deposits 2, 000. uO Certified checks 61.07 United States deposits 56,185. 30 DepositsofU.S.disbursingofiicers 16, 957.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above j stated ! 811,138. 75 Total. $200, 000. 00 8, 000. 00 9, 015.82 45, 000. 00 75,641.19 154, 795.80 30.00 287, 337.86 1, 318.08 30,000.00 811,138.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 533 MINNESOTA. Flour City National Bank, Minneapolis. H. C. AKELEY, President. No. 3784. EGBERT COWLES, Cashier. Resources. Liabilities. Loans and discounts $1, 061,226.77 Capital stock paid in Overdrafts 1,186. 79 50,000. 00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand National-bank notes outstanding. Premiums on U.S. bonds 9,125. 00 State-bank notes outstanding Stocks, securities, etc Bank'ghouse,furniture,and fixtures Due to other national banks Other real estate and mortg's owned 17,484.43 Due to State banks and bankers.. Due from other national banks 89, 782.10 Due from State banks and bankers. 117, 720. 41 Dividends unpaid Due from approved reserve agents. 2, 222. 61 Checks and other cash items 17, 793. 92 Individual deposits Exchanges for clearing house 6, 515. 00 Certified checks Bills of other national banks 562.31 United States deposits Fractional currency, nickels, cents. 61, 445. 50 DepositsofU.S.disbursingoflicers. Specie 61,127. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 400. 00 Liabilities other than those above Ime from Treasurer U. S stated Total. 1,498, 841.84 Total. $500,000. 00 56, 000. 00 27, 282.15 45, 000.00 145, 474. 58 72, 498. 31 48.00 650, 842. 05 1,696. 75 1, 498, 841.84 National Bank of Commerce, Minneapolis. S." A. HARRIS, President. No. 3206. Loans and discounts | $1, 631, 575.95 Overdrafts | 709.85 U. S. bonds to secure circulation... i 50,000. 00 U. S. bonds to secure deposits | U. S. bonds on hand ! 5,000. 00 Premiums on U. S. bonds 900.00 Stocks, securities, etc 4, 500. 00 Bank r ghouse,furniture,andfixtures 65, 000.00 Other real estate and mortg's owned 85, 840.89 Due from other national banks 109,643. 30 Due from State banks and bankers. 264, 691. 92 Due from approved reserve agents. 1, 710.43 Checks and other cash items 135,172.80 Exchanges for clearing house 4, 365. 00 Bills of other national banks 24.98 Fractional currency, nickels, cents. 155, 689. 20 Specie 50, 000. 00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. | 2,250.00 Due from Treasurer U. S Individual deposits Certified checks United States deposits Deposits of TT.S.disbursing officers. 1,014,118.91 4, 667. 79 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2, 567, 074.32 Total. H. H. THAYER, Cashier. $1, 000,000. 00 Capital stock paid in. Surplus fund 33, 000. 00 Undivided profits, less current 26, 965. 68 expenses and taxes paid 45, 000. 00 National-bank notes outstanding. State-bank notes outstanding 305,118.4G Due to other national banks 138, 203.48 Due to State banks and bankers.. Dividends unpaid Total 2,567,074.32 Nicollet National Bank, Minneapolis. Loans and discounts. Overdrafts TT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaibanks Fractional currency, nickels, cents. Specie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J. F. R. Foss, Cashier. No. 3145. H. W. BROWN, President. | $827,979.14 1,123. 66 50, 000. 00 50, 000. 00 71, 856. 77 130,104.57 91, 066. 56 3, 586. 25 17, 728. 96 6,841.00 376. 60 165,985.05 40, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding j Due to other national banks j Due to State banks and bankers.. Dividends unpaid $500, 000.00 poss Certified checks United States deposits Deposits of U.S.disbursingoflicers. 552 608.09 1,720.03 62, 500.00 31, 747. 84 26, 500.00 130, 682. 02 152,890. 58 250. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above | stated ! 1,458,898.56 i Total 1,458, 898. 56 534 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. Northwestern National Bank, Minneapolis. CEO. A. PILLSBURY, President. No. 2006. DAVID It. FORGAN, Cashier. Resources. Liabilities. Loans and discounts $3, 263,177. 68 2, 984. 25 Overdrafts 50,000.00 U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand | Premiums on U. S. bonds i 135, 763. 50 Stocks, securities, etc | 5, 000.00 Bauk'g bouse, furniture,andfixturesj Other real estate and mortg's owned I Due from other national banks ' "375*159.34 175,981.34 I)ue from State banks and bankers. 1, 208, 702. 36 Due from approved reserve agents. 2, 057. 32 Checks and other cash items 198, 756. 77 Exchanges for clearing house 9.053.00 Bills of other national banks 3,671.05 Fractional currency, nickels, cents. 304,110. 00 Specie 104,535.00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. SDue from Treasurer U. S $1, 250, 000. 00 j i Capital stock paid in 240, 000. 00 1 Surplus fund 1 I Undivided profits, less current 317, 377. 52 1 expenses and taxes paid 1 22, 250. 00 it National-bank notes outstanding. i j State-bank notes outstanding 379, 664.16 Due to other national banks J 705,435.39 Due to State banks and bankers.. j i j 134.00 j Dividends unpaid 1 Individual deposits j 2, 918,122. 84 Certified checks 8, 217. 70 United States deposits ! Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 5, 841, 201. 61 Total. ! 5,841, 201.61 Swedish-American National Bank, Minneapolis. tf. O. WERNER, President. No. 4951. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S.! Due from Treasurer U. S Total. $753, 838. 72 1,870.55 50, 000. 00 6, 937. 50 10, 648.36 1,450.00 E. A. KEMPE, Cashier. Capital stock paid in j $250, 000.00 Surplus fund ; Undivided profits, less current j expenses and taxes paid i National-bank notes outstanding! State-bank notes outstanding • 5, 289. 72 45,000. 00 Due to other national banks ' 83, 600. 81 Due to State banks and bankers .. j 5, 053.48 Dividends unpaid 122, 362. 68 2,110. 45 Individual deposits 71, 674. 31 Certified checks. 1, 448. 00 United States deposits !. 179. 39 Deposits of U.S.disbursingofficers.! 31,969.35 25, 000. 00 Notes and bills rediscounted \ Bills payable ! 2, 250. 00 Liabilities other than those above stated 1,170,393.60 Total 62, 921. 79 120, 819. 91 051,136.13 226. 05 35, 000. 00 1,170, 393. 60 Union National Bank, Minneapolis. H. F . BROWN, President. Loans and discounts Overdrafts U. S. bonda to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2795. H. J. NEILER, Cashier. $791, 392. 38 1, 623. 98 50, 000. 00 Capital stock paid in | Surplus fund ! Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 16, 000. 00 State-bank notes outstanding 40, 779.88 Due to other national banks 154,214.92 97, 662.14 Due to State banks and bankers.. 12, 570. 29 71, 623. 59 Dividends unpaid 8, 777. 50 10,111.97 Individual deposits 4, 616. 00 Certified checks 561.44 United States deposits 75, 225. 00 Depositsof U .S .disbursing officers. 75, 000. 00 Notes and bills rediscounted Bills payable 2, 250.00 Liabilities other than those above stated 1,412,409.09 Total. $500,000.00 19,802.10 44, 997. 50 37, 465. 52 73, 739.94 105. 00 735, 074. 03 1, 225. 00 1, 412, 409. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 535 MINNESOTA. First National Bank, Moorhead. No. 2569. F. J. BURNHAM, President. LEW. A. HUNTOON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonus to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie i Legal tender notes U. S. certificates of depositRedemption fund with Treas. IT. S Due from Treasurer U. S Total. ;129, 670. 1, 228. 12. 500. Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 7, 065. 27, 500. 4, 000. 1,775. 10, 000. 00 j Due to other national banks | Due to State banks and bankers.. I 24,499.66 || Dividends unpaid 1,354.34 || ji Individual deposits 305.00 [ United States deposits j 52.57 I DepositsofU.S.disbursing officers. 4.319.80 j i 520. 00 j! Notes and bills rediscounted I Bills payable 562 50 [ j | Liabilities other than those above ! stated 215,354.16 j Total. 226. 20 141,877.96 2, 000. 00 215,354.16 Moorhead National Bank, Moorhead. No. 4713. P. H. LAMB, President. Loans and discounts | Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bank s Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $155,465.54 465.06 15,000.00 F. "W. PORRITT, Cashier. Capital stock paid in $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3,333.75 ! State-bank notes outstanding 116.00 ' 3,516.51 I Due to other national banks 515. 00 i 2, 851. 43 ! Due to State banks and bankers . . 36,604.47 I 2, 064. 38 i Dividends unpaid 1.172.00 64.77 7, 785. 85 2 000. 00 675.00 400. 00 Individual deposits United States deposits ! Deposits ol'U.S.dislmrsing officers. I i Notes and bills rediscounted I Bills payable ! Liabilities other than those above j stated i 232, 629.76 Total. 3, 000. 00 1, 453. 52 13, 500. 00 154, 676. 24 232, 629. 76 First National Bank, Morris. H. S. JUDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,andfixtures Other real estate and mortgV owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 2933. $113, 306. 01 3,161.74 12 500. 00 1, 750. 00 4 658. 09 12,334 35 227.70 2. 654. 48 1.701.06 2,548. C2 320. 22. 3, 297. 3, 280. 00 43 50 00 L. O. HOLLISTER, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 200.00 11,250.00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 262. 50 Liabilities other than those above stated 162, 024. 48 $50,000.00 Total. 56, 274.48 16, 500. 00 26, 800.00 162.024^48 536 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. New Duluth National Bank, New Duluth. No. 4750. J O H N P. JOHNSON, President. G E O . W . K E Y S , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand .J Premiums on U. S. bonds ! Stocks, securities, etc | Bank'ghouse,furniture,andfixtures| Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. \ Due from approved reserve agents. I Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S $53, 844.73 ij Capital stock paid i n . , 12, 500.00 610.00 1, 620.14 1, 774. 62 7.59 1,318.50 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated First National Bank, Northfield. No. 2073. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S, bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U, S $247,699.81 636.19 20, 000. 00 72, 238. 08 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ! Surplus fund Undivided profits, less current expenses and taxes paid 2,000.00 I National-bank notes outstanding. 7,300.00 ; State-bank notes outstanding 4, 870. 00 i 14, 395. 89 | Due to other national banks 1,840.92 | Due to State banks and bankers.. 27, 070. 84 ! Dividends unpaid 834. 99 I Individual deposits *"i,"474.66 United States deposits 243. 72 Deposits of II.S.disbursingom'cers. 14, 405. 08 13,155. 00 Notes and bills rediscoun ted. Bills payable 900. 00 Liabilities other than those above stated Total. First National Bank, Owatonna. "WILLIAM R. KINYON, President. G . M . P H I L L I P S , Cashier. Capital stock paid in . 356,826.44 Total. Total. 8, 353. 83 Total. J O H N C. NUTTING, President. 1, 000. 00 1, 634. 25 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Total $50,000. 00 Surplus fund I j Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.j State-bank notes outstanding No. 1911. $255,510.74 875. 24 15, 000. 00 1,650.00 29, 502. 74 13, 339.13 1,327. 9!> 5, 609. 05 4, 595. 50 37, 673. 40 534.30 950. 00 130. 66 35, 515. 00 3, 000.00 675. 00 405, 888.75 j $75, 000. 00 15, 000. 00 4, 758. 61 17, 999. 50 926. 87 243,141.46 356, 826. 44 GEO. R. KINYON, Cashier. Capital stock paidm. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $60, 000. 00 12, 000.00 26, 718. 61 13. 500.00 293, 670.14 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 405,888. 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 537 M I N N E SO T A. National Farmers' Bank, Owatonna. No. 4928. L. L. BENNETT, President. CARL K. BENNETT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation...! U.S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $153,467.83 480.41 80, 000. 00 9, 600. 00 40,764. 50 12, 000. 00 Capital stock paid in $80, 000.00 1,135.00 Due to other national banks j Due to State banks and bankers..'. 4,249.68 16, 702. 38 Dividends unpaid. 227. 65 145.02 15, 223.10 2, 076. 00 3, 600. 00 338, 536.57 Total . ! Surplus fund j Undivided profits, less current ' expenses and taxes paid • National-bank notes outstanding.! State-bank notes outstanding Individ ual deposits United States deposits Deposits of U.S.di sbursing officers. 2,622.52 72, 000.00 753. 21 20.00 182,005.84 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 338, 536. 57 First National Bank, Pipestone. No. 3982. HENRY E. BRTGGS, President. Loans and discounts ! Overdrafts :. i U. S. bonds to secure circulation...! U. S. bonds to secure deposits j U. S. bonds on band I Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers -1 Due from approved reserve agents. Cheeks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer U. S Total . W . C. BRIGGS, Cashier. $95,122.02 I Capital stock paid in 6,749.46 ! 12,500.00 I Surplus fund $50, 000. 00 Undivided profits, less current expenses and taxes paid 1, 300.00 National-bank notes outstanding. 4,169. 04 State-bank notes outstanding 3, 650.00 10, 910.00 2, 500. 00 3,292.13 4, 520. 98 Due to other national banks Due to State banks and bankers. 9, 877. 03 Dividends unpaid 332. 54 626. 00 Individual deposits 465.00 United States deposits 54.85 Deposits ofU.S.disbursing officers. 7, 671.17 2, 000.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated Total. 151,742. 72 80, 256.05 6, 926.67 151, 742.72 First National Bank, Red Wing. THEODORE B. SHELDON, President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k 'g house, furniture, andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.'. Exchanges for clearing house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1487. $256,175.21 1,030.95 25,000.00 . 2, 000.00 27, 750.00 13, 000. 00 23,497. 63 22,006,44 JESSE MCINTIRE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 1,400. 00 1, 082.46 22,500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 584.00 United States deposits 33.06 Deposits of U.S. disbursing officers. 11,299.45 7,100. 00 I Notes and bills rediscounted ! Bills payable 1,125.00 640.00 Liabilities other than those above 391,241.74 I $100, 000.00 stated Total. 256,259.28 10,000. 00 391, 241. 74 538 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Rochester. No. 579. JOHN R. COOK, President. WALTER HUELBUT, Cashier. Liabilities. Resources. Loans and discounts \ Overdrafts j U. S. bonds to secure circulation... j IT. S. bonds to secure depovsits | U. S. bonds on band i Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Otberreal estate and mortg's owned Due from otber national banks I Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house I Bills of other national banks j Fractional currency,nickels,cents. | Specie ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U, S Total. $340, 365. 62 127. 26 30, 000.00 31, 500.00 | $100,000.00 Surplus fund ! Undivided profits, less current ) expenses and taxes paid \ National- bank notes outstanding. j State-bank notes outstanding Capital stock paid in 33,000. 00 Due to other national banks — 16, 633.43 I Due to State banks and bankers.. 19.869.50 |; 37,496. 73 j j Dividends unpaid 371.63 j! i !! Individual deposits j 5,417.00 |j United States deposits I 24.68 I! Deposits of U.S.disbursiug officers.! 30,558.90 28,000.00 | Notes and bills rediscounted. Biils payable 1, 350.00 i 300.00 Liabilities other than those above stated Total. 542, 014.75 2, 713.99 27,000.00 166. 05 379,134. 71 542, 014.75 Rochester National Bank, Rochester. E. W. CROSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S.. Total. H. M. NOWELL, Cashier. No. 2316. $223, 076. 43 Capital stock paid in. $50, 000. 00 594. 92 12,500.00 Surplus fund 10, 000. 00 Undivided profits, less current expenses and taxes paid 4,109. 80 National-bank notes outstanding. 11,250.00 State-bank notes outstanding 15, 674.12 Due to other national banks j. 5,302. 34 Due to State banks and bankers, -j 524. 05 257. 68 24,163. 04 Dividends unpaid 612. 09 Individual deposits 218, 400. 31 1, 350. 00 United States deposits 445. 54 Deposits of U.S.disbursingofficers 4,425. 50 5, 000. 00 Notes and bills rediscounted. Bills payable 882.50 Liabilities other than those above stated 294,284.16 Total. 294,284.16 Union National Bank, Rochester. E. A. KNOWLTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2088. $181, 635. 56 827. 66 12, 500. 00 4,033. 56 17,500. 00 9, 760. 52 5, 556.41 11,513.47 72.70 T. H. TITUS, Cashier. Capital stock paid i n . . ! Surplus fund Undivided profits, less current j expenses aud taxes paid National-bank notes outstanding.! State-bank notes outstanding Due to other national banks Due to State banks and bankers. . Dividends unpaid Individual deposits 635.00 United States deposits 353.18 Deposits ofU.S. disbursing officers. 14, 377. 00 1, 500. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 260, 827. 56 Total. 13,000.00 2,731.60 10,497. 50 376.81 184,221.65 260,827.56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 539 MINUTE S O T A . First National Bank, Saint Cloud. JAMBS A. BELL, President. No. 2790. J. Gr. SMITH, Cashier. Resources. Loans and discounts ' Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned' Due from other national banks \. Due from State banks and bankers. Due from approved reserve agents. | Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $176, 032. 26 2, 036. 88 25, 000.00 2, 600. 00 19, 007. 70 48, 347. 53 8,943. 93 Capital stock paid in. Surplus fund Undivided proiits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 17,252.60 : 28,427.73 !| Dividends unpaid 1,183.27 jj Individual deposits 830.00 United States deposits 131.47 Deposits of U.S.tlisbursing officers. 14, 029. 35 7, 600. 00 Notes and bills rediscounted. Bills payable 1,125.00 ! 200.00 i Liabilities other than those above stated 352, 747.72 Total. Total. $100, 000.00 10, 500. 00 18, 868. 07 22, 500. 00 78.32 200, 801. 33 352, 747. 72 German-American National Bank, Saint Cloud. TIMOTHY FOLEY, President. Loans and discounts I Overdrafts U.S. bonds to secure circulation...! U. S. bonds to secure deposits I U. S. bonds on hand \ Premiums on U. S. bonds | Stocks, securities, etc | Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned| Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S-j Due from Treasurer U. S I No.3009. 492,592.63 I Total. JNO. M. SCHWARTZ, Cathier. $304, 305. 00 Capital stock paid in I $100,000.00 132. 03 25, 000. 00 i Surplus fund 11, 000.00 i Undivided profits, less current ; expenses and taxes paid 4, 859.54 3, 000. 00 I National-bank notes outstanding. 22, 500.00 13, 036. 57 !| State-bank notes outstanding 5, 800. 00 13, 000. 00 \ j Due to other national banks 196.13 \\ Duo to State banks and bankers.. 14,250.63 88, 874. 39 ! Dividends unpaid 160. 73 ! 570. 48 'I Individual deposits 354, 233.09 3, 800. 00 j United States deposits 41.67 ;i Deposits of U.S.disbursingoffieers. .. 13, 700. 00 !.. 5, 000. L0 !i Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above j stated Total. 492, 592. 63 Merchants' National Bank, Saint Cloud. C. M. HERTIG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankrghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total O. H. HAVILL, Cashier. No. 4797. $177,800.58 ! Capital stock paid in $100, 000.00 744.00 25, 000. 00 Surplus fund 1,000. 00 Undivided profits, less current 2, 389. 09 expenses and taxes paid 22, 500.00 National-banknotes outstanding. 5,901.90 | State-bank notes outstanding 35, 872. 65 I 260.00 Due to other national banks Due to State banks and bankers.. : : : : : : : : : : : : : : 2,173. 94 30,158. 42 Dividends unpaid 12.50 300. 01 1,050. 00 Individual deposits 118,127.14 730.00 United States deposits 61.78 Deposits of U.S.disbursing officers. 4,314.95 3, 000. 00 Notes and bills rediscounted 2,470.50 Bills payable 42 000 00 1,125. 00 Liabilities other than those above stated 288,499.23 Total 288,499. 23 540 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Saint James. THOS. VELTUM, President. FRANK O'MEARA, Cashier. N O. 4859. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... "D. S. bonds to secure deposits tl. S. bonds on hand ! Premiums on U. S. bonds I Stock, securities, etc j Bank'ghouse,furniture,andfixtures; Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. | Due from approved reserve agents. i Checks and other cash items Exchanges for clearing house Bills of othernationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from Treasurer X . S T Total. Liabilities. $176, 374. 50 ].057. 41 12,500.00 Capital stock paid i n . . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 9, 627.04 1, 739. 56 Due to other national banks Due to State banks and bankers. 3,288.92 ! Dividends unpaid 288.81 j Individual deposits United States deposits 270.09 DepositsofU.S.disbursingofficers. 9,359.20 j 3,878.00 ! Notes and bills rediscounted \ Bills payable "*"562.'5O"! ; Liabilities other than those above I stated Total . 218,946. 03 132, 383. 65 13, 000.00 218, 946. 03 First National Bank, Saint Paul. HENRY p . UPHAM, President. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation...! U. S. bonds to secure deposits i U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gh6use,furniture,and fixtures Other real estate and mortg's owned Due from other national banks [ Due from State banks and bankers .1 Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 288,135.00 148, 218. 78 118, 536. 96 33, 646. 21 704, 455.13 34, 564. 70 29, 649. 46 13, 400. 00 2, 528. 34 798,811.50 64, 540. 00 $1,000,000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 500, 000. 00 Due to other national banks Due to State banks and bankers.. 737, 906. 89 434, 494. 71 547, 332. 85 16, 290. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. N otes and bills rediscounted. Bills payable 2. 827, 319.27 16,839. 23 3,185.50 176,660.46 2, 250. 00 9,000.00 !! Liabilities other than those above ; stated 6, 260, 028. 91 ! Total. E . H . BAILEY, Cashier. N o . 203. :, 760, 610. 62 1, 682. 21 50, 000.00 200,000.00 Total 6,260,028.91 Second National Bank, Saint Paul. D. A. MONFORT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiumson U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 725. $719,919.23 i; 705.40 I 50,000.00 I 275,000. 00 69,360. 00 789.41 29,617.19 3, 923. 85 1,597.46 25, 992. 95 97.91 25, 803. 77 6, 722. 00 398. 02 223,495. 00 25, 000.00 2,250. 00 4,414. 21 1,465,086.40 j F . D. MONFORT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursin g ofiicers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. $200,000.00 55, 000. 00 199, 669.31 45,000.00 36, 663. 75 68,139.98 4,197.00 625,987.31 2, 902. 73 27, 397.08 230,129. 24 1, 465,086.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 541 MINNESOTA, Merchants' National Bank, Saint Paul. W. K. MBRRIAM, President. No. 2020. FRANK A. SEYMOUR, Cashier. Resources. Liabilities. $3, 847,115. 02 Loans and discounts 6, 077. 81 Overdrafts 52, 000. 00 TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer U. S Capital stock paid in. $1,000,000.00 Surplus fund 500, 000. 00 Undivided profits, less current 206,653. 51 expenses and taxes paid 45, 810. 00 National-bank notes outstanding. State-bank notes outstanding 728, 363. 56 Due to other national banks 603, 610.41 Due to State banks and bankers.. Dividends unpaid 2, 724, 794.88 8, 010. 20 Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than thos' iabove stated Total . Total 5,817,242.56 National German-«A.merican Bank, Saint Paul. J. W. LUSK, President. No. 2943. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . il, 728,233. 89 9.21 50,000. 00 6,949. 76 360,000.00 92, 306. 29 56, 248.15 16, 625. 30 194,223.18 5, 698.17 46, 225.18 27,355. 00 256.42 237, 691. 23 57, 500. 00 2, 250. 00 JOSEPH LOCKEY, Cashier. Capital stock paid in ! $1,000, 000.00 j Surplus fund Undivided profits, less current 54, 082.96 expenses and taxes paid 44, 600. 00 National-bank notes outstanding. State-bank notes outstanding 220, 713. 20 Due to other national banks 178, 953. 98 Due to State banks and bankers.. j Dividends unpaid \. Individual deposits j 1,377,157.16 Certified checks 6, 064. 48 United States deposits. Deposits of U. S. disbursing officers. | Notes and bills rediscounted j Bills payable Liabilities other than those above stated Total 2, 881, 571.78 2,881,571.78 Saint Paul National Bank, Saint Paul. F. W. ANDERSON, President. No. 2959. $1,105,151.19 Loans and discounts 479. 04 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures 18, 034. 84 Other real estate and mortg's owned 26, 371. 55 Due from other national banks . 9, 650. 70 Due from State banks and bankers. 96, 970. 21 Due from approved reserve agents. 1,926.91 Checks and other cash items 13, 942.20 Exchanges for clearing house 10, 000.00 Bills of other national banks 906. 07 Fractional currency, nickels, cents. 48,161. 95 Specie 46,102.00 Legal-tender notes U. S. certificates of deposit 2,250. 00 Redemption fund with Treas. U. S. 4,100. 00 Due from Treasurer U, S Total. 1, 434, 046. 66 A. C. ANDERSON, Cashier. Capital stock paid in $600, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 28, 646.62 45,000. 00 Due to other national banks Due to State banks and bankers.. 101,883.92 101, 925.86 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 142. 00 555, 283. 20 1,165.06 Liabilities other than those above stated Total. 1, 434, 046. 66 542 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Saint Peter. F. A. DONAHOWER, President. E. S. PETTIJOHN, Cashier. No. 1794. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture.and fixtures Ot her real estate andmortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $216, 288.49 171.02 15, 000. 00 4,000. 00 2, 000.00 2,371.92 1,094.50 6, 904. 58 60,318. 20 714.53 Capital stock paid, in . 12,000.00 16, 394. 68 13, 200. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid I Individual deposits ..! 2,012.00 ji United States deposits !. 88.31 I Deposits ot IT. S.disbursing officers. I. 1 22, 808. 40 5, 200. 00 i Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above 238, 052. 27 stated 339, 646. 95 Total . $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 339, 646.95 First National Bank, §>auk Center. No. 3155. HENRY KELLER, President.' Loans and discounts ; $139,430.20 Overdrafts 392. 35 U. S. bonds to secure circulation... I 12, 500.00 U. S bonds to secure deposits ' U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc ' Bank'ghouse,furuiture,and fixtures 7,401.15 Other real estate and mortg's owned ] Due from other national banks Due from State banks and bankers.: Due from approved reserve agents 25, 798. 88 Checks and other cash items 21. 55 Exchanges for clearing house... Bills of other national banks 120. 00 Fractional currency, nickels, cents. 105.54 Specie 14,665.80 Legal-tender notes 2, 960. 00 U. S. certificates of deposit. Redemption fund with Treas. U. S, 562. 50 Due from Treasurer U. S Total. C. M. SPRAGUE, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes xmid National-bank notes outstanding. State-banknotes outstanding. 10, 000. 00 17, 231. 73 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 115, 476. 24 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 203,957.97 Total. 203, 957. 97 First National Bank, Shakopee. THEO. "WETLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits.. U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 3039. $104,812. 52 769. 50 25, 000. 00 600. 00 347. 88 6, 000. 00 21,503.83 2, 861. 67 26, 866. 45 243. 36 1, 250. 00 37.84 8, 716. 50 6, 400. 00 1,125. 00 206, 534.55 JOHN THIEM, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 0, 000. 00 900.18 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 133,134.37 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 206, 534. 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 543 MINNESOTA. First National Bank, Stillwater. CHARLES N. NELSON, President. No. 2674. E. H. BRONSON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits . . TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $815, 242. 52 Capital stock paid in . $250,000. 00 3, 212. 62 50, 000. 00 , Surplus fund 60, 000. 00 ! Undivided profits, less current expenses and taxes paid { 63, H44. 03 National-banknotes outstanding.j 45,000.00 State-bank notes outstanding ! 10, 000. 00 Due to other national banks 2, 243. 61 Due to State banks and bankers . .j 1,093.49 34, 380. 81 220, 483. 65 Dividends unpaid J. 1.102.18 Individual deposits 773, 273. 64 850. 00 United States deposits 91.07 Depositsof D.S.disbursingofficers51, 654. 70 1, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 700. 00 Liabilities other than those above i stated 1,193. 211.16 Total . i Liabilities. Total ! 1,193,211.16 Lumbermen's National Bank, Stillwater. ISAAC STAPLES, President. E. S. DAVIS, Cashier. No. 1783. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg'sowned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $628, 385. 95 2, 555. 76 50, 000. 00 3, 000. 00 Capital stock paid in $250, 000. 00 35, 000.00 5, 618.44 42, 330. 00 3, 500. 00 54,167. 66 157. 15 161,182. 74 5, 805. 61 535. 00 456. 38 33, 956. 55 7, 685. 00 2, 250. 00 550. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficera. 45.00 621,194.36 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 954,187. 80 Total . j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . . 954,187. 80 First National Bank, Tower. H. A. WARE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3924. $151,845.42 114. 42 12, 500. 00 7, 721. 00 10, 900. 00 11,160.13 609. 60 8, 402. 02 60.40 993.00 8.55 13, 608. 06 1, 500. 00 562.50 219, 985.10 GEORGE A. WHITMAN, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 3,909.34 10, 950. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 145,125. 76 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . , 219, 985.10 544 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Tracy. No. 4992. JOHN S. TUCKER, President. Resources. D. T. MCAETHUR, Cashier. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. 8. bonds to secure deposits IT. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bankghouse,furniture,and fixtures 0 ther real estate and mortg's owned Due from other national ban ks Duo from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Dills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $89,014. 21 10.55 12, 500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 1,421.88 1,992.12 ! State-bank notes outstanding 4.00 11, 250. 00 3,981.42 I Due to other national banks 4,357.42 I Due to State banks and bankers. 2, 603 39 i 11,525.00 ! Dividends unpaid 2, 389. 39 i Individual deposits 2, 004. 00 i United States deposits 39.87 Deposits of U.S.disbursing officers. 7, 354. 40 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above 139, 756.15 | stated Total . 78, 502.15 139, 756.15 First National Bank, Wabasha. No. 3100. C. C. HIRSCHY, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.aml fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $195,166. 63 344. 39 12, 500.00 500. 00 1, 386. 25 25, 200. 00 2,000. 00 1,800.00 1, 701. 15 1,513.72 17, 292. 99 99.50 $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3, 582. 51 11, 250.00 Due to other national banks Due to State banks and bankers.. 935.25 State-bank notes outstanding Dividends unpaid 562.50 10, 000. 00 3.00 Individual deposits 439.00 United States deposits . 213.10 Deposits of U.S.disb ursing officers. 22, 508.25 3, 518. 00 Notes and bills rediscounted Bills payable 286, 748.48 Total. L. WHITMORE, Cashier. Capital stock paid in Liabilities other than those above stated Total 202, 977. 72 8, 000.00 286, 748.48 First National Bank, Wadena. W. R. BAUMBACH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. X S. L Due frona Treasurer U. S Total No. 4821. $74,378. 33 913.46 12,500. 00 C. W . BAUMBACH, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 6, 500.00 35.47 11, 250.00 6, 844.46 1,419.84 9.37 530.00 65. 82 10,150. 25 3,000. 00 562. 50 110, 374. 03 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 30.00 42,558. 56 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 110, 374. 03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 545 MINNESOTA, Merchants' National Bank, Wadena. No. 4916. JACOB J. MEYER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures| Other real estate and niortg's owned! Due from other national banks j Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. L, IRWIN, Cashier, Liabilities. $57, 929. 59 I 2, 068. 09 12, 500. 00 7, 714.40 15, 004. 38 225.70 3,150.00 36.44 4, 686, 50 1, 401.00 562. 50 Capital stock paid in. Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividen ds unpaid -----Individual deposits $50, 000. 00 1, 250. 00 789. 6Q 11, 250. 00 8. Q0 89,981. 00 United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 103, 278. 60 103, 278. 60 First National Bank, Wells. A. L. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U- S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4669. $112, 677. 65 Capital stock paid in. 933. 04 12, 500.00 Surplus fund 1, 382.81 9,100. 00 6, 583. 99 3, 957. 51 5,000. 00 4, 785. 82 1, 341.13 3o6.66 63.01 1, 426. 55 6, 270. 00 "562.50 J . H. JOICE, Cashier. $50,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,700.00 528. 26 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits ,T United States deposits Deposits of U.S.disbursingofficers. 83, 405.75 Notes and bills rediscounted Bills payable Liabilities other than those above stated 3, 000.00 15, 000.00 Total. 166, 884. 01 166, 884. 01 First National Bank, Winona. IS 7 o. 3224. E. S. YOUMANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Baiik'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund wiJi Treas. U. S. Due from Treasurer U. S Total. http://fraser.stlouisfed.org/ PT 2 CUB? Federal Reserve Bank of St. Louis $984,125. 90 163.30 50, 000. 00 6, 768. 00 3, 000. 00 21, 371. 29 472.61 10, 771. 30 73, 903. 68 3, 564. 73 $225, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 75, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 17, 070. 32 44, 024. 22 State-bank notes outstanding Individual deposits 2, 600. 00 United States deposits 288.14 DepositsofU.S.disbursingofficers 56, 894. 00 C, 108. 00 ! Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 1, 222,280.95 -35 J. W. BOOTH, Cashier. Capital stock paid in. Total 30, 832.17 44, 997. 50 785, 358.74 1,222,280.05 546 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. Second National Bank, Winona. JOSEPH A. PRENTISS, President. Resources. Loans and discounts | Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie '...'. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. H. GAELOCK, Cashier. No. 1842. Liabilities. $973, 419. 40 1, 400. 88 50, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 54, 200. 00 State-bank notes outstanding 19, 900. 00 14, 850. 00 Due to other national banks 8, 002.47 Due to State banks and bankers.. 47, 745. 30 Dividends unpaid 4, 723.89 Individual deposits j 1,558.00 United States deposits Deposits of U.S.disbursing officers.! 04, 862.71 32, 783. 00 Notes and billsrediscounted... Bills payable 1,180. 00 Liabilities other than those above stated 1, 280, 625. 65 Total $200, 000. 00 100,000.00 31,230.27 45, 000. 00 28, 309. 63 40, 086.03 835,999. 72 1,280,625.65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 547 MISSISSIPPI, First National Bank, Aberdeen. No. 3656. F. P. JINKINS, President. Eesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. R. SYKES, Cashier. Liabilities. *44,403. 31 61,365.61 25, 000. 00 500. 00 44,753. 98 7, 692.80 14,084. 55 1, 236. 84 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 10,000. 00 Due to other national banks Due to State banks and bankers.. 11,911.30 1,759.24 3, 332. 52 22, 500.00 Dividends unpaid 1, 052. 60 Individual deposits United States deposits 119,837.81 1, 000. 00 276.18 6, 800.00 10, 000. 00 DepositsofU.S.disbursingofficers. 1,125.00 50.00 Liabilities other than those above 219, 340. 87 Notes and bills rediscounted. Bills payable stated Total . 219, 340. 87 First National Bank, Greenville. No. 3765. JAMES E. NEGUS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on handPremiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $224,730.77 5, 445. 67 25, 000. 00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000. 00 National-bank notes outstanding. 20, 000.00 State-bank notes outstanding 572.00 31, 261. 22 2,195. 47 116.18 18, 510. 97 3, 080. 20 46.43 494. 75 9, 750. 00 1,125.00 343,328.66 Total . -, Cashier. Capital stock paid in 20, 000.00 3, 627.16 22, 500. C O Due to other national b a n k s Due to State banks and b a n k e r s . Dividends unpaid 81.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscoun ted Bills payable Liabilities other than those above stated Total. 154, 894. 00 42,226. 50 343, 328. 66 First National Bank, Jackson. S. S. CARTER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onTJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3332. $222, 725.80 42, 991.39 25, 000. 00 49,975. 97 9,142.10 21,106. 89 9, 942.74 11, 640. 35 4, 356.39 1, 800. 00 52.75 21, 999. 95 21,550. 00 645.00 442, 929.33 O. J . W A I T E , Vathier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 70, 000. 00 12,237.53 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 703. 20 17,452.98 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 212, 035. 62 Notes and bills rediscounted. Bills payable Liabilites other than those above stated Total . 442,929.33 548 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSISSIPPI. First National Bank, Meridian. No. 2957. "W. W. GEORGE, President. EDWIN MCMORRIES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.. X S. bonds to secure deposits L U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturee Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $341,047.04 i| Capital stock paid in. 45,906.92 || 32,500.00 |! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,217.50 64,429.(8 44,728. 43 13, 703. 88 Due to other national banks 8, 653. 91 Due to State banks and bankers. 3, 480. 99 11, 829. 76 Dividends unpaid 947. 3 L Individual deposits 535.00 United States deposits 314. 59 Deposits of U. S.disbursing officers. 17, 964. 25 16, 398. 00 Notes and bills rediscounted Bills payable 1,462. 50 607,119.16 Total . $130,000.00 Liabilities other than those above stated Total . 100, 000. 00 5, 725. 07 29, 250. 00 751. 67 2, 627.09 301,097.00 23, 668. 33 11, 000. 00 3, 000. 00 607,119.16 Meridian National Bank, Meridian. No. 3176. T. W. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $273, 688. 58 33, 890. 55 25, 000. 00 E. B. MCRAVEN, Cashier, Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4,232 80 2, 497.13 Individual deposits "i,* 245." 6b" U nited States deposits 114.81 Deposits of U.S. disbursing officers. 20,144. 00 5, 880. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 215,445.80 65, 840. 29 11, 989. 62 12,450. 00 9, 872. 31 2, 374. 77 19, 216. 89 955. 60 Total . 483,787.42 12, 619.68 22, 500. 00 76, 492. 01 483, 787.42 First National Bank, Tupelo. S. T. HARKEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4521. $62,829.17 11,911. 29 12,500.00 1, 400.00 4,500.66 1,459. 22 6, 623. 42 5, 301.10 49.71 90.00 22.72 6, 219. 60 5, 700. 00 562. 50 119,168.73 F . JOHNSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 270.00 467.96 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 48, 010. 71 9,170.06 Liabilities other than those above stated Total . 119,168.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 549 MISSISSIPPI. First National Bank, Vicksburg. No. 3258. B. W. GRIFFITH, President. J. M. PHILLIPS, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits XT. S. bonds on hand ! Premiums on U. S. bonds I Stocks, securities, etc Bank?ghouse,furniture,andfixturesl Other real estate and mortgs owned! Due from other national banks Due from Statebanksand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $226, 430. 91 8,867.10 37, 500. 00 5, 988. 35 4, 000. 00 "25," 824." 19' 4,041.54 16, 215. 39 1, 086.14 Capital stock paid in 20,000.00 Due to other national banks Due to State banks and bankers.. 9,571.43 2,840, 85 5, 751.16 33, 750. 00 Dividends unpaid 51.00 Individual deposits 790.00 ! United States deposits 1,400.00 ! Deposits of U.S.disbursingofiBcers. 2,349.45 ! 19,466.00 I Notes and bills rediscounted Bills payable 163, 688.13 20, 000. 00 1, 687.50 Liabilities other than those above stated Total 355, 652. 57 Total. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 355,652.57 Merchants' National Bank, Vicksfcmrg. No. 3430. C. 0. WILLIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit i Redemption fund with Treas. U. S.| Due from Treasurer TJ. S $236, 325. 52 8, 528.10 25, 000. 00 $100^000. 00 Surplus fund ) r o n Undivided x ts, less current expenses and taxes paid 2,250.00 I National-bank notes outstanding. 61,279.61 i State-bank notes outstanding 2, 000. 00 15,921.88 Due to other national banks 41, 330. 06 ! Due to State banks and bankers.. 20,454.11 325. 68 Dividends unpaid 1, 083. 86 100, 000. 00 I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursingofn'cers. 251,554.67" 8, 930. 64 18,600.00' 524. 00^ 5, 707.26; 2,125. 00) 1, 520. 00 382.90 16,176. 85 53, 738. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities o t h e r t h a n those above stated 487,441.57 Total. W. S. JONES, Cashier. Capital stock paid in . Total. 487,441.57 First National Bank, West Point. No. 2891. P. B. DUGAN, President. Loans and discounts . Overdralts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furniture,andfixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cashitems Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. T. H . MOSELEY, Cashier. $73,456. 78 jl Capital stock paid in . 30.192.52 ! 18,750.00 Surplus fund 2, 28, 5, 19, 1, 000. 00 815. 82 000. 00 352.23 590. 88 338, 31 14, 780. 91 j Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofU.S. disbursing officers.! Notes and bills rediscounted. Bills payable 842. 50 $75, 000.00) 10, 000. 00 6, 273. 88 16, 850.00 1, 285. 29 72,355.86 15,000.00 Liabilities other than those above stated 196,765.03 Total „ 196,765. 03 550 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSISSIPPI. First National Bank, Yazoo City. W. C. CRAIG, President. Resources. Loans and discounts Overdrafts U S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. EAchanges for clearing house Bills of other national banks fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3566. R. L. BENNETT, Cashier. Liabilities. $125,184. 53 Capital stock paid in. 18,423.36 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 615. 00 State-bank notes outstanding $50, 000. 00 100.00 Due to other national banks 1,007.19 Due to State banks and bankers. 987. 65 7,412. 26 Dividends unpaid 2, 501. 97 Individual deposits United States deposits 53.68 Depositsof U.S.disbursing officers . 6, 732. 50 7, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 15, 602. 63 11.52 183, 080. 64 Total. 10, 000. 00 15, 047. 58 11, 250.00 71,168.91 10, 000. 00 183, 080.64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 551 MIS S O U R I . First National Bank, Appleton City. N o . 2636. F. EGGER, President. JNO. B. EGGEE, Cashier. Resources. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation...! ] IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds ; Stocks, securities, etc \ Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks I Fractional currency, nickels, cents, j Specie ! Legal-tender notes | TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $145,271.99 Capital stock paid in. 7,550.80 : 14,000.00 jl Surplus fund Undivided profits, less current expenses and taxes paid 300.00 National-bank notes outstanding. State-bank notes outstanding i* 550.95 850.00 15,216.63 2, 831. 96 4, 726. 09 9, 607. 59 235.70 $55, 000.00 50, 000.00 3, 690.69 12, 200. 00 I ! j | Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits " *5,"377.'bb' United States deposits 21. 46 ! Deposits of U.S.disbursing officers .1 24, 685. 20 3, 360. 00 Notes and bills rediscounted. Bills payable 406.94 175. 00 117,742.83 630. 00 Liabilities other than those above stated Total . 239, 215. 46 239, 215. 46 Central National Bank, ©oonville. CHAS. E. LEONARD, No. 1584. President. Loans and discounts Overdrafts > U. S. bonds to secure circulation... j U. S. bonds to secure deposits j TJ. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc | Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned j Due from other national banks i Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $250, 427.48 6, 617. 31 50, 000. 00 219,123.15 1, 500. 00 28, 923. 72 1,065. 52 5,186. 53 50,433.11 44.66 "W. SPEED STEPHENS, Cashier. Capital stock paid in ;200, 000. 00 40, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 29, 326. 61 45, 000.00 Due to other national banks | Due to State banks and bankers.. i Dividends unpaid Individual deposits 1,262 00 United States deposits 68.43 Deposits of U.S.disbursing officers. 22, 526. 45 22, 300. 00 Notes and bills rediscounted Bills payable 2, 250. 00 1,050. 00 Liabilities other than those above stated 342,427.15 Total. 662,778.36 1, 207. 68 4,816. 92 662, 778. 36 First National Bank, Brunswick. No. 4083. T. S. GRIFFEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S bonds to secure deposits j U. S bonds on hand i Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers.! Due from approved reserve agents. \ Checks and other cash items | Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ' Redemption fund with Treas. U. S.j Due from Treasurer U. S ! Total. $58,661.64 783.77 12,500.00 375.00 13, 801.27 5, 379.68 16,337.74 27. 85 860. 130. 5, 849. 2, 831. 00 95 25 00 562. 50 M. H. NORTON, Cashier. j $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding.! State-bank notes o u t s t a n d i n g | 2, 500. 00 Capital stock paid in. 863. 77 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 53, 486.88 Notes and bills rediscounted. Bills payable j Liabilities other than those above ! stated Total . 118,100. 65 552 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Moniteau National Bank, California. No. 1712. R. Q. ROACHE, President. ]ST. C. RICE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ;. Premiums on U. S. bonds i. Stocks, securities, etc * J Bank'ghouse,furniture,andfixtures' Other real estate and mortg's owned . Due from other national banks Due from State bankvS and bankers. . Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house ; Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes \ ! U. S. certificates of deposit Redemption fund with Treas. U. S J Due from Treasurer U. S • Liabilities. $116,056.97 : Capital stock paid in. ' 2O,666."oo" 500. 00 5, 500. 00 Due to other national banks 511.53 ij Due to State banks and bankers.. 12, 000. 00 2, 624.82 18, 000. 00 25.52 34, 485.17 ij Dividends unpaid. i Individual deposits 3, 800, 00 |j United States deposits 134. G5 ij Deposits of U.S.disbursing officers. 9, 200. 00 11, 000. 00 II Notes and bills rediscounted <\ Bills payable 900.00 ! Liabilities other than those above stated 202, 088. 32 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid Natijuial-bank notes outstanding. State bank notes outstanding. 119, 437. 98 202, 088. 32 Total . First National Bank, Cameron. "VV. D. COBERLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U". S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned} Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4259. $88,860. 01 589.00 12, 500. 00 1, 375. 00 1, 500. 00 1, 725. 00 "*6l6.58 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 1,478.84 11, 250. 00 Due to other national banks Due to State banks and bankers.. 1,182. 66 3, 600. 04 24,893.41 j Dividends unpaid 74.28 |j Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable 562.50 ] Liabilities other than those above stated 845.00 131.55 4,917. 00 2,300.00 140, 88o.33 i Total. W. T. CLARK, Cashier. Capital stock paid in Total 68, 371. 79 5, 000. 00 140, 883.33 First National Bank, Cape Girardeau. DAVID A. GLENN, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate andmortg's ownedi Due from other national banks ! Due from State banks and bankers., Due from approved reserve agents.} Checks and other cash items.. j Exchanges for clearing house } Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . L. S. JOSEPH, Cashier. No. 4611. $90,851. 96 j! Capital stock paid in. j 621.64 I 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,500.00 National-bank notes outstanding. 17,000. 00 State-bank notes outstanding 3, 200. 00 Due to other national banks Due to State banks and bankers.. 55.97 4, 665. 51 Dividends unpaid j. 319.14 Individual deposits | 200.00 |! United States deposits j. 78.27 || Deposits of U.S.disbursingofficers. \. 19,148.05 I 1,000.00 j; Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 151,703.04 ! Total . $5o7ooo7oo 1,000.00 5, 777.38 11, 250. 00 2, 676.90 80, 998. 76 151, 703. 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 553 MISSOURI. First National Bank, Carrollton. No. 4079. W. E. HUDSON, President. T. B. GOODSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits j TJ. S. bonds on hand Premiums on TJ. S. bonds $242, 203. 93 6, 853.46 25,000.00 j I Stocks, securities, etc j Bank'ghouse,furniture,and fixtures j Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national/banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 2, 900. 00 6,604.43 4,524.83 20,763.26 348.55 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 12,024. 08 22,500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits 20.50 !i Deposits of U.S.disbursing officers. 8,046. 00 i 6, 000. 00 j Notes and bills rediscounted. Bills payable 1,125.00 325, 534.96 Total. Capital stock paid in. Liabilities other than those above stated Total. 171,010. 88 325, 534. CO First National Bank, Carthage. W M . E. BRINKERHOFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items I Exchanges for clearing house !. Bills of other national banks i Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3005. 293, 941. 75 Total. Y. A. WALLACE, Cashier. $176, 872.17 Capital stock paid in | 9 7 1 5 5 jl 9,715.15 25,000.00 [j Surplus fund jl Undivided profits, less current ! expenses and taxes paid 2, 900. 00 National-bank notes outstanding. 3, 278. 40 State-bank notes outstanding j 37, 637. 48 14,152.44 Due to other national banks 482. 76 Due to State banks and bankers . 10,741.76 Dividends unpaid 33.33 Individual deposits 525. 00 United States deposits j 24. 76 Deposits of U.S.disbursingofficers. j 5,453.50 6,000. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated Total . $100, 000.00 10,500.00 2,815.18 22,500.00 150. 00 157, 970. 57 293,941. 75 Carthage National Bank, Carthage. D. R. GOUCHER, President. Loans and discounts Overdrafts ... TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J . L . M O O R E , Cashier. No. 4815. $130, 839.73 Capital stock paid in. $100,000. 00 240.00 25, 000. 00 Surplus fund 5, 750. 00 Undivided profits, less current expenses and taxes paid 1, 254.84 2,750.00 1 National-bank notes outstanding. 22,500.00 1, 450. 00 State-bank notes outstanding 14, 500. 00 1,113.41 Due to other national banks 212.61 Due to State banks and bankers.. 8, 723. 22 14, 808. 78 Dividends unpaid 45.00 298. 43 Individual deposits 85, 684. 99 2,040.00 1 United States deposits ! 157. 47 DepositsofU.S.disbursingoflficers. 9, 201. 40 3, 200. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 215,447. 44 Total. 215, 447.44 554 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Central National Bank, Carthage. No. 4441. AMOS H. CAFFEE, President. J . E. LANG, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ 1S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional ourrency,nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund, with Treas. U. S. Due from Treasurer U. S Total Liabilities. $198,151.95 5, 056. 33 25,000. 00 1, 500.00 9, 051.94 19,000.00 7, 617. 84 447.69 4, 400.00 15,938. 29 479.18 1,050. 00 56. 80 7 527. 90 10, 500. 00 1,125. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11, 500. 00 2,173. 66 22, 500. 00 Due to other national banks Due to State banks and bankers Dividends unpaid 135. 00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 170,594.26 Notes and bills rediscounted Billspayable Liabilities other than those above 306, 902. 92 stated Total 306,902.92 First National Bank, Chillicothe. No. 3686. G E O . MILBANK, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned J3uefrom other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $83, 776.11 3,465. 75 12, 500. 00 1,406. 25 6,403. 77 8,574.12 8,521.87 4, 210. 52 'l,'130." 66' 90.63 4, 785. 00 2,405. 00 562, 50 J. D. BROOKSHIRE, Cashier. $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes p a i d . . . . . . . . . National-bank notes outstanding. State-bank notes outstanding 10, 000.00 2, 883.14 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits , Depositsof U. S.disbursing officers. 53, 698. 38 Notes and bills rediscounted Bills payable 10, 000. 00 Liabilities other than those above stated Total . 137,831. 52 137, 831. 52 Citizens' National Bank, Chillicothe. THOS. MCNALLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furnitiare,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4111. $121,090.42 38.97 12, 500. 00 1, 500. 00 2,666.66" W. W. EDGERTON, Cashier. Capital stock paid in \ $50,000.00 Surplus fund j Undivided profits', less current I expenses and taxes paid j National-bank notes outstanding. State-bank notes outstanding 10,243. 55 11, 250. 00 Due to other national banks 10,000.00 \ Due to State banks and bankers. 42,601. 68 Dividends unpaid 913. 62 1,000. 00 61.94 11,941. 05 3,143.00 562. 50 197, 353.18 Individual deposits United States deposits Deposits ofU.S.disbursing officers. Notes and bills rediscounted Billspayable Liabilities other than those above stated Total. 115,859.63 197, 353.18 REPORT OF THE COMPTROLLER OF THE CURRENCY. 555 MISSOURI. Boone County National Bank, Columbia. R. B. PRICE, President No. 1770. I. O. HOCKADAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand ~ Premiums on TJ. S. bonds Stocks, securities, etc Bank 'ghouse,furniture,and fixtures Otherreal estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearinghouse Bills of other nationalhanks Fractional currency, nickels cents. Specie Legal-tender notes TJ. "S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U S Liabilities. $200 153.79 2, 395. 81 25,000. 00 Surplus fund Undivided profits, less current 83, 000. 00 920. 39 140. 00 93,521.85 19,500.00 2, 000. 00 10, 555. 93 3,137.03 59,808.26 553.84 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1,671.17 7, 034.00 Individual deposits United States deposits. Depositsof U.S.disbursingofficers. 13, 072. 50 10, 000.00 1,125.00 Dividends unpaid 225,126.45 Notes and bills rediscounted. Bills payable Liabilities other than those above stated ! Total. 447, 858. 01 Total. $100, 000. 00 Capital stock paid in. 447, 858.01 Exchange National Bank, Columbia. JAMES H. WAUGH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels,cents. Specie Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S No. 1467. $207, 889. 87 2, 662. 27 25, 000. 00 2, 500. 00 37, 957. 00 12,900. 00 2,000. 00 26,115. 58 5,004.10 51,706. 24 4,221.74 •2,480. 00 37.12 15, 005.00 7, 500.00 1,125.00 404,103. 92 Total. ROBT. L. TODD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. . Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000. 00 30, 000.00 19,556.14 22,500.00 411.57 231,636. 21 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 404,103. 92 First National Bank, Grant City. E. O. SAYLE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit , Redemption fund with Treas. U. S. Due from Treasurer TJ. S I Total. No. 3380. $119,419.85 779.43 50, 000. 00 JOHN F . ROBERTSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 1,583. 62 State-bank notes outstanding $50,000.00 20, 000.00 1,018.01 45, 000. 00 2, 000. 00 971. 90 Due to other national banks Due to State banks and bankers. 17, 516. 96 Dividends unpaid 463. 88 Individual deposits 905. 00 United States deposits 101. 30 Depositsof U. S. disbursing officers. 5, 462. 00 2, 685. 00 Notes and bills rediscounted 2, 250. 00 204,138. 94 Bills payable Liabilities other than those above stated Total. 77, 356. 76 2, 764.17 8, 000.00 204,138.94 556 REPORT OF THE COMPTROLLER OF THE CURRENCY. MIS SOURI. First National Bank, Hamilton. No. 4151. PETER A. SWITZER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaibanks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S $100, 374. 71 10, 213.07 12, 500.00 2,000.00 1,917. 24 7,143. 80 3,798. 93 Capital stock paid in. $50, 000. 00 Surplus fund , Undivided protits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 1,600.00 7, 536. 60 10, 850. 00 2,116. 63 Due to State banks and bankers1,872.28 i , 5,038.85 Dividends unpaid Individual deposits 2, 747. 00 United States deposits 53. 92 DepositsofU.S.disbursingofncers 2,950. 00 3,000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above 154,172. 30 Total. JOHN T. STAGNER, Cashier. Liabilities. stated Total. 82, 069. 07 154,172.30 First National Bank, Hannibal. C. ALBERTSON, President. W. F. CHAMBERLAIN, Cashier. No. 4010. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, farniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $285,014.19 1,432. 83 25, 000.00 3, 000. 00 11,651.47 3,134.84 Capital stock paid in. 490. 00 93.07 6,115. 00 8,000. 00 1,125. 00 359, 082. 52 3, 500.00 12,129. 34 22,500.00 , 1, 627. 74 9, 602. 45 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 193,618.99 Due to other national banks 4,168. 22 7, 732. 72 2,125.18 $100, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to State banks and bankers- Notes and bills rediscounted Bills payable 4.00 16,100. 00 Liabilities other than those above stated Total. 359,082. 52 First National Bank, Independence. M. W. ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit.. npti S. Kedemption fund with S. Due from Treasurer U. Treas. U. Total. No. 4157. WM. A. SYMINGTON, Cashier. $171,876.55 Capital stock paid in. $100,000.00 2,109. 44 50, 000. 00 Surplus fund 16, 000.00 2, 500.00 15, 533.15 21, 500. 00 1,441. 00 2,092. 50 1,411.60 51, 046. 79 634.33 70.00 151.81 8, 879. 63 6,415.00 2, 250.00 337,911.80 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 686.52 45, 000. 00 Due to other national banks Due to State banks and bankers.. 3, 434. 39 Dividends unpaid Individual deposits ! United States deposits . DepositsofU.S.disbursingofficers-i- 167,790.89 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 337,911.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 557 MISSOURI. First National Bank, Jefferson City. J E S S E W. HENRY, President. No. 1809. OSCAR G BURCH, Cashier. Kesources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . TJ. S. bonds to secure deposits XJ. S. bonds on band Premiums on U. 8. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg s owned Due from other national banks Due from State banks andbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. $184.148. 06 I Capital stock paid in 2, 404. 02 ! 12, 500. 00 ' Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. 144,465. 85 State-bank notes outstanding 15.670.00 I 5.071.90 Due to other national banks 4, 456. 00 Due to State banks and bankers. 24, 068. 52 Dividends unpaid 1,683.17 Individual deposits "1,275. 66 United States deposits 88.40 DepositsofU.S.disbursingofficer8. 26,933. 00 4, 000. 00 $50,000. 00 50,000.00 12, 063. 78 11,250.00 304, 012.64 Notes and bills rediscounted . Bills payable 562 50 Liabilities other than those above stated 427, 326.42 Total . 427,326.42 First National Bank, Joplin. No. 3841. L. A. FILLMORE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks andbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency,nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. J . A. CRAGIN, Cashier. $131, 676. 77 i I Capital stock paid in 642.06 25, 000. 00 j | Surplus fund , \ Undivided profits, less current ] I expenses and taxes paid 3, 000.00 || National-bank notes outstanding. 12, 678. 56 State-bank notes outstanding.. 12, 860. 22 750. 86 Due to other national banks Due to State banks and bankers. 19,137. 87 Dividends unpaid 4,674.11 Individual deposits 800. 00 United States deposits 62.84 Deposits ofU.S.disbursing officers. 11, 955. 35 4, 000. 00 I Notes and bills rediscounted. I Billspayable 1,125. 00 Liabilities other than those above stated 228, 363. 64 Total. $100, 000. 00 15, 250.00 2, 983.54 22, 500. 00 86,824. 07 228,363.64 Joplin National Bank, Joplin. GALEN SPENCER, President. Leans and discounts j Overdrafts j U. S. bonds to secure circulation... j U. S bonds to secure deposits | U. S bonds on hand I Premiums on U. S. bonds I Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned j Due from other national banks Due from Statebanksand bankers. Due from approved reserve agents. Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. A. H. WAITE, Cashier. No. 4425. $100,000.00 $154,774.53 Capital stock paid in. 1,396. 53 7,100.00 37,500.00 Surplus fund , Undivided profits, less current 4,154. 09 expenses and taxes paid 33,750. 00 5, 000.00 National-bank notes outstanding. 10, 600.00 State-bank notes outstanding.. 3,800.00 178. 69 1,661.15 Due to other national banks 212. 87 Due to State banks and bankers.. 186, G O 12,781. 68 Dividends unpaid 2,053.44 104,395. y0 Individual deposits 6,066. 00 United States deposits 179.48 DepositsofU.S.disbursingofiicers 8, 551. 50 3,500. 00 1, 687.50 Notes and bills rediscounted Bills payable Liabilities other than those above stated 249, 764.68 Total. 249, 764.68 560 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. National Bank of Commerce, Kansas City. W. S. WOODS, President. No. 3760. W. A. HULE, Cashier. Resources. Liabilities. $3,962, 590. 82 Capital stock paid in Loans and discounts | 50, 562. 39 O verdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation.. Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds* on hand National-bank notes outstanding. Premiums on U. S. bonds 66, 865. 00 State-bank notes outstanding Stocks, securities, etc 50, 000. 00 Due to other national banks Bank'g house,furniture,and fixtures Other reai estate and mortg's owned Due from other nationalbanks 59,475. 74 Due to State banks and bankers.. Due from State banks and bankers. 480,149.43 Due from approved reserve agents. 914, 657.52 Dividends unpaid Checks and other cash items 27,226.19 Exchanges for clearing house 100, 323.52 Individual deposits Bills of other nationalbanks 15,000.00 Certified checks Fractional currency, nickels, cents. 769. 67 United States deposits 74,843.35 Deposits of U.S. disbursing officers. Specie 100,000.00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated Total 5,954,713.63 Total $1,000,000.00 200, 000.00 77, 420. 49 45, 000. 00 1,193, 797. 98 1,361,219.26 667. 50 1,826,113.98 494.42 250, 000.00 5,954, 713.63 Union National Bank, Kansas City. No. 3637. D. T. BEALS, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits ! ; U. S. bonds on hand Premiums on U. S. bonds [ Stocks, securities, etc j Bank'g house,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.' Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. H. V. LEWIS, Cashier. ,853,181.95 ' Capital stock paid in. 34,915.06 ; 50,000.00 ; Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000.00 13,169.12 Due to other national banks 26,300.00 105, 492. 91 Due to State banks and bankers.. 57,062. 90 297,907.39 Dividends unpaid 387.40 31, 547. 60 Individual deposits 15,000. 00 Certified checks 722. 82 United States deposits 180, 000.00 Deposits of U. S.disbursing officers. 100, 000. 00 Notes and bills rediscounted Bills payable 2, 250.00 1, 500.00 Liabilities other than those above stated 2, 829, 437.15 Total. $600, 000. 00 66, 000. 00 25, 038. 04 45, 000. 00 307, 841.94 578, 813.96 1, 202,168. 21 4, 575. 00 2, 829, 437.15 First National Bank. King City. JOSEPH H. WARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures! Other real estate and mortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national joanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 4373. GEORGE W A R D , Cashier. $156,524.90 j; Capital stock paid in. 1,322.17 !! 25, 000. 00 Surplus fund Undivided profits, less current ex|)enses and taxes paid 2,850.00 I National-bank notes outstanding. State-bank notes outstanding 28, 688. 15 i 9,000. 00 | Due to other national banks $5O7OOO. 00 25,000.00 5, 592. 07 22, 500. 00 127.'28" Due to State banks and bankers,, 5, 637. 64 2, 309. 86 Dividends unpaid 320. 00 Individual deposits 37. 98' United States deposits 10,142. 60 DepositsofU.S.disbursingofficers. 2, 785. 00 Notes and bills rediscounted. Bills payable „ „ 1,125. 00 Liabilities other than those above stated 245,870. 58 Total. 112, 778. 51 30,000.00 245, 870.58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 561 MISSOURI. First National Bank, La mar. JAMES H. WILSON, No. 4057. President. J2. ALBRIGHT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.., U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank ng house, furniture, and fixture-^ Otherreal estate and mortg's owned Due from other national banks.. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. IT. S. Due from Treasurer U, S- Liabilities. $92, 064. 35 1, 077.10 12,500. 00 1, 250. 00 7, 792. 94 1,400.00 1,218.82 590. 96 153. 00 3.65 1, 704. 75 2,307. 00 562. 50 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaiu Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted... Bills payable 219.18 37,785.41 10,000.00 Liabilities other than those above stated Total Total . 122,625.07 122, 625. 07 First National Bank, Liberty. DANIEL HUGHES, President. No. 3712. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total GEORGE S. KITCHEY, Cashier. $99, 436.12 j Capital stock paid in. 5,380.06 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 7, 050. 00 State-bank notes outstanding 19, 510. 77 1, 800. 00 Due to other national banks 516. 28 Due to State banks and bankers.. 20, 295. 45 Dividends unpaid 466. 44 Individual deposits United States deposits Deposits of U.S.disbursing officers. 4, 838. 73 2,175. 00 Notes and bills rediscounted.. Bills payable 562. 50 Liabilities other than those above stated 174, 259. 35 Total . $50, 000. 00 1, 286. 85 1, 376. 25 11, 250. 00 152. 71 1,121.84 109,071.70 174, 259. 35 First National Bank, Macon. W. S. WATSON, President. Loans and discounts Overdrafts U". S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hou Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . CUR, PT 2 JNO. SCOVERN, Cashier. No. 2862. $160, 775. 46 Capital stock paid in. $50, 000. 00 4, 092. 29 18, 800. 00 Surplus fund 10, 000. 00 Undivided profits, less current 2,025. 27 expenses and taxe.' paid 2, 000. 00 National-bank notes outstanding. 16, 920.00 3, 500. 00 State-bank notes outstanding 1, 687. 20 Doe to other national banks 4,750. 63 Due to State banks and bankers 29, 689.81 68.80 *"i~245'()0 72. 42 6. 363. 60 4, 588. 00 846. 00 233, 698. 58 Dividends unpaid Individual deposits j United States deposits.. Deposits of U.S.disbursingofficers. i Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 150, 002. t 233, 698.58 562 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Maryville. S. H. No. 3268. J o s . JACKSON, President. Resources. : $100, 000. 00 Loans and discounts $254.779.73 Capital stock paid in Overdrafts 9,868.00 14.035. 26 XT. S. bonds to secure circulation... 2&$00. 00 Surplus fund j Undivided profits, less current XT. S. bonds to secure deposits jk • * i 3, 668. 70 j expenses and taxes paid XT. S. bonds on hand ] 22, 500. 00 Premiums on XT. S. bonds. | 2,000.00 J National-bank notes outstanding. | State-bank notes outstanding iStocks, securities, etc i j Bank gbouse,furniture,and fixtures! 17, 000.00 j Due to other national banks j. < )ther real estate and mortg's owned: Due to State banks and bankers.. 1 ;. Due from other national banks j Due from State banks and bankers. j 41.70 jDue from approved reserve agents. 17,527.08 i Dividends unpaid Checks and other cash items 653.46 195, 4D1. 64 ! Individual deposits • Exchanges for clearing house , |. Bills of other national panics 586. 00 ; United States deposits Fractional currency, nickels, cents. 76. 88 I Deposi ts of U.S. disbursing officers.!. Specie I I 14,537.75 • Legal-tender notes | 2,500.00 I Notes and bills redisoounted | Bills payable XT. S. certificates of deposit | j Redemption fund with Treas. U . S . 1,125.00 ij Due from Treasurer U, S ! I Liabilities other than those above 10,000.00 i stated. ... j 345,695.60 345,695.60 I Total . Total . JOHN LIEBER, President. Maryville National Bank, Maryville* No. 4 m Loans and discounts Overdrafts XJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits XT. S. bonds on hand Premiums ou U. S. bonds j Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie „ Legal-tender notes XT. 6. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XT. S, Total. Q-. L. WILFLEY, Cashier. $157,311. 75 ; Capital stock paid in. 5? 922. 56 12,500,00 Surplus fiind. ....-.-.> ****»*. tin divided profits, le§& current expenses and fcyteft paid National-bank notes outstanding. State'bank iiotes outstanding 12, 326. 00 830.00 Due to otber national banks 4,500.00 Due to State banks and bankers. 4,500.00 10, 659. 81 Dividends Unpaid661.89 Individual deposits, 1,195.00 United btates deposits 59.05 Deposits of XT. S. disburain g officers. 8, 753. 45 4, 500.00 Notes and bills rediscounted. Bills payable^ 562.50 224,282.01 Liabilities other than those above stated Total. 10,1 M 134,133. 2 15-, 000,00 224, 282. 01 Scotland County National Bank, Memphis. GRANVILLTI DAGGS, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation-.. XT. S. bonds to secure deposits XJ. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'#house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XT. S Total No. 2432. $80, 600. 69 776.00 12, 500.00 J. . BARNES, Cashier. Capital stock paid in. $50,000.00 Surplus fund XTndivided profits, less current expenses and taxes paid 1, 250.00 National-bank notes outstanding 25, 646. 85 State-bank notes outstanding 10, 618.13 10,050. oa 4, 620. 00 4, 999.10 85.58 1,510.92 16,674.05 78.20 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 470.00 United States deposits 38.47 DepositsofXT.S.disbursingofficers. 20, 593.45 11,230. 00 Notes and bills rediscounted 562 50 Bills payable Liabilities other than those above stated , Total . 10, 000. 00 835. 00 100,132. 68 181, 635.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 563 MIS S O U R I . First National Bank, Mexico. No. 2881. W. A. MORRIS, President. R. R. ARNOLD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures! Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national^banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $88,721.90 908.47 12,500. 00 Capital stock paid in. 153,999.30 Total. $50, 000.00 Surplus fund Undivided profits, less current 10, 000. 00 expenses and taxes paid 2,800. 00 National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 Due to other national banks 9,154.74 Due to State banks and bankers. 11,637. 78 Dividends unpaid 1,180. 43 Individual deposits 1, 000. 00 United States deposits 33.48 Deposits of U.S. disbursing officers. 5, 500. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total . 10, 000. 00 831. 34 11, 250.00 81,917.96 153,999.30 First National Bank, Milan. ISAAC GuiNtf, President. No. 3110. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from otner national banks Due from State banks and bankers Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U, S $140, 833.47 2, 434.22 18,750. 00 2,250. 00 $75, 000.00 Surplus fund Undivided profits, loss current expenses and taxes paid 16,500.00 9,653.64 16,875. 00 National-bank notes outstanding. State-bank notes outstanding 6, 200. 00 8, 500. 00 Due to other national banks 1, 093. 82 Due 10 State banks and bankers. 7,500. 00 13, 230. 23 Dividends unpaid 2, 057. 61 Individual deposits " 1,566,66" United States deposits 30.00 Deposi ts of U. S. di sbursing officers. 5,473.90 6,119. 00 Notes and bills rediscounted Bills payable 843. 75 Liabilities other than those above 216, 816! 00 Total. J . C. MCCOY, Cashier. Capital stock paid i n . . . 92, 387.36 6,400.00 stated Total. 216, 816.00 First National Bank, Nevada. H. L. TiLLOTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U. S Total. No. 3959. $164,426.94 5, 602.96 25,000.00 3, 000. 00 10,999.70 17, 548. 64 2,464. 00 20,013.42 I, 612. 58 3,692. 00 2, 815. 75 14,500.00 1,125.00 272,800.99 WELLINGTON BARNES, Cashier. Capital stock paid in , Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. j $100,000.00 561.17 3,869.14 22, 500.00 1,568.15 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 143, 802.53 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 500.00 272,800. 99 564 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. National Bank, Odessa. No. 4141. JOHN C. COBB, President. F. T. BATES, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $190,720. 37 5,523.87 25, 000.00 2,000. U0 15, 600. 00 11, 200. 00 89.97 6,213.89 2, 498. 82 45. 66' 160. 98 5, 601. 50 2, 690. 00 1,125. 00 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 7 000.00 9,478. 50 22,500.00 Due to other national banks j. Due to State banks and bankers..!. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 119, 490. 90 10, 000. 00 Liabilities other than those above stated 268, 469. 40 Total. \ i Total. 268,469.40 First National Bank, Palmyra. B. L. BOWLES, President. Loans and discounts Overdrafts i U. S. bonds to secure circulation... j TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . No. 2979. $98, 229. 00 5, 987.12 15, 000. 00 JAMES W. PROCTOR, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000.00 16, 000.00 1, 752. 09 13, 500. 00 6, 351. 00 1, 580. 23 1,103. 95 1,670.33 264.11 650. 00 5.37 3, 500. 00 2, 020. 00 675. 00 137, 536.11 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 41, 284. 02 5, 000. 00 Liabilities other than those above stated Total. 137, 536.11 National Bank, Paris. D. H. Moss, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ) Premiums on U. S. bonds I Stocks, securities, etc j Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned| Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . ¥ M . F. BUCKNER, Cashier. No. 3322. $197, 804.15 Capital stock paid in j $100, 000. 00 1,849. 66 25, 000. 00 Surplus fund j 25, 000. 00 Undivided profits, less current i expenses and taxes paid ; 4, 870. 88 National-bank notes outstanding, j 22, 200. 00 State-bank notes outstanding ; i Due to other national banks ; Due to State banks and bankers.. j 1,670. 51 Dividends unpaid ! 3. 461. 00 57.40 13,471.60 1, 000. 00 1,125. 00 350.00 303,460. 02 Individual deposits United States deposits Depositsof U.S.disbursingofficers . 149, 718. 63 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 303, 460. 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 565 MIS SOURI. Pierce City National Bank, Pierce City, JOHN D. SCOTT, President. No. 4.225. L. A. CHAPMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes X S. certificates of deposit L Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $92,128. 64 2, 768. 31 12, 500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 235. 05 State-bank notes outstanding 16, 057. 91 4,810.57 Due to other national banks Due to State banks and bankers. 2, 822.12 22, 696. 21 Dividends unpaid 389.77 Individual deposits 2, 435. 00 United States deposits 185. 00 DepositsofU.S.disbursingofiicers. 4, 63H. 30 2,000. 00 Notes and bills rediscounted Bills payable ""'562.'50' Liabilities other than those above stated 165,674.38 Total. 6, 500.00 2,936.23 11, 250.00 91, 988.15 3, 000. 00 165, 674. 38 First National Bank, Plattsburg. O. P. RILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg'sowned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4215. Capital stock paid in. GrEo. R. RILEY, Cashier. Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 100. 00 State-bank notes outstanding 5, 465. 00 2, 603. 30 Due to other national banks 5, 854. 36 Due to State banks and bankers. 11,623.17 Dividends unpaid 125.60 Individual deposits 164. 00 United States deposits 78.88 Deposits of U.S.disbursingotncers. 4, 437. 50 2, 200. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 203, 829. 70 Total. $50,000.00 20, 000.00 6,480.11 10, 950. 00 116, 399.59 203, 829. 70 National Bank, Rolla. A. S. LONG, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. D. W. MALCOLM, Cashier. No. 1865. $134,752. 52 Capital stock paid in $50, 000. 00 1,105. 68 12, 500. 00 Surplus fund 10, 000.00 Undivided profits, less current expenses and taxes paid 3,170. 77 National-bank notes outstanding. 11,250.00 42. 542.42 State-bank notes outstanding..... 1, 533. 55 60.00 Due to other national banks 1,268.93 Due to State banks and bankers.. 7, 061. 37 3, 585. 05 693. 64 Dividends unpaid Individual deposits 1, 352. 00 United States deposits 55.65 DopositsofU.S.disbursingoflicers. 9, 481.10 4, 500. 00 Notes and bills rediscounted Bills payable ""562." 50" Liabilities other than those above stated 213, 993. 04 Total 40.00 119, 970. 90 7, 500. 00 5, 000. 00 213, 993. 04 566 REPORT OF THE COMPTROLLER OF THE CURRENCY, MISSOURI. First National Bank, Saint Charles. B. F. BECKEK, President. No. 260. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S bonds on hand . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from. State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total HENRY ANGERT, Cashier'. Liabilities. $184,159. 25 241. 23 12, 500.00 40, 003. 82 10, 000.00 30.75 28,436.10 27,178. 44 89.41 $50, 000. 00 Capital stock paid in 39, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-ba^k notes outstanding 4, 460.11 10, 850. 00 Due to other national banks Due to State banks and bankers.. 470.00 Dividends unpaid 213, 593. 22 ! Individual deposits 920.00 i United States deposits 51.83 I Deposits of U.S.disbursingofficers. 10, 000. 00 4, 200. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above 318,373.33 stated Total 318, 373. 33 First National Bank of Buchanan County, Saint Joseph. S. C. WOODSON, President. No. 4939. Loans and discounts * Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ouse Exchanges for clearing hoi Bills of other national banks Bills Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ., 214, 067.89 5,111.36 50,000.00 54, 078. 80 49,530. 36 3,405. 90 16, 933. 80 46, 883. 83 230, 291.12 14, 839. 36 29,126. 90 5, 670. 00 165.53 94,608. 00 36, 850. C O 2, 205. 00 J . "W. MeALISTER, Cashier. $500, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11,224.40 44,100. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 202, 061. 56 382,427.18 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 713, 954. 71 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,853, 767. 85 Total 1,853,767.85 National Bank, Saint Joseph. CALVIN F . BURNES, President. No. 2970. Loans and discounts $1, 528, 044. 77 Overdrafts 100,000. 00 TJ. S. bonds to secure circulation... 50,000. 00 TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc 6, 557. 20 Bank'ghouse,furniture,andfixture8 25, 000. 00 Other real estate and mortg's owned 62, 947. 94 Due from other national banks , 18, 928. 36 Due from State banks and bankers. 251, 274. 32 Due from approved reserve agents. Checks and other cash items 1, 983. 51 Exchanges for clearing house 10,123, 62 2, 855, 00 Bills of other national banks 303.11 Fractional currency, nickels, cents. 104, 428. 20 Specie 96, 786. 00 Legal-tender notes V. S. certificates of deposit 4, 500. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 000. 00 Total 2,264,732.03 GrEo. C. HULL, Cashier. ! $100, ooo.oo Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding..... | 100, 000. 00 Due to other national banks ! Due to State banks and bankers.. j 173,984. 55 2J 9,353. 09 Capital stock paid in I 24, 510.63 90,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 1,511,924.26 44,706.70 252.80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total : 2, 264,732. 03 &EPORT OF THE COMPTROLLER OF THE CURRENCY. 567 MISSOURI. State National Bank, Saint Joseph. No. 4228. E. LINDSAY, President. Resources. Loans and discounts $1, 045,196. 35 7 286.95 Overdrafts U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 4, 500. 00 9,450. 39 Stocks, securities, etc 31, 350. 00 Bank'g house,furniture,and fixtures 8, 944.10 Other real estate and mortg's owned 39, 221. 23 Due from other national banks 17.300.53' Due from State bank sand bankers187,399.73 Due from approved reserve agents.: Checks and other cash items 17,149. 75 .31,967. 07 Exchanges for clearing house 5,278.00 Bills of other national banks Fractional currency, nickels, cents 147.70 72 815.00 Specie 23, 000. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U.SJJue from Treasurer U. S Total S. MCDONALD, J R . , Cashier: Liabilities. Capital stock paid in $500; 000. 00 Surplus fund Undivided profits, less 40, 000. 00 current National-bank notes o u t s t a n d i n g . State-bank notes outstanding Due to other national b a n k s Due to State banks and b a n k e r s . . Dividends unpaid 35^ 274. 61 45, 000. 00 17,811.53 93, 028. 51 1, 807. 50 Individual deposits, United States deposits DepositsofU.S.disbursing officers. 820,331.65 Notes and bills rediscounted Bills payable Liabilities other t h a n those above stated 1,553,256.80 Total 1, 553, 256. 80 Third National Bank, Saint Louis. GEORGE T. CRAM, President. No. 170, Loans and discounts j $2, 848,496. 38 Overdrafts j 4, 421. 64 50, 000.00 XJ. S. bonds to secure circulation... j XT. S. bonds to secure deposits... XJ. S. bonds on hand 5,000.00 Premiums on XJ. S. bonds Stocks, securities, etc 27,500. 00 191,390.94 Bank'g house,furiiiture,and fixtures Other real estate and mortg's owned 162, 633. 34 Due from other national banks 37,144.12 Due from State banks and bankers. Due from approved reserve agents. 1,243. 76 Checks and other cash items Exchanges for clearing house 178, 946. 72 Bills of other national banks 5, 715. 00 Fractional currency, nickels, cents. 150. 01 Specie 225, 218. 00 Legal-tender notes 12, 528. 00 U. S. certificates of deposit 75, 000. 00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total. 3, 827, 637. 91 T. A. STODDARD, Cashier. Capital stock paid in $1, 000, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200, 000. 00 Due t o other nation^1 banks 858, 955. 75 483,2o2. '^0 Due to State banks and b a n k e r s . . Dividends unpaid Individual deposits Certified checks. United States deposits Deposits of U.S. disburshigofficen Notes and bills rediscounted. Bills payable 74, 522. 41 33, 400.00 837.00 1, 067, 375. 71 9,314.84 100, 000, (JO Liabilities other t h a n those above stated Total . 3, 827, 637. 91 Fourth National Bank, Saint Louis. F . W . BIEBINGER, President. Loans and discounts Overdrafts. XJ. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bankrghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U.lS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 283. G. A . W. AUGST, Cashier. $3, 759, 974.84 Capital stock paid in . \ $1, 000, 000. 00 4, 653. 68 50,000. 00 Surplus fund 700,000.00 Undivided profits, less current 80,556. 44 j expenses and taxes paid National-bank notes o u t s t a n d i n g . 43,890.00 State-bank notes outstanding 721,861. 73 14,341. 89 Due to other national banks 808, 961.56 \ 378, 519. 28 38, 822. 40 25, 726. 01 31, 039. 63 9, 429. 00 689. 55 453, 839. 00 201,000. 00 135, 000. 00 2, 250. 00 5, 827,147. 01 797,024.48 Due to State banks and bunkers.. j ! Dividends unpaid 2, 3G0,860. 60 Individual deposits i>5, 85;J. 93 Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 5,827,147.01 568 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Chemical National Bank, Saint Louis. J O S E P H C. RICHARDSON, President. No. 4575. JAMES B. TRUE, Cashier. Resources. Liabilities. Loans and discounts $1,193, 328.90 Overdrafts 6,537. 04 U. S. bonds to secure circulation... 52, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds i Stock, securities, etc j Bank'g bouse, furniture and fixtures { 10, 000. 00 Other real estate and mortg's owned Due from other national banks 334, 271. 32 Due from State banks and bankers. 93, 671. 22 Due from approved reserve agents. "5" 093." 20 Checks and other cash items Exchanges for clearing house. 53, 927. 08 Bills of other national banks 17, 933. 00 Fractional currency, nickels, cents. 37. 29 Specie 164, 960.20 Legal-tender notes 136, 050. 00 TJ. s. certificates of deposit Redemption fund with Treas. U. S. 2, 292. 50 Due from Treasurer U. S Total . 2, 070,101. 75 $500, 000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 31,000.00 Due to other national banks Due to State banks and bankers.. 279, 317. 75 115.095.81 6,185. 86 45, 250. 00 7.50 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 1, 093, 244.83 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 2, 070,101. 75 Continental National Bank, Saint Louis. GEORGE A. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash, items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4048. F. E. MARSHALL, Cashier. ;, 714, 030. 97 : Capital stock paid in 90(5.59 50, 000. 00 ; Surplusfund 275,000.00 Undivided profits, less current expenses and taxes paid 24,000.00 National-bank notes outstanding. 112,103. (35 1 State-bank notes outstanding 50, 982. 63 531, 230. 52 117, 697. 02 ** 20, 796.72 185, 390. 03 4, 700. 00 816. 82 421, 437. 00 152, 500. 00 2, 250. 00 1, 000, 000. 00 200, 000.00 55,184.15 45, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 804, 502. 00 947,678. 69 Individual deposits United States deposits Deposits of U .S.disbursing officers. 1, 261,426.11 250,000. 00 Notes and bills rediscounted. Bills payable 51.00 100, 000. 00 Liabilities other than those above stated 5,663,841.95 | Total . 5, 663, 841. 95 Merchants'-Laclede National Bank, Saint Louis. W. H. LEE, President. No. 5002. J. NICKERSON, Cashier. $5, 063,935. 24 Capital stock paid in Loans and discounts | $1,400,000.00 18, 212.14 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 250, 000. 00 Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid 70,841.61 U. S. bonds on hand 45, 000. 00 70,125.66 National-bank notes outstanding. Premiums on TJ. S. bonds Stocks, securities, etc 5,045.00 State-bank notes outstanding Bank'g house,furniture,and fixtures 7,096.37 Due to other national banks 680, 906. 57 Other real estate and mortg' s owned | 348,251.64 Due to State banks and bankers.. 1,155,228.86 Due from other national banks Due from State banks and bankers. 70,853.05 1 Dividends unpaid Due from approved reserve agents. Checks and other cash items 3, 402,184. 34 i 224,077.70 lj Individual deposits Exchanges for clearing house 318.90 ! 56,745.00 Certified checks Bills of other national banks ... 225, 000. 00 ! 178. 14 ! United States deposits Fractional currency, nickels, cents. 249,148.00 I Deposits of U.S.disbursingofficers. I Specie 1,046,000.00 Notes and bills rediscounted 298,974.11 Legal-tender notes U. S. certificates of deposit 200, 000. 00 Bills payable Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated Total . 7,478,454.39 Total 7,478,454.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 569 MISSOURI. National Bank of Commerce, Saint Louis. WM. H. THOMPSON, President. Resources Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherrealestateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4178. J. C. VAN BLARCOM, Cashier. Liabilities. , 782, 277. 25, 952. 50, 000. 593, 423. 550, 000. 393, 027. 471, 9(36. Capital stock paid in. $3, 000, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 600, 000. 00 Due to other national banks Due to State banks and bankers.. 1, 798, 345.59 1,556,495.62 Dividends unpaid 5,114. 531, 497. 26, 491. 672. 684, 907. 746, 537. 500,000. 2, 250. 4, 500. 305, 824. 62 42, 600.00 52, 500. 00 Individual deposits United States deposits Deposits of U.S.disbursingoflicers 6, 012, 851.92 Notes and bills rediscounted. Bills payable.. .• Liabilities other than those above stated 13,368,617.75 Total 13, 368, 617. 75 National Bank of the Republic, Saint Louis. C. W. BULLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4232. , 700,199. 99 3,126. 25 50, 000. 00 5, 500. 00 74, 884. 68 17, 500. 00 144, 866. 28 28, 773. 60 $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 28, 238.38 44, 400. 00 Due to other national banks Due to State banks and bankers.. 418, 399.45 386, 741.39 Dividends unpaid 4,817.17 30, 733. 81 Individual deposits 1, 300.00 Certified checks 40.56 United States deposits 160,201.10 DepositsofU.S.disbursingofficers. 130, 000.00 Notes and bills rediscounted 2, 250. 00 Bills payable Liabilities other than those above stated 2, 354,193.44 Total. W . H . G R A H A M , Cashier. Capital stock paid in Total. 20, 000. 00 758, 652. 62 11.60 47, 750. 00 150, 000. 00 2, 354,193.44 Saint Louis National Bank, Saint Louis. L. C. NELSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S.bonda on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Otherrealestate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1112. CHAS. W. ISAACS, Cashier. I, 331, 722. 48 Capital stock paid in $1, 000, 000. 00 1, 963. 44 100, 000. 00 50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4,976.64 45, 000.00 6, 000. 00 National-bank notes outstanding. 32,301.58 State-bank notes outstanding 157, 000.00 932, 664. 34 97,169. 36 Due to other national banks 648,190. 58 600, 028. 25 Due to State banks and bankers.. 98,861.79 917.25 Dividends unpaid 14, 267. 56 2, 070, 409. 41 Individual deposits 72, 794. 98 10, 070. 99 64, 886. 00 Certified checks 83.77 United States deposits..: 322, 900. 00 Deposits of U.S.disbursingofficers. 160, 000.00 Notes and bills rediscounted 200, 000.00 Bills payable 2, 250. 00 Liabilities other than those above stated 5,012,229.21 Total 5,012,229.21 570 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Third National Bank, Sedalia. ]STo. 2919. JOHN N". DALBY, President. R. EL MOSES, Cashier. Liabilities. Resources. Loans and discounts 1 $410, 512.50 Capital stock paid in. Overdrafts | 5, 534.22 U. S. bonds to secure circulation... j 25, 000.00 I Surplusfund U. S. bonds to secure deposits j j Undivided profits, less current U. S. bonds on hand ! | expenses and taxes paid Premiums on U. S. bonds | 3, 000. 00 i National-bank notes outstanding. Stocks, securities, etc j 1. 849. 22 State-bank notes outstanding..... Bank'g house ,furniture,and fixtures! 4, 913.75 Other real estate and mortg's owned! 7, 365.48 Due to other national banks 145. 70 Due from other national banks ! Due to State banks and bankers.. Due from State banks and bankers. I Due from approved reserve agents. 43, 066. 20 Dividends unpaid Checks and other cash items L 13 8 Exchanges for clearing house Individual deposits Bills of other nationalbanks 850." 66' United States deposits Fractional currency, nickels, cents. 152.05 Deposits of U.S.disbursing officers. Specie 840. 50 500.00 Notes and bills rediscountcd. Legal-tender notes U. S. certificates of deposit Bills payable Redemption fund with Treas. U . S . 1,125. 00 Due from Treasurer U. S Liabilities other than those above stated Total. 537, 722. 75 Total $100,000.00 30,000. 00 11,359.28 22, 500.00 42,115.41 331. 748. 06 537, 722. 75 Citizens' National Bank, Sedalia. W. T. HUTCHINSON, President. No. 1971. Loans and discounts Overdrafts * U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band j Premiums on U. S. bonds Stocks, securities, etc ! Bank'g house,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. W M . H. POWELL, J R . , Cashier. $258, 878. 53 Capital stock paid in. 1, 700. 69 25,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 17, 072.50 State-bank notes outstanding.. . 1 . 18, 800. 00 Due to other national banks 1,810.09 Due to State banks and bankers.. 851. 98 19, 576. 94 Dividends unpaid 2, 868. 23 | Individual deposits 3,168. 66 j United States deposits 30.00 Deposits of U. S.disbursing officers. 13, 565.00 10, 000.00 I Notes and bills rediscounted... J Bills payable 1,125. 00 Liabilities other than those above stated Total. 375,046.96 I $100, 000. 00 30, 000. 00 5.819.75 22, 500. 00' 17,075. 01 199, 652. 20 375, 046.96 Sedalia National Bank, Sedalia. E. R. BLAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4392. $218, 733.37 1,266.26 25, 000.00 300.00 22, 508. 42 36.32 32.30 8, 372. 34 2, 420. 00 229.00 16. 27 9,129. 45 3,000. 00 825.00 291,868.73 ! F . W. SHULTZ, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofU.S. disbursing officers. J Notes and bills rediscounted. Bills payable $100, 000.00 12, 000. 00 925. 57 22, 500. 00 4, 797.14 129,646.02 10,000.00 Liabilities other than those above \ stated Total . 12,000. 00 291,868. 73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 571 MISSOURI. Central National Bank, Springfield. No. 3718. GEO. M. JONES, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ S. Due from Treasurer IT. S Total. J. D. SHEPPARD, Cashier. Liabilities. $398,152.68 1 Capital stock paid in 1 6,822.52 || 50, 000. 00 Surplusf und 6, 500. 2,366. 22, 695. 27,146. 6, 939. 908. 72, 708. 3, 491. 89 2, 443. 00 154.74 18, 544. 80 4, 500. 00 2, 250.00 $200,000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,000. 00 12,419. 73 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 363, 204.93 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 625, 624. 66 625, 624. 66 First National Bank, Stewartsville. ANDREW J . CULBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. F. CLARK, Cashier. No. 4160. $91, 428. 59 ! j Capital stock paid in 673. 58 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 200. 00 Due to other national banks 1,693.27 Due to State banks and bankers.. $50,000.00 3,350.00 2,506.81 11, 250.00 14.52 Dividends unpaid 1,400.00 23. 41 4,419. 00 562. 50 Individual deposits Unii ed States deposits Deposits of U.S.disbursingofficers. 56,595. 94 Notes and bills rediscounted Bills payable Liabilities other than those above stated 123, 717.27 Total . 123,717. 27 First National Bank, Tarkio. D. RANKIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash, items. Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3079. JAMES S. WILSON, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 6, 000. 00 1,118. 06 11, 250. 00 Due to other national banks Due to State banks and bankersDividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 77, 637. 70 Notes and bills rediscounted Bills payable 13,800.00 Liabilities other than those above stated Total. . 159,805. 76 572 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Trenton National Bank, Trenton. No. 4933. ¥ M . E. AUSTIN, President. R. M. COOK, Cashier. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $234,196.94 ; Capital stock paid in. 35,878.88 ' 25, 000. 00 ! Surplusfund I Undivided profits, less current i expenses and taxes paid I National-bank notes outstanding. 11,046.16 | State-bank notes outstanding 8,000.00 1,162. 74 I Due to other national banks j Due to State banks and bankers.. 328.59 15,476.82 Dividends unpaid 850.57 ! Individual deposits 495.00 i; United States deposits 135.55 Depositsof U.S.disbursingofficers. 10,415.45 2,485. 00 Notes and bills rediscounted. Bills payable 1,103.50 I Liabilities other than those above stated Total. 346,575.20 $75, 000.00 600.00 8,177.18 22, 070. 00 802. 69 480.00 214, 445.33 25, 000. 00 346, 575.20 Marshall National Bank, Unionville. No. 3068. H. D. MARSHALL, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiumson U.S.bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other.national banks Due from State banks and bankers. Due from approved reserve agents. Checks and othe cash items Exchange fo clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.i Due from Treasurer U. S ! Total. $96,419. 65 759.43 15, 000. 00 N. B. MARSHALL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 10, 000.00 2, 452. 93 13, 500. 00 6, 000.00 29, 028. 92 8, 060. 33 939. 79 1, 704. 00 36.19 6,655. 00 3, 000.00 675. 00 Due to other national banks Dae to State banks and bankers.. Dividends unpaid 120.96 Individual deposits United States deposits Deposits of U.S.disbursing officers. 92, 204.42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 168, 278. 31 168, 278.31 National Bank, Unionville. DAVID W. POLLOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 3137. $114,210.98 795.96 12, 500. 00 F. H. WENTWORTH, Cashier. Capital stock paid in.. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 10,000. 00 2, 923. 83 11, 250. 00 1, 000.00 19,993.91 912. 68 2,655. 00 4.07 460. 00 4,300.00 562. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 83,221.27 Notes and bills rediscounted Bills payable Liabilities other than those above stated 157, 395.10 Total. 157,395.10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 573 MISSOURI. First National Bank, "Webb City. E. B. ALLEN, President. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. No. 4475. $62,202. 38 3, 333.08 12,500.00 1, 625. 00 12,201. Ofi 430. 99 455. 00 9, 935.91 895. 43 "l* 510.' 66 9.06 2,075.10 2, 000. 00 562. 50 Due from Treasurer U. S Total. Louis HELM, Cashier. Liabilities. 109, 735. 51 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 302.15 7, 446. 94 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 40, 736. 42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 109, 735. 51 574 REPORT OF THE COMPTROLLER OF THE CURRENCY. IHON T A W A . Big Timber National Bank, Big Timber. #0jfBPH D. , President No. 4932. J. A. HALL, Cashier, Liabilities. Loans and discounts.......-...-.- * .> Overdrafts .-.-.-.TJ. S. bonds to secure circulation. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $08,694.70 1 Capital stock paid in 1 1,155,67 ; 12,600,00 ( Surplus fund I Undivided profits, less current expenses and taxes paid 943. 75 Kational-bank notes outstanding. 7, 240. 79 Statcbank notes outstanding 1, 380. 78 6,198. 06 Due to other national banks 4,484. 38 Due to State bank* and bankers.. 15, 906.04 450. 00 6.33 4, 786. 00 2,122. 00 557. 50 5, 000. 00' 11, 307. 81 11,150. 00 3,964. 52 100.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 74,903.67 Notes and bills rediscounted . Bills payable Liabilities other than those above stated 156,426. 00 Total 156, 426. 00 Total. $50,000. 00* First National Bank, Billings. "WILLIAM A. LOMBARD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of otner national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. P. B. Moss, Cashier. No. 3097. $261, 844.63 6, 664. 24 37, 500. 00 84,376.00 17, 000. 00 31,641.18 14,402. 60 64.83 65, 752. 53 3, 751.45 $150,000.00 Capital stock paid i n . 7, 500. Q Q Surplus fund Undivided profits, less c u r r e n t expenses a n d taxes paid National-bank notes outstanding. State-bank notes outstanding 4. 532.39 33,750.00 Due to other national b a n k s Due t o State banks and b a n k e r s . . 12, 249. 90) 9,412.60) Dividends unpaid 325, 671.72: I n d i v i d u a l deposits 264.00 United States deposits 31.65 Deposits of U. S. dis bursing officers. 11,421.00 6, 715. 00 Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other t h a n those above stated 543,116. 61 Total. 543,116. 61 Yellowstone National Bank, Billings. A. L. BABOOCK, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniTure,andfixtures Other*real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4593. $176, 291. 07 3, 071. 83 12, 500. 00 117. 45 13,473. 77 12, 305.16 3,395. 08 16, 784. 78 2, 493.40 21,125. 37 3, 714. 52 ""937*66" 53.80 2,150.60 4, 700. 00 ""562." 50' G. A. GRIGGS, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank note? outstanding 10,000. 00 Due to other national banks Due to State banks and bankers.. 6,230.56 946. 09 11, 250. 00 Dividends unpaid Individual deposits .' United States deposits Depositsof U.S.disbursingofficers. 195, 249. 68 Notes and bills rediscounted Bills payable Liabilities other than those above stated 273,676.33 Total. 273,676.3S REPORT OF THE COMPTROLLER OF THE CURRENCY. 575 IWOMT A N A . Bozeman National Bank, Bozeman. No. 2803. EMORY COBB, President. PETER KOCH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits... U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, e t c . . . . . . . . . . . . . . Bank 1'g house, furnituf" e. andfixturet Other real estate arid niortg's. Owned Due from other iiaticjhal banks,;:::. £)u8 jfrbikl State5 batiks and bankers'. D>e from approved reserve agents. Checks and other1 cash items Exchanges for clearing hduse; Bilk of other national b a n k s . . . . . . . fractional currency < nickels, cents. .~ . S. certifidat.es Of d e p o s i t . . : . . , : . Redemption fund with TtetU). U, gj. Due from Treasurer TJ,S. ..*..*,**. $187, 363. 85 5, 243. 79 12, 500. 00 38; 223. 24 & 600. 7. 240. 50^ 588; 00 (Id 78 Capital stock paid in 00 10, 000. 00 4, 948. 74 11, 250. 00 National^bank notes outstanding. State-bank notes outstanding.,... Due1 to dther national banks'...... Due' id State batiks fetid bankers. : 10,031; 86 1.122. 75 1; 428. 00 110.50 1^,415.90 12; 000; 00 502, 60 $50, 000. Surplus f u n d . . . . . . . . . . . Undivided profits, less current 1,204.82 139, l l 8 Unpaid. Individual d e p o s i t s . . . . . . , , . . . , , . . United States d e p o s i t s , , . , , . . , , , , . Depdsits of U. 8 disbursing officers. 270,738,41 l$Qtm and bills fefdistjotiiited.. Bills pay able* * i. * * * L I »* *., • *«*,. **. Liabilities other than those above S t a t e d <;;£;..;*.>..<.;..<«*<<.,.... TdtaL 348, 281.15 Total Commercial National President; 348,281, IS Sozfemaii. No; 4968.- JGjoahs and discounts. L . . . . . ; ^ . . . ; . . O vei-drafts TJ:-8. bonds to secure circtiiation... U. S. botids td secure deposits V. S; bdnds on hapd; i . . . . . . ; ; ; . . ; . . Preniiiiitii «ii tJ, g. bdh Stocks, securities, eic Bank'ghouse,furnitwre,ane} fixtures Other real estate' and tnortg'soWhea Due from other national banks'. I)ue from State banks and bankers. £>ue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Ff aetidiial currency, nickels, cents. ecie Specie . . . i t i. a . . . . . . i i tt i * . i gal-tender notes. - r • • • - ^.. J; f$i cfertinc&tes df deposit. Jiedemptidn fund i^ith Trea , U, Due ifoi T f e s f Total. dSS, 292- U 988'; Si ±2; 500.00 1,500.00 gtj; 4i0i ie c*, Gaehief, "^5o76o67"oo l stoct paid in. Surpius f u n d . ; . . . . ^ ^..-..-.-.-...-..... Undivided pfofits, less cufrent expenses and taxes paid'National-bank notes outstanding. State-bank notes outstanding.,.,. 10,000,00 s, 6m io 11,250,00 $i 060; 37 2, 506. 99 11,591.68 55.13 617.00 25.60 5,886. 75 4,- 000. 00 062.50 tie io other national banks,,*., hie to State banks a d 2,495.73 270,15 Dividends unpaid Individual deposits... United States deposits Deposits of U. S disbursin g officers Notes and bills rediscounted.. Bills payable Liabilities other than those above stated 210, 671. 62 210, Total. 671. 62 First National Bank, Butte. HIRAM KNOWLES, President. Loans and discounts : Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Eedenaption fund withTreas. U. S. Due from Treasurer U. S Total. ANDREW J. DAVIS, Cashier. No. 2566. $1, 972, 242. 28 132,029. 73 25, 000. 00 227, b65. 25 10,000. 00 2,142. 66 33, 614. 24 59.049. 88 421,156.98 2,555. 74 111,959.00 989. 25 255, 641. 00 65, 000.00 1,125. 00 1.000. 00 3,321,471.01 Capital stock paid in. $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 808,875 45 15, 960. 00 Due to other national banks Due to State banks and bankers.. 55, 722. 05 41, 202.07 Dividends unpaid Individual deposits United States deposits DepositsofU S. disbursing officers. 2,299,711.44 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total j 3,321,471.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 575 M O M T A If A . Bozeman National Bank, Bozeman. EMORY COBB, President. No. 2803. PETER KOCH, Cashier. Resources. Liabilities Loans and discounts Overdrafts U. S. bonds to secure circulation,.. U. S. bonds to secure deposits XT. S. bonds on baud Premiums on U. S. bonds Stocks, securities, etc. Bank 'g bouse, furniture, and fixtures Other real estate and mortg s owned. Due from other national banks,..::. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items s l i Exchanges for clearing house j Bills of other fiationaljbanks.. Fractional currency, nickels, cents. l Specie •. •„•„.•.„ . . Legal-tender notes ....;;.„::; U. S. certificates of deposit Redemption fund with Treas. U. S\ Due from Treasurer TJ, S ;. Total . $187, 363. 85 5, 243. 79 12, 500. 00 36; 223. 24 & 500.00 7. 240. ()d 50, 538. 76 19,031.86 1,122.75 1,428.00 110.50 12,415.90 l2j 000; 00 Capital stock paid in $50, 000. 00 SufpluBfund,., s . , . , . , . , , , 10, 000. 00 Undivided profits, kg* current expenses and taxes paid Nationabbank notes outstanding. State-bank notes outstanding;. *,. 4, 948. 74 11, 250. 00 Due" to Other1 national banks...... Due' td State batiks ktid bftnfe-fire.: 1, 204. m 139, H Individual deposits.. United States deposits............ Deposits of U. S disbursing officers. 2:70,7'3& 4 1 iS^tss o.fcd bills rediscoiinted..... B i l l s p a y a b l e , i .*<> . m * . * * . ^ * . . . . 502.60* Liabilities other than those above 348, 281.15 348, 28L15 Total Commercial National Bank,- Bozeman.HENRY ELLINGJ President. No. 4968.- Loans and discounts .....:.. Overdrafts ........ tJ ;• 8. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand. •.. ;.;..:.. Premmffl& Oil ,tl. g. bdhUfe.;;:.;:::;: Stocks, securities, etc ..;.;. Bank'g house, furniture, ant] fixtures Other real estate and inortg's owned Dug from other national banks'....-. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents, spec specie Legal-tender notes....:.:;.....;: IT. $. certificates of deposit...... Redemption fund with Treas. IL Due from Treasurer U* S . . . . . . . ; . Total. $135, 292. 74 988. 51 12, 500. 00 ljSOO.OO 26, 410.16 2, 060. 37 6, 674.19 2, 506. 99 11,591.68 55.13 617.00 25. 60 5, 886. 75 4,- 000. 00 562. 50 210, 671. 62 GEORGE L. RAMSET, Cashier* Capital stock paid in. $50, 000. 00 Surplus fund...... ^ ^... ; .-......... Undivided profits, less current expenses and taxes paid........ National-bank notes outstanding. State-bank notes outstanding..... Dtie to other national banks.....-. Due to State baiik^ ami bankers,. Dividends unpaid 10, 000. 00 5, em 10 11,250,00 2, 495. 73 270,15 ,. ^..-.-.:, Individual deposits United States deposits Deposits of U.S.disbursing officers - 130, 956.64 Notes and bills rediscounted. Bills payable Liabilities other than those above stated - Total . 210, 671. 62 First National Bank, Butte. ANDREW J . DAVIS, Cashier. No. 2566. $100, 000. 00 $1, 972, 242. 28 Capital stock paid in. Loans and discounts 132,029.73 Overdrafts 25, 000. 00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current TJ. S. bonds to secure deposits 808, 875 45 1 expenses and taxes paid 1 U. S. bonds on hand 15, 960. 00 ! National-bank notes outstanding. Premiums on U. S. bouds I j State-bank notes outstanding 227, b65. 25 Stocks, securities, etc 10, 000. 00 Bank'g house,furniture,and fixtures 55, 722. 05 2,142. 66 Due to other national banks Other real estate and mortg's owned 41, 202. 07 33, 614. 24 Due to State banks and bankers.. Due from other national banks 59.049.88 Due from State banks and bankers. 421,156.98 Dividends unpaid Due from approved reserve agents. 2,555. 74 Checks and other cash items Individual deposits Exchanges for clearing house 2,299,711.44 'iii,"959.'6o United States deposits Bills of other national banks 989. 25 Deposits of U S. disbursing officers. Fractional currency, nickels, cents255,641.00 Specie '. 65, 000. 00 Notes and bills rediscounted Legal-tender notes U. S.certificates of deposit Bills payable 1,125. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S 1. 000. 00 Liabilities other than those above HIRAM RNOWLES, President. Total. stated 3, 321, 471. 01 Total 3,321,471.01 576 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA. Silver Bow National Bank, Butte. No. 4283. O. K. LEWIS, President. FAYETTE HARRINGTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc { Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $150, 476.05 51,913.11 25, 000, 00 Capital stock paid in. $100,000. 00 Surplusfund Undivided profits., less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 2, 550. 00 13, 009. 85 5, 2G9. 91 3, 000. 00 Due to other national banks 9, 679. 32 Due to State banks and bankers.. 1,394.09 ! 16,474.57 Dividends unpaid 1,377.04 Individual deposits 6,815.00 ;! United States deposits 381.39 Deposits of U.S.diabursing officers. j 50, 013. 00 44, 690. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 383,168. 33 Total . 2, 700. 00 4, 714. 22 20, 780.00 323.90 254,650. 21 383,168. 33 First National Bank, Dillon. B. F. WHITE, President. No. 3120. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. O. KLEMM, Cashier. $303,423.24 hjl Capital stock paid in. 36,695.48 12, 500. 00 Surplus fund I Undivided profits, less current I expenses and taxes paid j National-bank notes outstanding. " 58,933.59 State-bank notes outstanding 12, 500. 00 6, 000. 00 I Due to other national banks 100, 609.19 I Due to State banks and bankers.. 17, 643. 77 127,001.99 I 657.40 j Dividends unpaid Individual deposits 7, 074. 00 United States deposits 7.80 Deposits of U.S.disbursing officers. 11,367. 00 27, 000. 00 ji Notes and bills rediscounted. ; | Bills payable 562.50 i Liabilities other than those above stated 721,975.96 Total . $50, 000.00 10, 000.00 11,849.62 11, 250.00 11,653.63 7, 063.81 620,158. 90 721,975.96 Stockmen's National Bank, Fort Benton. JOHN W. POWER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit ^Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 4194. CHAS. E. DUER, Cashier. $283,281.21 I Capital stock paid in 2,356.34 i 25,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2. 500. 00 National-bank notes outstanding. 47,890. 62 State-bank notes outstanding 4, 000. 00 . j Due to other national banks 51, 997. 91 ji Due to State banks and bankers.. 70, 248. f>5 Dividends unpaid. $100,000.00 20, 000. 00 11, 290. 46 22,500.00 12,159.04 18. 55 Individual deposits 1, 625. 00 ; United States deposits 21.80 Deposits of U.S. disbursing officers. 16, 488. 20 10, 200. 00 j Notes and bills rediscounted. I Bills payable 1,125.00 Liabilities other than those above stated 516,753.28 j Total . 350, 803. 78 516,753.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 577 MONTANA. First National Bank, Great Falls. GOLD T. CURTIS, President. No. 3525. H. H. MATTESON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ, S Liabilities. $494,883.09 << Capital stock paid i n . 3,066.11 j 50,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 56, 661. 61 State-bank notes outstanding 8, 000. 00 19, 237. 86 Due to other national banks 38, 218.19 Due to State banks and bankers .. 578. 07 129,193.17 Dividends unpaid 267. 20 4, 500. 00 465. 88 59, 300. 00 10, 500. 00 "2,"250."oo' Individual deposits United States deposits Deposits of U.S. disbursing officers. 20, 000. 00 28, 597. 29 44, 200. 00 5, 585.47 73, 632. 98 511,105.44 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 3,121.18 Total. $200, 000. 00 883,121.18 Great Falls National Bank, Great Falls. E. B. WEIRICK. Cashier. No. 4541. R. S. FORD, President Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand P r e m i u m s on U. S. bonds Stocks, securities, etc B a n k ' g house,furniture, and fixtures Otherreal estate and mortg's owned Due from other national b a n k s Due from State b a n k s and b a n k e r s . D u e from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund w i t h Treas. U. S. Due from Treasurer TJ. S $311, 410. 65 2, 515. 94 50, 000. 00 5, 500. 00 24,961.27 3, 000. 00 6,140. 00 74, 961. 56 6, 327. 55 43, 979. 97 1, 038. 00 11.80 33,350. 05 10,820. 00 2, 250.00 Capital stock paid in 7, 500. 00 26, 226. 80 40, 380.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 252, 644.07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 576, 750. 87 Total . $250,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 576, 750. 87 Northwestern National Bank, Great Falls. WILLIAM G-. CONRAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. http://fraser.stlouisfed.org/ PT 2 CUR, Federal Reserve Bank of St. Louis No. 2476. $491,698. 40 2, 244. 48 50, 000. 00 95, 634. 41 3, 633.11 35, 096.46 42,265. 46 11, 809. 98 193, 733. 95 690.14 230. 75 2, 500. 00 623.05 65, 688.40 21, 932.00 2, 208. 50 1,019,989.09 37 B. D. HATCHEE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. ~$250,~00O00 30, 000.00 13, 598. 94 44, 550. 00 36, 952. 25 3, 938. 28 Dividends unpaid Individual deposits 640, 949. 62 United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 019, 989. 09 578 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA. First National Bank, Helena. No. 1649. S. T. HAUSER, President. GEO. F. COPE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ,S Total. $2, 586, 80, 50, 50, 545. 785. 000. 000. 72 59 00 00 4, 500. 00 752, 973. 96 124,195. 96 177,913.48 48, 099. 84 16,186. 48 252, 947. 63 11,553.96 19,015.81 10, 200. 00 250. 40 72, 401. 84 250, 293. 00 2,250.00 Capital stock paid in. $800,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State bunks and bankers.. Dividends unpaid 207, 306. 28 90,177. 25 Individual deposits United States deposits DejJOsitsofU.S.disbursing officers. 2, 933, 230.11 2,167.89 42,487. 93 Notes and bills rediscounted Bills payable Liabilities other than those above stated 4, 510,113. 67 Total. 109, 744. 21 45, 000. 00 180,000. 00 4, 510,113. 67 American National Bank, Helena. THOMAS C. POWER, President. Loans and discounts Overdrafts | U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds | Stocks, securities, etc ; Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4396. 690, 537. 28 22,988. 98 50, 000. 00 6, 000. 00 21,191. 55 9, 000. 00 ib', 613. 26' 1, 706. 55 88, 952. 88 1, 341. 04 16, 303. 00 4.20 49, 890. 00 60, 000. 00 2, 250. 00 1, 036, 778. 74 A. C. JOHNSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000.00 10, 000. 00 12, 388. 22 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 106,165. 84 35, 370. 09 Individual deposits United States deposits Deposits of U.S.disbursing officers. 627, 854. 59 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,036,778.74 Merchants' National Bank, Helena. L. H. HERSHFIELD, President. No. 2732. Loans and discounts $1, 467,164.13 Capital stock paid in. Overdrafts 63. 592. 36 U. S. bonds to secure circulation... 55, 600. 00 Surplus fund U. S. bonds to secure deposits 50, 000. 00 Undivided profits, less current U. S. bonds on hand '. expenses and taxes paid Premiums onU. S. bonds 3, 500. 00 National-bank notes outstanding Stocks, securities, etc 69, 711. 62 State-bank notes outstanding Bank'ghouse, furniture, and fixtures} 15, 539. 54 Other real estate and mortg's owned 14, 567. 49 Due to other national banks Due from other national banks 15, 689. 02 Due to State banks and bankers. Due from State banks and bankers. 13, 689.12 Due from approved reserve agents 282, 428. 63 Dividends unpaid Checks and other cash items 4.821.52 Exchanges for clearing house Individual deposits , Bills of other national banks 33, 700. 00 United States deposits Fractional currency,nickels, cents. 374. 80 Depositsof U.S. disbursing officers. Specie 78,470. 00 Legal-tender notes 84,000. 00 Notes and bills rediscounted. TJ. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 2, 502. 00 Due from Treasurer U. S Liabilities other than those above stated Total. 2,255, 350.23 Total. -, Cashier. $350, 000.00 70,000.00 60, 628.13 45, 930. 00 230, 695.40 50,905.92 1, 402, 549. 56 36, 774.19 7, 867. 03 2, 255, 350. 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 579 MONTANA. Montana National Bank, Helena. No. 2813. T. A. MARLOW, President. ALBERT L. SMITH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $964,644.89 417.41 50, 000. 00 64,494. 62 103,600.00 29, 650.00 8, 731. 67 4, 703.11 250, 557. 92 2,458.18 1, 085.05 3,130. 00 160.50 83, 909. 35 75, 000. 00 2, 250. 00 2, 000.00 Capital stock paid in I $500,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks 199,737.61 6, 347. 06 J Due to State banks and bankers.. I 172.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 1, 646, 792. 70 13, 566. 93 45, 000. 00 781, 969.10 1,646,792.70 Total. First National Bank, Kalispell. No. 4586. G. H. ADAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TT. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. $94,164. 69 2, 678. 00 12, 500. 00 W. C. WHIPPS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 375. 00 26, 780. 89 11, 859. 31 1, 500. 00 Due to other national bank» 5, 804.16 274. 33 Due to State banks and bankers.. 11, 935. 04 Dividends unpaid 388. 98 Individual deposits 2, 000. 00 United States deposits 123. 60 Deposits of U.S.disbursing officers. 4, 800. 00 4, 000. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 180, 746. 50 Total. $50, 000. 00 10, 000. 00 4, 541.78 11, 250.00 279.81 104, 674. 91 180,746. 50 Conrad National Bank, Kalispell. CHAS. E. CONRAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notesU. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer X , S T Total. No. 4803. W. A. CONRAD, Cashier. $217,311.30 Capital stock paid in : $125,000.00 4,124,10 ! 31, 250. 00 Surplus fund 25, 000. 00 Undivided profits, less current j expenses and taxes paid 8,635. 07 National-bank notes outstanding. 27,360.00 16, 097. 73 State-bank notes outstanding.. 43, 830. 65 2,662.93 j| Due to other national banks 1, 632. 48 19,909.09 |j Due to State banks and bankers.. j 15, 744.59 1,542.89 | 14,646.23 I Dividends unpaid 230.55 jj Individual deposits 171, 558. 00 " i , " 505." bb" ' United States deposits 29.67 Deposits ofU.S.disbursing officers17, 373. 00 2, 957. 00 Notes and bills rediacounted Bills payable 1,400. 00 Liabilities other than those above stated 374,930.14 Total. 374, 930.14 580 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA National Park Bank, Livingston. No. 3605. E. H. TALCOTT, President. J. C. YiLAS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X S. bonds on hand L Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total Liabilities. $283,315.21 ! Capital stock paid in 1,168.92 i 25,000.00 j Surplus fund 950.00* 6, 515. 76 19, 368. 82 2, 009. 05 91.906. 37 342, 55 69,201.47 2, 813. 92 1,188. 00 27,225.45 : 9, 000. 00 i,'i24*50* 380. 00 $100, 000. 00 11, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 2,109. 22 22, 500.00 Due to other national banks Due to State banks and bankers.. 1, 368.12 167. 37 State-bank notes outstanding Dividends unpaid 135. 00 United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 541, 570. 02 Total 404, 290. 31 541, 570. 02 First National Bank, Miles City. No. 2752. W. B. JORDAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S $349, 652.27 2, 646. 05 12, 500. 00 1,250. 00 12, 891. 42 12, 000.00 10, 250. 00 3, 306. 91 8, 048. 77 82,172. 80 329. 60 73O"66" 78.50 7, 615. 00 13, 000. 00 562. 50 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,163. 61 1, 406. 34 Individual deposits United States deposits Deposits of U.S. disbursing officers. 337, 503. 93 14, 710. 00 11, 250. 00 Notes and bills rediscounted. Billspayable Liabilities other than those above stated 517,033.88 Total. H. B. WILEY, Cashier Capital stock paid in. Total. 517, 033.88 State National Bank, Miles City. AARON HERSHFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 5015. $27,387.43 3, 508. 52 20, 000. 00 2, 525. 00 3,261.93 509. 00 43,306.15 437. 34 97,214.73 1, 329. 81 5, 310. 00 148.21 9, 713. 90 9, 200. 00 223,852. 02 LEO C. HARMON, Cashier. Capital stock paid in Capital stock paid in not certified. Surplusfund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. $51, 600. 00 15,400.00 352, 99 816. 73 155, 682.30 223, 852.02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 581 MONTANA. First National Bank, Missoula. No. 2106. A. B. HAMMOND, President. JOHN M. KEITH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... 17. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer TJ. S Liabilities. $330, 879. 38 25, 524.03 37,500.00 Capital stock paid in. 50, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 743. 78 Individual deposits *"i5,*628."66 United States deposits 114.15 Depositsof U.S.disbursing officers. 49, 915. 00 28, 500. 00 | Notes and bills rediscounted. Bills payable 1, 687.50 Liabilities other than those above stated 513,462. 56 79, 990. 82 65, 000. 00 29, 625. 69 117,987.20 9,117. 06 39, 838. 99 2, 656. 26 833,964.08 Total. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 84, 067. 74 28, 690. 00 833,964. 08 "Western Montana National Bank, Missoula. FBRD. "KENNETT, President. No. 3995. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from TreasurerU. S 5139, 396. 95 16, 000. 75 20, 000. 00 25, 000. 00 5, 800. 00 39, 722.68 25, 000. 00 3,113. 82 21, 133. 82 21, 204. 36 46, 335. 76 1,468. 83 5,130.00 74.75 47, 025. 00 18, 500. 00 900. 00 970. 97 436, 777. 69 Total. Gr. A. WOLF, Cashier. Capital stock paid in... Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $75, 000.00 10, 000. 00 10,691 87 16, 660. 00 3, 529. 83 3, 877.17 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 317, 018. 82 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 436, 777. 69 First National Bank, Philipsburg. JOSEPH A, HYDE, President. Loans and discounts Overdrafts U. S. boeds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks. .. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4658. JAMES H. KING, Cashier. $24, 907. 95 Capital stock paid in. $50, 000. 00 19, 419. 28 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 16, 639. 74 375. 00 National-bank notes outstanding. 10, 950.00 28,981.11 State-bank notes outstanding 23,482. 02 1,063.52 Due to other national banks 16, 294. 55 Due to State banks and bankers.. 739. 71 1,475.61 4,659.03 Dividends unpaid 930. 00 95.79 13, 676.00 11, 000.00 547. 50 15.00 159, 422. 36 Individual deposits United States deposits i Deposits of U.S.disbursing officers. 81,092.91 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 159,422. 36 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA. Merchants and Miners' National Bank, Philipsburg. A. A. MCDONALD, President. No. 4843. C. H. ESHBAUGH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous< Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . Liabilities. $111,247.49 10, 948. 91 12, 500. 00 1, 539. 08 9,805. 44 3,101. 73 4, 582. 70 9, 402.16 2, 223. 47 3, 083.12 324.46 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 500. 00 111.96 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 455.00 United States deposits 32.55 Deposits of U.S.disbursingofficers. 12,904.95 2,500.00 ; Notes and bills rediscounted Bills payable 562*50 j Liabilities other than those above stated Total. 385,213.56 116, 351. 60 185, 213. 56 First National Bank, White Sulphur Springs. JOHN POTTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' ghouse, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer 17, S Total . No. 3375. $297, 862. 91 3, 758. 73 50, 000. 00 37, 059. 20 4, 817. 68 2, 900. 00 62, 738.47 103. 66 23, 335. 87 54.20 3, 305. 00 64. 20 14,870.00 3, 000. 00 2, 250. 00 506,119.92 J A S . T. WOOD, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 31,117. 73 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 080.04 Individual deposits United States deposits Deposits of U.S.disbursingofficers. | 177, 546. 90 50, 375. 25 45, 000.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 506,119. 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 583 NEBRASKA. First National Bank, Albion. No. 3960. CHAS. E. W E S T , President. E. S. THOMPSON.. Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank : ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $72, 695. 72 3, 328. 60 15, 000. 00 1, 485. 95 2,165.99 24, 092. 92 j $60, 000. 00 Surplus fund Undivided profits, less current i ! expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Capital stock paid in 9,300.00 Due to other national banks Due to State banks and bankers.. 6, 869.95 ! Dividends unpaid 999. 49 Individual deposits ""lh'.QO United States deposits Deposits of U.S.disbursingofficers. 4,114.41 275. 00 Notes and bills rediscounted Bills paj7able 675.00 Liabilities other than those above 13, 500. 00 1,226.07 132, 944.10 420. 00 35,187. 92 8, 036.18 6, 500. 00 stated Total. 132, 944.10 Albion National Bank, Albion. MOSES B. THOMPSON, President Loans and discounts j Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand | Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures! Other real estate and mortg's owned | Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4173. $84, 935. 07 1,863.27 12, 500. 00 1,125.00 3, 585.00 26.40 722.80 2, 220. 51 619. 78 [ 1, 470. 83 11,220.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits ' " '25.00 United States deposits L 52.57 Depositsof U.S.disbursingofficers. |. 4, 542. H O j 1,195. 00 Notes and bills rediscounted \. Bills payable 562.50 $50, 000. 00 2,750. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 48, 534.43 i. Liabilities other than those above stated 113,975.26 jl Total . W. BAKER, Cashier. Capital stock paid in. Total. 113,975.26 First National Bank, Alliance. W. A. HAMPTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc | Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items '. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4226. 11. M. HAMPTON, Cashier. $86, 359. 03 Ij Capital stock paid in. 7,964.56 12, 500. 00 Surplus fund Undivided profits, less current expenses and tnxes paid 500.00 jl National-bank notes outstanding. State-bank notes outstanding 14,844. 07 755.93 3, 882. 77 13, 012.20 76.36 1,000.00 20.00 1, 750. 00 1, 830. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursingofficers. $50, 000. 00 6, 200. 00 2,173. 88 11,250.00 90.00 75, 343.54 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 145, 057.42 584 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Alma. —, Cashier. No. 3580. A. L. BURR, President. Kesources. Liabilities. Total. $83, 526. 92 Capital stock paid in. 579.98 12, 500.00 S Surplusfund. j Undivided profits, less current | expenses and taxes paid !; National-bank notes outstanding.! ',876.10 ,| State-bank notes outstanding ,741.36 ,049.93 Due to other national banks !| Due to State banks and bankers.. "422." 91* i, 186.13 j Dividends unpaid 726. 50 i Individual deposits 500.00 United States deposits 6.00 , \ Deposits of U. S.disbursing officers. ,732.20 :, 556. 00 ; j Notes and bills rediscounted \ Bills payable.. 562.50 ; Liabilities other than those above stated $50, 000. 00 148,966. 53 Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand , Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve ageuts. Checks and other cash items Exchanges for clearing h ouse Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with. Treas. TJ. SDue from Treasurer TJ. S 148, 966.53 Total. 3, 297. 04 227. 63 11, 250.00 6, 210.57 51,981. 29 26, 000. 00 First National Bank, Arlington. W M . D. BADGER, Cashier. No. 4583. -, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on hand ; Premiums on TJ. S. bonds ! Stocks, securities, etc j Ban'kg house, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers - j Due from approved reserve agents. j Checks and other cash items ! Exchanges for clearing house j Bills of other national banks | Fractional currency, nickels, cents. I Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. $65,083.76 Capital stock paid in II 1,688.89 I 12,500.00 : Surplus fund Undivided profits, less current j expenses and taxes paid j | National-bank notes outstanding.! |. j State-bank notes outstanding 3,372.51 j 1, 000.00 ; Due to other national banks 201.97 ; Due to State banks and bankers. 2, 295.19 ; 1,147. 71 Dividends unpaid. 129.45 i ! Individual deposits ! United States deposits 12.57 Deposits of U.S. disbursing officers. 787.75 95. 00 Notes and bills rediscounted Bills payable 562.50 , Liabilities other than those above stated 18, 877. 30 $50, 000. 00 1, 295. 00 700.41 11, 250. 00 75.00 15,605.89 5, 945. 00 4, 000. 00 88, 877. 30 Total . National Bank, Ashland. J . J . BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2921. $63, 946. 58 1, 008. 95 25, 000. 00 F. E. WHITE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid . National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 7, 000. 00 7, 364. 86 22, 500. 00 6, 754. 35 5, 500. 00 6, 500. 00 ! Due to other national b a n k s . . 41.48 Due to State banks and bankers.. 3, 915. 25 11.10 500. 00 24.37 2,160. 65 500.00 1,125.00 116, 987. 73 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingotncers. 20,122.87 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 116, 987.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 585 I i: B R A S K A . V First National Bank, Auburn. No. 3343. F . W. SAMUELSON, President. W. H. HAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits II. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $98, 652. 49 601. 39 12,500.00 1,500.00 849. 81 14, 500. 00 135.88 20.11 3, 685. 64 1, 208.10 50.00 130. 20 8, 609. 30 3, 936. 00 562. 50 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstandingDue to other national banks Due to State banks and bankers.. Dividends unpaid 434.17 1,419.56 Individual deposits United States deposits Deposits of U.S.disbursing officers. 70, 854. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 146,941.42 Total . 146, 941. 42 Total. Carson National Bank, Auburn. No. 3628. JOHN L. CAKSON, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. M. BOYD, Cashier. $117,636.26 J Capital stock paid in. 287.46 30, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 30, 729. 45 State-bank notes outstanding 12, 648.47 5,000. 00 Due to other national banks 2,122.61 Due to State banks and bankers . 2, 879. 41 7, 475. 29 Dividends unpaid 1, 503. 83 Individual deposits is." 66" United States deposits 100.00 Deposits of U.S.disbursing officers. 11, 333. 75 900. 00 Notes and bills rediscounted Bills payable 1,350.00 Liabilities other than those above stated 223, 981. 53 $60, 000. 00 7,100.00 4, 294.96 27, 000. 00 2.71 222. 63 75.00 109,182.23 6,104.00 10, 000. 00 223, 981. 53 Total . First National Bank, Aurora. W. G. GLOVER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'j* house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2897. $82,181. 08 1, 085. 84 13, 000. 00 603.51 11, 610.00 7,188. 00 J . F . HOUSEMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 3, 800.00 1,180.40 11,470.00 Due to other national banks Due to State banks and bankers. 7, 807. 28 Dividends unpaid 15.19 130. 00 13.35 1,455. 00 500.00 573.50 Individual deposits 44, 712. 35 Notes and bills rediscounted. Bills payable 15,000. 00 United States deposits Deposits of U. S.disbursing officers. Liabilities other than those above stated 126,162. 75 Total. 126,162.75 586 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E 15 I t A S K A . First National Bank, Beatrice. No. 2357. JOHN E. SMITH, President. S. C. SMITH, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc , Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $100, 000. 00 $206, 771. 33 Capital stock paid in. 871.63 25, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 17 728. 96 State-bank notes outstanding 50, 000. 00 Duo to other national banks 1. 002.16 Due to State banks and bankers.. 2, 047. 58 43,800. 56 Dividends unpaid 2, 481. 35 Individual deposits 1, 350. 00 United States deposits 997. 84 Depositsol'U.S. disbursing officers. 30,000. 00 21.306.78 22, 500. 00 642. 58 11,583.50 179,883.15 7, 739. 60 5, 000. 00 Notes and bills rediscounted " i " 125.'66" Bills payable Liabilities other than those above stated 365,916. 01 Total. 365, 916.01 Beatrice National Bank, Beatrice. D. W. COOK, Cashier. No. 3081. J . B. WESTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house, furniture,and fixtures Other real estate and mortgsowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. •| $306,994.15 i Capital stock paid in. 136.64 " 12, 500.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 605. 00 State-bank notes outstanding 2, 500. 00 9, 417. 96 Due to other national banks 22.36 Due to State banks and bankers. 70,229. 04 Dividends unpaid 3, 946. 98 Individual deposits 1, 000. 00 United States deposits 810.90 Deposits of U.S.disbursingofficers. 14, 690. 00 5, 375. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated , $50,000.00 50, 000. 00 30, 279.34 11,250.00 6, 798. 38 21,028. 25 274, 434.56 Total . 443, 790. 53 443,790. 53 German National Bank, Beatrice. ANDREW W. NICKELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4148. $151, 228. 96 2, 003. 60 26,000.00 21,000.00 1, 970. 00 28, 987. 75 196. 50 395.00 67.28 8, 037. 00 660. 00 1,147.00 241,693.09 WILLIAM A. WOLFE, Cashier. Capital stock paid in j Surplusfund Undivided profits, less current expenses and taxes paid National-banknotes outstandingState-bank notes outstanding Due to other national banks $100,000.00 20, 000. 00 12, 685. 50 22,940.00 I j Due to State banks and bankers Dividends unpaid j Individual deposits United States deposits | Depositsof U.S.disbursingofficers. j. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 86, 067. 59 241, 693.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Beaver City. THOS. M. DAVIS, No. 3619. President. II Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. IT. S. bonds to secure deposits ! IT. S. bonds on hand j Premiums on U. 8. bonds j Stocks, securities, etc j Ban k'g house, furniture, andfixturesj Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers.! Due from approved reserve agents. | Checks and other cash items j Exchanges for clearing house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. C. E. V. SMITH, Cashier. Liabilities. $101,279.39 Capital stock paid in 737.45 I 12,500.00 I ! Surplus fund j Undivided profits, less current j i ex pen ses and taxes paid j National-bank notes outstanding.; \ State bank notes outstanding L 12, 419. 86 6, 628. 03 Due to other national banks Due to State banks and bankers. 364.37 5, 075. 82 Dividends unpaid 469. 20 Individual deposits 30.00 United States deposits 38.08 DepositsofU.S.disbursing officers. 2,141. 70 1, 385. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above 143, 631. 40 stated Total . $50, 000. 00 5, 300. 00 1, 460. 32 11,250.00 46, 220. 33 10, 600. 75 18, 800. 00 143, 631. 40 First National Bank, Blue Hill. No. 3419. HENRY GUND, President. H. KOEHLER, Cashier. Total. $87, 542. 50 Capital stock paid in. • 1, 804. 45 12, 500. 00 j Surplus fund Undivided profits, less current expenses and taxes paid Ij National-bank notes outstanding . 3.449. 68 | State-bank notes outstanding 5, 000. 00 4, 305.13 Due to other national banks Due to State banks and bankers. 9,938. 21 Dividends unpaid 3,405. 23 Individual deposits 1, 000. 00 United States deposits 71. 92 | Deposits of U.S.disbursingomcers. 1, 031. 80 1, 353. 00 | Notes and bills rediscounted Bills payable. 562.50 H j Liabilities other than those above $50,000.00 131, 964. 42 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S I 131,964.42 stated Total . 10, 000. 00 6, 731. 29 11, 250. 00 2, 003. 69 700. 00 38, 779. 44 5, 500. 00 7, 000.00 First National Bank, Broken Bow. S. H. BURNHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 3449. $84, 398. 67 992. 36 25, 000.00 L. H. JEWETT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 1, 751. 24 National-bank notes outstanding. 14, 401. 69 State-bank notes outstanding 8, 828. 67 22, 027. 27 Due to other national banks 12.78 11,120.44 732.01 315. 00 52.53 5,818.25 3,165. 00 1,125.00 179, 740. 91 $75,000.00 2,100. 00 772. 86 22, 500. 00 Due to State banks and bankers.. Dividends unpaid 1, 046. 99 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 65, 857. 06 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1, 464.00 11, 000.00 Total. 179, 740.91 588 REPORT OF THE COMPTROLLER OF THE CURRENCY. \ K i; R A S K A. First National Bank, Chadron. CHAS. C. JAMESON, Cashier. No. 3823. BARTLETT RICHARDS, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiurns on XT. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $106, 479. 80 22. 29 12, 500. 00 8, 327. 39 10, 000. 00 6, 844. 27 141.85 1, 361. 50 53, 874. 11 160. 75 1,070. 00 4.95 5, 648. 00 4,700. 00 562. 50 Capital stock paid in. 882. 91 10, 950. 00 Dae to other national banks Due to State banks and bankers.. Dividends unpaid 265.30 21, 349. 83 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 128, 249. 37 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 211,697.41 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 211, 697. 41 Total . First National Bank, Columbus. No. 2807. ANDREW ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $205,978.01 6, 984. 30 25, 000. 00 O. T. ROEN, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 637. 50 National-bank notes outstanding. 1, 266. 38 State-bank notes outstanding 12,119.48 4, 401. 67 Due to other national banks Due to State banks and bankers-. 11, 660. 60 10, 055. 60 Dividends unpaid 246. 96 Individual deposits ., 100. 00 United States deposits 245. 30 Deposits of U. S.disbursing officers. 3, 467. 70 6, 820. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated 291,108.50 9, 574. 27 22, 497. 50 138, 363. 74 20, 672. 99 291,108.50 Total . First National Bank, Cozad. GEORGE O. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4165. $83, 066.14 292. 24 12, 500. 00 1, 500. 00 7,000.00 I 3, 649.00 151.13 3, 691. 41 194.80 124. 25 857. 50 T. E. BENNISON, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 10,000.00 4,214.03 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 1, 900. 00 29, 224. 94 7, 000. 00 562. 50 Liabilities other than those above stated . . . 113,588.97 Total 113,588. 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 589 NEBRASKA. First National Bank, Creighton. No. 4242. GEORGE E. CHENEY, President. H. A. CHENEY, CashierLiabilities. Resources. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X S. bonus on hand. L j Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnitureandfixtures Other real estate and mortg s owned Due from other national banks I Due from State banks and bankers.!. Due from approved reserve agents. j Checks and other cash items ( Exchanges for clearing house !. Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund withTreas. U. S. j Due from Treasurer U, S Total. $65, 631. 80 194. 02 12, 500. 00 218.75 264.18 9, 553. 00 12. 083. 28 3, 987.19 7, 460. 60 9.55 160.00 80.63 3,092. 60 500. 00 562. 50 116, 298.10 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ; 20, 000. 00 530.25 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 34, 517. 85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 116, 298.10 First National Bank, Crete. JOHN L. TIDBALL, President. L. H. DENISON, Cashier. No. 2706. Loans and discounts i Overdrafts | U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.andfixture? Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $134,728.35 1,107.21 15,000.00 1, 500. 00 561. 67 2,500.00 1, 278. 78 22,297. 52 1, 745.85 903. 00 108. 94 3,842. 85 4,000.00 675.00 Capital stock paid in. $60,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 1, 746.15 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 105, 003. 02 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 190, 249.17 190, 249.17 Crete National Bank, Crete. JOHN CLAY, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furnitare,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 4820. $54,187. 08 "n'500. ho 13, 960. 00 236.14 7,187.13 24.83 52. 04 2, 369. 45 1, 792. 00 562. 50 92, 871.17 V. C. SPIRK, Cashier. Capital stock paid i n . . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 4, 466. 67 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingomcers. 27,154.50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 92,871.17 590 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, David City. J . G. Ross, Cashier. No. 2902. THOMAS WOLFE, President. Liabilities. Resources. Loans and discounts j Overdrafts I U. S. bonds to secure circulation...; U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc ' Bank'ghouse, furniture, and fixtures Other real estate and m o r t i s owned! Due from other national banks j Due from State banks and bankers., Due from approved reserve agents.! Checks and other cash items j Exchanges for clearing house j Bills of other national banks ! Fractional currency, nickels, cents. | Specie J Legal-tender notes 1 U. S. certificates of deposit j Redemption fund with Treas.U. S.j Due from Treasurer U. S : $126,131. 13 467. 74 12,500.00 7,360.00 250. 00 1 764. 44 , 6 300. 16 , 712 54 115 00 18.47 5,296 75 750 00 562 50 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 4,199. 71 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits | United States deposits ; Deposits of U.S.disbursingofficers.; Notes and bills rediscounted Bills payable j | 74, 287.22 2,491.80 Liabilities other than those above stated Total. 162, 228. 73 Total. $50, 000.00 Capital stock paid in. 162, 228. 73 Central Nebraska National Bank, David City. WILLIAM M. BUNTING, President. ~ Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits i U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3801. $146, 348. 79 1. 523. 38 25; 000. 00 3, 941. 22 410.00 6, 299. 80 671. 25 9, 331. 23 575.47 10.00 90.68 8, 990. 90 5, 500. 00 i, 125.66 GEO. R. COLTON, Cashier. ! $50, 000. 00 Surplus fund | Undivided profits, less current j expenses and taxes paid • National-bank notes outstanding.! State-bank notes outstanding . 10, 000.00 Capital stock paid in 986.18 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits j. Depositsof U.S.disbursingofiicers. j Notes and bills rediscounted Bills payable Liabilities other than those above 116, 331.54 10, 000. 00 stated 209, 817. 72 Total. i9, 817. 72 City National Bank, David City. B. O. PERKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture, andfixtures• Other real estate and mortg's ownedj Due from other national banks . Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national oanks.. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 3934. ARTHUR MYATT, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState bank notes outstanding | $50, 000. 00 5, 000. 00 1, 571. 90 11. 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofncers. 562.50 I 137,122. 02 51, 385.12 Notes and bills rediscounted Bills payable 10,415.00 7, 500. 00 Liabilities other than those above stated , Total. 137,122.02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 591 NE BRA SKA. First National Bank, Elm Creek. F . M. HALLOWELL, President. No. 3999. F . H. FARNSWORTH, Cashier. Resources. Liabilities. Loans and discounts [ Overdrafts j XJ. S. bonds to secure circulation... j U. S. bonds to secure deposits \ U. S. bonds on band i Premiums on U. S. bonds ' Stocks, securities, etc | Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer Uf S $41,629.84 Capital stock paid in 34.24 " 12, 500.00 Surplus fund jj Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 7, 715. 70 State-bank notes outstanding 4, 311. 33 10,028. 07 Due to other national banks Due to State banks and bankers. 4,759.37 I Dividends unpaid. 25. 64 I i Individual deposits I United States deposits 22.06 | DepositsofU.S.disbursingofficers. 89. 90 595.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 82, 273.65 Total . Total . $50, 000.00 2, 000. 00 3, 025. 21 11,250.00 150. 00 11, 848.44 4, 000. 00 82, 273.65 First National Bank, Exeter. H. G. SMITH, No. 3121. President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $37, 475.41 12,500. 00 1, 625. 00 395. 20 7, 000.00 7, 500. 00 2, 459. 03 884.55 400. 00 61.15 1, 999. 25 562. 50 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 3, 925. 00 673. 87 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers. 5, 845. 21 Notes and bills rodiscounted Bills payable Liabilities other than those above stated 1,168. 01 72, 862.09 Total. L. C. GILBERT, Cashier. Capital stock paid in. Total . 72,862. 09 Exeter National Bank, Exeter. "W. H. TAYLOR, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc | Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S-, Due from Treasurer TJ. S Total . No. 3117. $96, 848.42 W M . H. WALLACE, Cashier. Capital stock paid in. $50,000. 00 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000. 00 1, 000. 00 Due to other national banks 6,124. 89 Due to State banks and bankers. 15, 601. 90 Dividends unpaid 22.05 Individual deposits 120. 00 United States deposits 112.55 Deposits of U.S.disbursing officers. 25, 000. 00 4, 325. 65 900. 00 1, 913. 55 11, 250. 00 54, 954.41 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 143,117. 96 Total. 143,117. 96 592 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Fairbury. No. 2994. D. B. CROPSEY, President. E. E. MCDOWELL, Cashier. Liabilities. Eesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Baiik'g house, furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $66,119. 1, 328. 12, 500. 1,100. 1, 000. 20, 000. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 10, 000.00 1, 745. 42 11, 250. 00 Due to other national banks Due to State banks and bankers. 3,242.55 Dividends unpaid 1, 433. 84 j, Individual deposits 1, 460. 00 United States deposits I 191.48 j; DepositsofU.S.disbursingofficers. 6,663.60 I 1,085.00 00 Notes and bills rediscounted . . Bills payable 43, 692.15 ""562." 50 Liabilities other than those above stated Total . Total . 116, 687. 57 First National Bank, Falls City. No. 2746. STEPHEN B. MILES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ,. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J. H. MILES, Cashier. $137,601.63 ! Capital stock paid in. 545.49 ! 12,500.00 j Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National bank notes outstanding. 3, 656. 43 State-bank notes outstanding 5, 000. 00 1, 973.37 Due to other national banks 2,158. 69 Duo to State banks and bankers.. *9" 473." 77" Dividends unpaid 1, 779.07 Individual deposits United States deposits 12.64 Deposits of U. S.disbursing officers 13, 673.35 541. 00 Notes and bills rediscounted Bills payable 562.56' Liabilities other than those above stated Total. 190, 977. 94 $50, 000. 00 14, 000. 00 38, 593. 76 11, 250. 00 166.73 76, 967. 45 190, 977.94 First National Bank, Fremont. E. H. BARNARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. "B. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1974. $284, 356. 44 1,049.62 37,500.00 7, 400.00 8, 800. 00 30, 793. 00 140.46 389. 85 15, 840.17 5,240. 75 534. 65 2, 895. 00 110. 46 18, 835. 05 2, 900. 00 1,687.50 C. M. WILLIAMS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers Notes and bills rediscounted Bills payable $i5o7oooToo 30, 000. 00 11,218.10 33, 750. 00 123. 82 12, 642. 23 150, 738. 80 15, 000.00 15, 000. 00 Liabilities other than those above stated 418,472. 95 Total. 418,472.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 593 NEBRASKA. Commercial National Bank, Fremont. E . SCHURMAN, President. No. 4504. F . H C G I V E E I N , Cashier. Resources. Loans a n d discounts Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand P r e m i u m s o n U . S. bonds Stocks, securities, etc ,.. B a n k ' g house, furniture,andfixtures Other real e s t a t e and m o r t g ' s owned Due from other national banks D u e from S t a t e b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund w i t h Treas. IT. S. D u e from T r e a s u r e r U. S Liabilities. $168, 796. 51 25 23 25, 000. 00 2, 750. 00 8, 074. 96 27,000.00 " l , " 12*4." 82" 829.10 34, 282.08 2, 370.45 Capital stock paid in 5, 000. 00 1,853.17 22, 500. 00 Due t o other national b a n k s D u e to S t a t e banks and b a n k e r s . . 1,894.04 12, 645. 93 Dividends unpaid. I n d i v i d u a l deposits " 4 "620." 66" United States deposits 66.79 Depositsof U.S. disbursing officers. 9, 702. 40 4, 003. 00 Notes a n d bills r e d i s c o u n t e d . . . Bills payable I 145, 277. 20 Liabilities other than those above stated 289,170.34 Total. $100, 000. 00 Surplus fund Undivided profits, less c u r r e n t expenses a n d taxes paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g . . . . . Total . 289,170. 34 Farmers and Merchants' National Bank, Fremont. OTTO HUETTE, President. No. 3188. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S bonds to secure deposits U.S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.andfixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ]>anks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S . . . . $151,155.48 111.(51 25, 000. 00 stock paid i n . . 3,000. 00 2,100.00 25,817.93 11, 032. 88 1,813.91 22,500.00 12, 626. 84 lends unpaid. vidual deposits Ded States deposits iositsof U.S disbursing officers. 400. 00 6. 12 6,738.40 5, 427. 00 ,es and bills3 rediscounted .s p a y a b l e . . 1, 125. O f 76, 988. 47 i 11, 828. 40 1 tbilities oth(3r t h a n those above j .tated Fremont Natic http://fraser.stlouisfed.org/ PT 2 CUR, 38 Federal Reserve Bank of St. Louis 20, 000,00 to other national b a n k s to State b a n k s and b a n k e r s . . 11,077.20 2, 766. 00 L. M. KJEENE, President. loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U, S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal tender notes U. S certificates of deposit Redemption fund with Treas, U S. Due from Treasurer U. S $100,000.00 3 fund ded profits, less c u r r e n t nses and taxes paid aal-bank notes o u t s t a n d i n g . bank notes o u t s t a n d i n g 245, 757. Total . Total . WM. E. SMAILS, Cashier. Ca Total Sank, Fremont. J U L I U S BECKMAN, i48. $362,19f 3,04 37, 500. 245, 757. 02 , Capital stock paid in II Surplus fund j Undivided profits, less c u r r e n t . ! expenses a n d t a x e s paid 1, 000. 00 National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g 19,000.00 i 10,551.40 ! Due to other national b a n k s 327.48 D a e to State b a n k s and b a n k e r s . 13,781.40 I Dividends unpaid 2, 567. 97 I I n d i v i d u a l deposits 7. 446. 00 United States deposits 223.80 J Deposits of U.S. disbursing officers 12,404.05 11, 000. 00 ; I Notes and bills rediscounted Bills payable 1.687"50 : Liabilities other t h a n those above ! stated 482,722.66 \ Total . Cashier. $150, 000. 00 50, 000.00 17. 835. 38 33,750.00 321. 62 17, 245. 32 9G. 00 186, 974. 34 12. 500. 00 14, 000. 00 482, 722. e 594 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Friend. LINUS E. SOUTHWICK, President. No. 2960. W. O. SOUTHWICK, Cashier* Resources. Loans and discounts j Overdrafts | U. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc I Bank'ghouse,furniture,andfixturesj Other real estate and mortg's ownedj Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ! Fract ionalcurrency, nickels, cents. I Specie " Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S Total. Liabilities. $84,608. 08 281.48 12, 500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid Rational-bank notes outstanding. State-bank notes outstanding 2,000.00 7,450. 00 300. 00 ! Due to other national banks | Due to State banks and bankers.. i 5,673.18 I Dividends unpaid 1,486.05 \ | j Individual deposits 1, 330.00 !i United States deposits 16.09 ; Depositsof U.S. disbursing officers. 3,920.00 ! I Notes and bills rediscounted ! Bills payable 562.50 j Liabilities other than those above stated Total. 120,127.38 ! 12,000. 00 799. 74 11, 250. 00 5, 826. 94 40, 250. 70 120,127.38 First National Bank, Fullerton. No. 2964. THEO. C. KOCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S I $93, 390. 54 564.91 12, 500. 00 13,940.79 12,586.37 226. 79 $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000.00 3, 820.18 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 4, 000. 00 United States deposits 47.65 Deposits of U. S.disbursing officers. 16, 217. 65 1, 640. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 30,151. 94 455.08 Total. 155, 677. 20 Total. H. C. DENKMANN, Cashier. Capital stock paid in. 155, 677. 20 Geneva National Bank, Geneva. A. O. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4484. .72, 419.10 M. R. CHITTICK, Cashier. Capital stock paid in urplus 12, 500. 00 Surplusfund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding. 5, 650. 00 State-bank notes outstanding 7, 000.00 Due to other national banks Duo to State banks and bankers.. 6, 379.15 Dividends unpaid 581.64 Individual deposits 500. 00 United States deposits 29.55 Deposits of U.S.disbursingofficers. 2, 268. 25 285. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 109,175.19 Total. $50,000.00 4, 250.00 728. 25 11, 250. 00 764. 63 42,182. 31 109,175.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 595 NE BRASKA. First National Bank, Gothenburg. No. 4890. L. C. LLOYD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S CON. W. LLOYD, Cashier. i Resources. $62,169. 64 857. 57 13, 500. 00 453.22 2, 830. 55 10.68 1,176.10 12.00 Liabilities. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 165. 00 11,910.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 48.00 Individual deposits. United States deposits Deposits of U.S.disbursingomcers. 8, 833.35 8.14 282. 95 1, 260. 00 Notes and bills rediscounted.. Bills payable 595. 50 12, 200.00 Liabilities othe, than those above stated Total Total 83,156. 35 8M56^35 First National Bank, Grand Island. SAMUEL N. "WOLBACH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds ! Stocks, securities, etc ! Bank'ghouse furniture, and fixtures; Other real estate and mortg's owned j Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tend : notes U. S. certif ,ates of deposit Redempti a fund with Treas. U. S. Due from treasurer IT. S Total. No. 2779. C. F . BENTLEY, Cashier. $247, 396.80 | Capital stock paid in 1 $100,000.00 3, 887. 89 25,000. 00 Surplus fund [ 20,000.00 Undivided profits, less current j expenses and taxes paid 1,489.32 National-bank notes outstanding. I 22,500.00 State-bank notes outstanding 9, 434. 80 18, 416. 67 Due to other national banks 3, 703.18 Due to State banks and bankers.. j 4, 395. 61 34,031. 64 5.94 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 800. 00 290. 63 20, 415. 35 500. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated , 365, 007. 90 Total. i 216, 622. 97 365, 007.90 First National Bank, Greenwood. 3 T H. MEEKER, President. S. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation... > U.S. bonds to secure deposits !. U.S. bonds on hand j. Premiums on U. S. bonds j. Stocks, securities, etc j. Bank' g house, furniture, and fixtures Other real estate and mortg's owned;. Due from other national banks j Due from State banks and bankers. j Due from approved reserve agents. j Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U.S Total No. 3403. $125,571. 88 Capital stock paid in. 627. 91 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding —, Oashier. $50, 000. 00 10,000. 00 2, 932. 62 11, 250.00 4, 000. 00 479.71 4, 000.00 3, 859.93 68.90 220.00 43.85 1, 765,00 1, 220.00 562. 50 154, 919. 68 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 65,944. 01 7,793.05 7, 000.00 Liabilities other than those above stated Total 154, 919.68 596 REPORT OF THE COMPTROLLER OF THE CURRENCY. Jtf E B R A S K A . First National Bank, Hartington. T. F. CLARK, President. No. 4528. FRANS KELSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks aud bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $50, 000.00 105,165,94 Total. $71,708.75 i Capital stock paid in. 1,167.91 J 12,500.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 700.00 National-bank notes outstanding. 5, 954. 49 State-bank notes outstanding 5, 500. 00 1,249.10 Due to other national banks 1,877.44 Due to State banks and bankers. 1,775.30 Dividends unpaid 374.15 Individual deposits 300. 00 United States deposits 46.15 Deposits of U.S. disbursing officers. 1,035.15 115. 00 Notes and bills rediscounted Bills payable 562.50 ! 300. 00 I Liabilities other than those above stated 105,165,94 3, 300.00 5, 426. 81 11, 250. 00 29,189.13 2, 000. 00 4, 000. 00 Total. First National Bank, Harvard. C. ROCKHILL, President. No. 4129. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure dej>osits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixturesi Other real estate and mortg's owned) Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. | Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $72, 417. 29 297. 58 12, 500. 00 1,100.00 2, 344. 07 4,546.10 3. 273. 41 200. 00 337. 86 1,308.49 | $50, 000. 00 Surplus fund • Undivided profits, less current j expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 1,800. 00 953. 29 *11, 250. 00 Due to other national banks Due to State banks and bankers-. i Dividends unpaid Individual deposits 30.00* United States deposits 39. 35 Deposits of U.S.disbursing officers. 1,478.35 880. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 101, 315. 00 Total. J E S S E F . ELLER, Cashier. Capital stock paid in Total. 29,512.57 6, 455.13 1, 000. 00 101,315.00 First National Bank, Hastings. ALONZO L. CLARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, funiiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. G. H. PRATT, Cashier. No. 2528. $314, 674. 20 Capital stock paid in. ~$ioo7oooToo 54.88 25, 000. 00 Surplus fund 50, 000. 00 Undivided profits, less current 53, 799. 32 expenses and taxes paid 2, 000. 00 National-bank notes outstanding. 22, 500. 00 9, 492.17 State-bank notes outstanding. 17, 300. 00 24, 839. 89 Due to other national banks 8, 340. 27 2, 085. 40 23, 399. 87 1,445.00 Due to state banks and bankers.. 29, 580. 56 Dividends unpaid 1, 225. 45 Individual deposits 163,333.74 650. 00 United States deposits 421.00 DepositsofU.S.disbursingofficera. 20, 057. 30 1, 502.00 Notes and bills rediscounted 20,079. 65 10,000. 00 "*i,'i25.'66" Bills payable Liabilities other than those above stated 451, 452. 85 Total . 451,452. 85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 597 NE B R A S K A . Exchange National Bank, Hastings. "W. H. LANNING, President. No. 3086. C. Gr. LANE, Cashier* Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc L Bank'g house, furnitureand fixtures | Other real estate and mortg's owned j Due from other national banks j Due from State banks and bankers. I. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas- U. S. Due from Treasurer U. S Total. Liabilities. $135,792.93 |j Capital stock paid in $100, 000. 00 1,620.95 25, 000. 00 Surplus fund 20, 000. 00 Undivided profits, less current 3, 780. 73 expenses arfd taxes paid 22, 500. 00 National-bank notes outstanding. State-bank notes outstanding | 3, 500. 00 33,961.90 Due to other national banks } 891.76 158.95 Due to State banks and bankers.. | 1,095.50 10, 244. 07 j 204. 26 Dividends unpaid j 1,605.00 i: Individual deposits 115.00 j; United States deposits | 7,555.60 ji Deposits of U.S. disbursing officers.; Notes and bills rediscounted i 1,125. 00 i Bills payable i ! Liabilities other than those above j I stated ! 220,883.66 \ Total . 50, 200.67 9,415. 00 13, 000.00 220, 883. 6 German National Bank, Hastings. CHARLES H. DIETRICH, President. Loans and discounts.. Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc i Bank'g house, furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S No. 3732. $91, 925. 42 1,877.93 12, 500. 00 1,250.00 1,750.00 7. 500. 00 7, 006. 71 5,271.72 7, 512.49 300. 30 546. 26 575. 00 188.30 7, 016. 90 1, 000. 00 562. 50 Total JOHN SLAKER, Cashier. Capital stock paid in $51), 000. 00 Surplus fund j Undivided profits, less current | expenses and taxes paid | National-bank notes outstanding.j State-bank notes outstanding Due to other national banks 3, 000. 00 520.39 11,250.00 i 2, 983.76 Due to State banks and bankers.. j 4, 782. 25 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 147,443. 53 First National Bank, Hebron. A. G. COLLINS, President. No. 2756. J. H. LYNCH, Cashier. Loans and discounts I $152,101.53 j j Capital stock paid in .. j $75, 000. 00 Overdrafts 415. 62 U. S. bonds to secure circulation... 18, 750.00 Surplus fund 15, 000.00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 2,742.15 Premiums on U. S. bonds National-bank notes outstanding. 16,870. 00 6, 310. 03 State-bank notes outstanding Stocks, securities, etc 9, 700. 00 Bank'g house, furniture,and fixtures Other real estate and mortg's owned 196. 39 ! Due to other national banks Due from other national banks 203. 30 191. 56 Due to State banks and bankers. Due from State banks and bankers13, 683. 65 Dividends unpaid Due from approved reserve agents. 128.00 476. 69 Checks and other cash items Individual deposits Exchanges for clearing house 94,132. 64 1,315.00 United States deposits Bills of other nationalbanks 61.50 Deposits of U.S.disbursingofficers. Fractional currency, nickels, cents. 4. 586. 75 Specie 9, 753. 00 Notes and bills rediscounted Legal-tender notes 13,916.35 U.S. certificates of deposit Bills payable Redemption fund with Treas. U.S.! 843. 50 • Due from Treasurer U. S i., I Liabilities other than those above I stated Total. 218,188.83 Total. 218,188.83 598 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Holdrege. No. 3208. L. J . TITUS, President. E. G. TITUS, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse, furniture, and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Eil Is of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit ! Redemption fund with Treas. U. S. | Due from Treasurer U. S Liabilities. 3, 559. 17, 000. 9, 300. 8, 810. 94 00 00 28 6,481.77 1, 483. 46 1,185. 00 50. 98 5, 410. 75 3,500. 00 675.00 Undivided profits, less current expenses and taxes paid National bank notes outstandingState bank notes outstanding 40, 000. 00 3, 509. 59 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 72, 347.31 Notes and bills rediscounted...... Bills payable 22,897. 06 5, 000.00 Liabilites other than those above stated Total. 217, 253. 96 Total . $60, 000. 00 $142,949.18 j Capital stock paid in. 1,847.60 15, 000. 00 Surplus fund 217, 253. 96 United States National Bank, Holdrege. "W. H. PADDOCK, President. No. 4345. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | P r e m i u m s on U. S. bonds I Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks i Due from State banks and bankers.' Due from apx>roved reserve agents. | Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit Eedemptiou fund with Treas. U. S. Due from Treasurer U. S Total. A. P. ERICKSON, Cashier. 7,373. 75 jj Capital stock paid in. 2,120. 67 19,350.00 Surplus fund |j Undivided profits, less current j I I expenses and taxes paid j j National-bank notes outstanding.; 1,176. 28 j State-bank notes outstanding ' 25,857.92 j 4, 873. 55 j; Due to other national banks 2, 982. 88 Due to State banks and bankers. I 3, 092. 41 j Dividends unpaid 57.37 Individual deposits 15.00 ' United States deposits 66.00 j Deposits of U.S.disbursing officers. 2,109. 70 4,175. 00 j Notes and bills rediscounted Bills payable 853.75 Liabilities other than those above stated 154,104. 28 Total. $75, 000.00 3, 000. 00 710.00 17, 075. 00 32,375.07 10, 944.21 15, 000.00 154,104. 28 First National Bank, Humboldt. F. W. SAMUELSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc i Bank'ghouse, furniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 3238. $98, 869.51 2, 041. 41 12, 500. 00 1, 300. 00 1, 758. 31 6, 600. 00 772. 08 4.02 62.54 7, 830. 52 516.55 163.00 265. 76 2,093. 00 1, 000. 00 JAMES K. LIGGETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 1, 414.16 11, 250. 00 Due to other national b a n k s Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 55,214.56 8,460.48 562. 50 Liabilities other than those above stated 136,339. 20 Total. 136, 339. 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 599 NEBRASKA. City National Bank, Kearney. No. 3958. H. C. ANDREWS, President. J . S. ADAIR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 1 ghouse,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. TJ. S. Due from Treasurer IT. S Total. Liabilities. $152, 867. 90 1, 593.06 25, 000. 00 Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid j [\, 000. 00 National-bank notes outstanding. j 891.84 State-bank notes outstanding 1 2, 700. 00 6, 636. 25 Due to other national banks j 5, 558. 89 Due to State banks and bankers.. I 20, 989.12 Dividends unpaid j 2, 747. 77 Individual deposits j 61*66' United States deposits 108. 85 Depositsof U.S.disbursing officers. 8, 784.10 3, 300. 00 Notes and bills rediscounted • Bills payable \ 1,125. 00 Liabilities other than those above j stated ! 235, 363. 78 Total. $100,000.00 710. 91 22, 500.00 101,047.55 11,105. 32 235, 303. 78 First National Bank, Lexington. H. 11. TEMPLE, President. No. 3292. H. V. TEMPLE, Cashier. Loans and discounts | $101,051.30 j Capital stock paid in j Overdrafts 1,058 11 U. S. bonds to secure circulation... | 12, 500. 00 Surplus fund i U. S. bonds to secure deposits j Undivided profits, less current [ U. S. bonds on hand | expenses and taxes paid | Premiums on U. S. bonds j National bank notes outstanding, j Stocks, securities, etc j 8,406. 35 State-bank notes outstanding \ Bank'ghouse,furniture,and fixtures! 29,203.00 Other real estate andmortg's owned! 8, 731. 59 Due to other national banks j Duo from other national banks Duo from State banks and bankers. 141. 04 Due to State banks and bankers.. i Due from approved reserve agents. 7, 758.10 Dividends unpaid. Checks and other cash items 181.94 Exchanges for clearing house Individual deposits Bills of other national jbanks 270. 00 I United States deposits L 153.45 ; Deposits of U.S. disbursing officers.!. Fractional currency, nickels, cents. 7, 413. 00 Specie 2, 606.00 | Notes and bills rediscounted Legal-tender notes J U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 262.50 Due from Treasurer U. S Liabilities other than those above stated 179, 736. 38 Total. $50,000.00 40, 000.00 592. 07 11,250.00 149.33 62,579.88 10,165.10 5, 000.00 179, 736.38 Total. Dawson County National Bank, Lexington. E. M. F . LEFLANG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 4161. $83, 320. 04 171.85 12, 500. 00 A L P . E. GRANTHAM, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 750. 00 il National-bank notes outstanding. 5, 020. 58 ' State-bank notes outstanding 9,493. 70 5,194. 75 Due to other national banks I Due to State banks and bankers..' 153. 00 4, 275.14 Dividends unpaid $50, 000.00 4, 050. 00 227.28 11,250. 00 2, 521.00 350. 65 Individual deposits i United States deposits j 30.60 ! Depositsof U.S.disbursing officers J 3,148. 35 3, 445.00 Notes and bills rediscounted. Bills payable 562.50 j Liabilities other than those above j stated ;. 129,416.16 || Total. 61, 367.88 129,416.16 600 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE B R A S i t A. First National Bank, Liberty. No. 4080. E. B. HARDEN, President. H. A. HARDEN, Cashier. Resources. Li abilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house,furniture, and fixtures Other real estate andmortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer X , S T Total. $57, 796. 3,106. 12, 500. 1,375. 754. 7, 400. 2, 083. 909. 39. 6, 127. 95.28 3,196. 75 1, 640. 00 562.50 Capital stock paid in i Surplus fund ' Undivided profits, less current j expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding j. Due to other national banks Due to State banks and bankers.. $50, 000. 00 3,100. 00 567. 26 11.250.00 1,116.33 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 31,552.78 Notes and bills rediscounted Bills payable Liabilities other than those above stated 97, 586. 37 Total. 97, 586. 37 First National Bank, Lincoln. N. S. HARWOOD, President. No. 1798. F. M. COOK, Cashier. Loans and discounts | $1,101,211.80 ; Capital stock paid in. Overdrafts j U. S. bonds to secure circulation... | 50, 000.00 ! I Surplusfund U. S. bonds to secure deposits | s Undivided p , profits, less current U. S. bonds on hand j expenses and taxes paid Premiums on U. S. bonds ! National-bank notes outstanding. 9,010.00 State-bank notes outstanding Stocks, securities, etc ! 6Q, 000. 00 Bank'ghouse,f urniture,and fixtures 23, 380. 79 Due to other national banks Other real estate and mortg's owned 26, 147. 68 Due from other national banks 31, 561. 72 Due to State banks and bankers. Due from State banks and bankers. 92. 955. 99 Dividends unpaid Due from approved reserve agents. 67, 752. 83 Checks and other cash items 17, 587. 89 Individual deposits Exchanges for clearing house 500. 00 United States deposits Bills of other national panks 2, 670. 44 Deposits of U.S.disbursing officers Fractional currency, nickels, cents. 31,864.00 j | Specie 79,919.00 Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit Bills payable , 2,250.00 1 1 Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities other than those above stated , Total. 1,602,812.14 Total. $400,000.00 100, 000. 00 17,617.06 45, 000.00 132, 309.17 134,820.18 748, 065. 73 25, 000. 00 1, 602, 812.14 American Exchange National Bank, Lincoln. ISAAC M. RAYMOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4606. S. H. BURNHAM, Cashier. $521, 795. 78 2, 818. 97 50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. 12, 815. 18 State-bank notes outstanding 4,019.67 I 18, 502. 07 Due to other national banks 15,214.83 Due to State banks and bankers..) 13, 448. 95 56,654.10 Dividends unpaid „ 8,834.53 ! 8,286.70 Individual deposits 1,150.00 Certified checks 433.74 j United States deposits 41,496.60 i Deposits of U.S. disbursing officers. 4,500.00 j Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 762, 221.12 Total. $250,000.00 20, 000. 00 7, 902. 47 45, 000. 00 16, 621.40 73, 232. 94 314, 835. 76 1, 657.30 32, 971. 25 762,221.32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 601 NEBRASKA. Columbia National Bank, Lincoln. No. 4435. J. B. WRIGHT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency.nickels, centsSpecie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S 1352, 545. 68 1,513.19 50, 000. 00 6,000 00 22,004. 55 5, 023. 00 14, 458. 83 8, 531. 39 1, 702. 30 22,515.18 7, 056. 52 5, 261. 23 326.18 14,165. 00 12,398. 00 2,250. 00 Capital stock paid in Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding $200, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . 5,311.92 26, 829.02 14, 000. 00 4, 783. 20 45, 000. 00 Dividends unpaid 199, 726.91 500. 00 Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 525, 751.05 Total. E. E. BROWN, Cashier. Liabilities. Total. 29, 600.00 525, 751. 05 German National Bank, Lincoln. C. T. BOGGS, President. -, Cashier. No. 3571. Loan and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X . S. bonds on hand T Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie * . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $51, 977. 03 [ Capital stock paid in 442. 00 25, 000. 00 Surplus fund 1, 450. 00 17,669.09 2, 500. 00 45,319.11 2, 505. 30 222.00 10, 239. 22 1, 369. 59 843.33 550. 00 155. 88 5, 072. 25 8, 000. 00 1,125. 00 274,439.80 Total. $100,000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 5,218.24 22, 500.00 180. 57 3, 397. 34 106, 289.64 354. 01 20, 000.00 16, 500. 00 Liabilities other than those above stated Total. 274, 439. £ First National Bank, Madison. PETER RUBENDALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3773. Capital stock paid in M. C. GARRETT, Cashier. $92,425. 74 880. 07 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 625. 00 National-bank notes outstanding. 1,157. 00 State-banknotes outstanding 7, 250.00 1, 216. 91 Due to other national banks 1, 920. 01 Due to State banks and bankers.. 74.35 4,502. 62 163. 56 150. 00 71.23 6,224. 55 615. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursin g officers. Notes and bills rediscounted Bills payable $50, 000. 00 10, 000. 00 5, 318. 46 11, 250. 00 16.00 52,267. 64 2, 846.44 562*50" 360.00 Liabilities other than those above 131, 698. 54 stated Total 131, 698. 54 602 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, McCook. No. 3379. GEORGE HOCKNELL, President. W. F. LAWSON, Cashier. |i Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $128, 527. 40 10.19 13, 000. 00 16,913.00 1,022.44 340. 28 8, 572. 77 9.00 750. 00 62.77 12,115. 50 835. 00 573, 50 Liabilities. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks !, Due to State banks and bankers.. j Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. | Notes and bills rediscounted Bills payable 10, 000. 00 3, 933.08 11,470.00 2,109. 56 101,719.21 3, 500.00 Liabilities other than those above stated , Total. Total. 182,731.85 First National Bank, Minden. OTTO ABEAHAMSON, President. .1 Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks \ Fractional currency, nickels, cents, j Specie Legal-tender notes | U. S. certificates of deposit j Redemption fund with Treas. U. S. Due from Treasurer U. S Total . L. NEWELL, Cashier. No. 3057. $65, 325. 46 409.06 12,500. 00 2, 689. 40 13, 784.48 7,515.75 5,818.88 422. 22 40.33 1,320.00 1, 570. 00 562. 50 $5oTooo7ob Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 500. 00 1,402. 27 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Ill, 958. C Total . 31,329. 54 9, 469.49 8, 000. 00 111, 958. 08 Merchants' National Bank, Nebraska City. W. A. COTTON, President. No. 2536. Loans and discounts $205,435.23 Overdrafts U. S. bonds to secure circulation... | 12, 500. 00 U. S. bonds to secure deposits • IT. S. bonds on hand Premiums on U. S. bonds 1,000. 00 Stocks, securities, etc 3,583.96 Bank'g house,furniture, and fixtures 7,400. 00 Other real estate and mortg's owned Due from other national banks ! 2, 306. 76 Due from State banks and bankers. j 8. 96 Due from approved reserve agents. j 17,077.57 Checks and other cash items | 438.93 Exchanges for clearing house 780.00 Bills of other national banks 93.15 Fractional currency, nickels, cents. 21,197. 50 Specie 2, 865. 00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.| 562. 50 Due from TreasurerU.S j--Total . 275,249.56 H. N. SHEWELL, Cashier. Capital stock paid in. 15, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 31. 440. 46 11,250.00 Due to other national banks Due to State banks and bankers. 2, 621.38 783. 96 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 133,463. 76 20, 690.00 10,000.00 Liabilities other than those above stated Total . 275, 249. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 603 NEBRASKA. Nebraska City National Bank, Nebraska City. W. L. WILSON, President. No. 1855. H. D. WILSON, Cashier. Resources. .Liabilities. Loans and discounts Overdrafts , U. S. bonds to secure circulation... U. S. bonds to secure deposits... XJ. S. bonds on hand Premiums on U. S. bonds Siocks, securities, etc Baub'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks.and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Thanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $187, 295.31 19.04 25, 000. 00 2, 500.00 2,650. 69 10, 000. 00 4, 981. 79 644. 87 235.14 18, 542. 41 1,090.51 250.00 125. 50 16, 208.15 2.173. 00 *'i,"i25."66" Capital stock paid in. 12, 500. 00 Due to other national banks ! Due to State banks and bankers..! Dividends unpaid 874. 83 3, 644.17 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 669. 99 22, 500. 00 127, 452. 42 5,200.00 Liabilities other than those above stated 272,841.41 Total . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 272, 841.41 Otoe County National Bank, Nebraska City. M. L. HAYWARD, President. No. 1417. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S, bonds to secure deposits U. S, bonds on hand } Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and.fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills ol other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . $89,851.95 918.73 12,500.00 2, 078. 64 12,772 50 1. 635. 96 744. 72 5, 893.13 2,619. 37 211. 48 4,484. 20 2,803. 00 J N O . W. STEINHART, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,947.40 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 84.44 785.93 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 55, 008.41 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total . 137,076.18 j 10, 000. 00 137,076.18 First National Bank, Neligh. C. A. REIMERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S.j Due from Treasurer U, S ; Total . No. 4110. C. R. ALLDER, Cashier. $126,516.17 | Capital stock paid in. ~ ~$5oioooToo 2,405.64 12, 500. 00 Surplusfund 1, 500.00 | Undivided profits, less current 362. 69 1, 500. 00 j National-bank notes outstanding. 11, 250. 00 7,164. 08 State-bank notes outstanding 8,899.63 4,458. 75 Due to other national banks Due to State banks and bankers. 1,105.66 1,891.39 Dividends unpaid 1,187.94 Individual deposits j 87, 750. 41 ""274." 00' United States deposits j. 6.12 Depositsof U.S.disbursingofficers-1. 4,421.45 500. 00 Notes and bills rediscounted | 9,530.23 13,000. 00 Bills payable 562. 50 Liabilities other than those above stated 173, 393. 33 Total . 173,393.33 604 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBR A SKA. First National Bank, Nelson. No. 3495. M. A. KUBLE, President. S. A. L A P P , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherrealestate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house j Bills of other nation aljbanks ! Fractional currency, nickels, cents, j Specie I Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $88, 746. 51 1.738.30 18, 750. 00 2, 000. 00 3,839.35 11,821.52 1,500.00 5, 955. 67 507. 70 1, 248. 66 54.14 4,818.90 1, 000. 00 843.75 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 141.00 Individual deposits United States deposits Deposits of U. S .disbursing officers. 40, 661.01 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 142, 913. 84 142, 913. 84 Citizens' National Bank, Norfolk. No. 3741. G. A. LUIKAET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on TJ. S. bonds | Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall)anks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S- Due from Treasurer U. S $138, 073.40 321.28 12,500. 00 1,431.25 11, 250. 00 540. 70 20, 729. 06 2,516.77 1, 855. 00 21.13 1,341.75 1,000. 00 "562.50 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 192,142. 84 Total. R. A. STEWART, Cashier. Capital stock paid in. $50, 000.00 I 2, 000. 00 1,272.72 11,250.00 36.02 1, 718.97 2, 000.00 113, 865.13 2, 000.00 8, 000. 00 192,142. 84 Norfolk National Bank, Norfolk. N. A. RAINBOLT, President. Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc ' Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. i Checks and other cash items I Exchanges for clearing house j Bills of other national panks I Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit I Redemption fund with Treas. U. S. i Due from Treasurer U. S Total. No. 3347. $210,311.48 1,356.66 25, 000. 00 W. H. BUCHOLZ;, Cashier. Capital stock paid in. Surplus fund. Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. State-bank notes outstanding 2,465. 84 2, 269.19 Due to other national banks 16.34 Due to State banks and bankers.. 7,466. 03 Dividends unpaid 402. 06 Individual deposits 780.00 United States deposits 66.08 Depositsof U.S.disbursing officers. 10,325. 50 1, 600. 00 Notes and bills rediscounted Bills payable , ,, 1,125.00 j i Liabilities other than those above stated ,.., 264,684.18 Total. $100,000. 00 20, 000. 00 3, 452. 35 22, 500. 00 2, 235.87 3.38 103,592.58 12, 900.00 264,684.18 REPORT OF THE COMPTROLLER OF THE CURRENCY. 605 NE B R A S K A . First National Bank, North Bend. No. 3059. M. E. FULLER, President. C. CUSACK, Cashier. Resources. Liabilities. Total. $95,834.59 \ Capital stock paid in 1,916.15 ! 12,500.00 ! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 230.00 State-bank notes outstanding 5, 709.08 5, 553. 42 Due to other national banks 313.42 Due to State banks and bankers. 5, 715. 74 Dividends unpaid 84.13 j Individual deposits 15.00 j United States deposits 33.25 I Deposits of U.S.disbursing officers. 2, 681. 50 1, 504.00 Notes and bills rediscounted. Bills payable 562.50 ! I Liabilities other than those above stated $50, 000. 00 132, 652. 78 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to K secure deposits U. S. bonds on and Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S 132, 652. 78 Total. 8, 200. 00 53. 72 11,250,00 58,149.06 5,000.00 First National Bank, North Platte. No. 3496. E. M. F. LEFLANG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total $122, 828. 81 132. 78 12, 500. 00 1, 750. 00 11, 574. 50 22, 612. 49 5,874.84 2, 827. 31 698. 67 31, 565.12 3, 905. 34 ARTHUR MCNAMARA, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 565*66" United States deposits 100.40 Deposits of U.S.disbursingofficers. 9, 377.10 4, 000.00 562. 50 230, 814. 86 $50, 000.00 22, 500.00 1, 748. 69 11, 250.00 1,761.8 143, 554. 31 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 230, 814.86 First National Bank, Oakland. ANDREW BECKMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . • U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc | Bank'g house, furniture, and fixtures] Other real estate and mortg's owued. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 4610. C. K. CULL, Cashier. $103, 965.11 Capital stock paid i n . . $5U, 000.00 1,275.49 12, 500. 00 Surplus fund 8, 000. 00 Undivided profits, less current 2, 353. 25 expenses and taxes paid 11, 250. 00 National-bank notes outstanding. State-bank notes outstanding. 5, 500. 00 Due to other national banks 50.50 Due to State banks and bankers . 171. 99 7, 475. 74 Dividends unpaid 318. 28 Individual deposits 57, 823. 58 20. 00 United States deposits 54.22 Deposits of U.S.disbursing officers. 3, 973. 00 1, 560. 00 Notes and bills rediscounted. Bills payable 8, 000. 00 562.50 Liabilities other than those above stated 137,426. & Total. 137, 426. 83 606 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRA SKA. First National Bank, Omaha. No. 209 H. KOUNTZE, President. F. H. DAVIS, Cashier. Resources. Liabilities. $1, 869,914. 75 Capital stock paid in Loans and discounts 45,416.51 Overdrafts ,. 50, 000. 00 Surplus fund TJ. S. bonds to secure circulation... 100, 000. 00 Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand 759.37 National-bank notes outstanding. Premiums on U. S. -bonds | 133, 732. 65 State-bank notes outstanding Stocks, securities, etc i 125, 000. 00 Due to other national banks Bank'ghouse,furnitnre,andfixture"j 60, 292.31 Other real estate and mortg's owned 107, 807. 94 Due to State banks and bankers.. Due from other national banks 278, 740. 62 Due from Stat e banks * nd bankers. 595,103. 54 Dividends unpaid Due from approved reserve agents. 2, 347. 33 Checks and other cash items 88, 301. 09 Individual deposits Exchanges for clearing house 15, 571. 00 Certified checks Bills of othernationafbanks 70.00 United States deposits Fractionalcurrency,nickels, cents. 540, 695.00 Deposits of U.S.disbursing officers . Specie 30, 000. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit 2,250.00 1 Redemption fund with Treas. TJ. S1,760.00 ! Liabilities other than those above Due from Treasurer TJ. S stated 4, 047,762.11 Total. Total. $500, 000. 00 100, 000. 00 17, 683.48 45, 000. 00 601, 339.04 573,283.67 2,120, 040. 82 1,858.29 19, 565. 80 68, 991. 01 4,047, 762.11 American National Bank, Omaha. T. L. KIMBALL, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real est ate and raortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickeis, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S HENRY F . WYMAN, Cashier. No. 4087. $300,480. 31 Capital stock paid in j $200,000.00 2, 508.43 ! 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 45, 000. 00 5, 500. 00 National bank notes outstanding. 48, 826. 39 State-bank notes outstanding 7, 500. 00 Due to other national banks 6, 006. 06 42, 678.32 5,453. 28 432. 65 Due to State banks and bankers.. 160. 54 35,176. 04 Dividends unpaid 12, 380.03 254, 505.97 5, 608. 07 Individual deposits 307.00 Certified checks 74.33 U nited States deposits 17,697.20 Deposits of U.S.disbursing officers. 20, 000. 00 Notes and bills rediscounted 40,000.00 Bills payable 2,250.00 Liabilities other than those above stated 551,272.31 Total. Total. 551,272.31 Commercial National Bank, Omaha. C. W. LYMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc .* Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3163. A. MILLARD, Cashier. $534,811.63 Capital stock paid in 1, 296. 00 50, ooo. oo ; Surplus fund Undivided profits, less current expenses and taxes paid 4. 500. 00 National-bank notes outstanding. 55,273.45 State-bank notes outstanding 176, 248.05 Due to other national banks 8, 578. 87 23,962. 99 Due to State banks and bankers... 7, 720. 06 65, 507. 86 Dividends unpaid 3, 964. 33 Individual deposits 7,104. 08 9, 815. 00 Certified checks j 617. 91 United States deposits 97, 624. 00 Deposits of U.S.disbursing officers J ' 13,771.00 Notes and bills rediscounted Billspayable j 2, 250. 00 12,000.00 Liabilities other than those above j stated 1,075,045.23 Total. $400, 000. 00 10,000.00 17, 069. 70 44, 595. 00 75, 018. 46 138, 848. 92 386, 977. 76 2, 535. 39 1, 0?5t045.23 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 607 NEBRASKA. Merchants' National Bank, Omaha. No. 2775. FRANK MURPHY, President. B. B. WOOD, Cashier. Resources. Liabilities. $974, 570. 44 10, 265. 20 100, 000. 00 100, 000. 00 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractionalcuirency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S 23, 000. 00 13, 778. 30 211, 000. 00 4,400. 00 18, 549. G6 2,873. 75 181,199. 09 16,197. 41 24, 031. 62 14, 217. 00 3, 374. 43 154, 487. 70 10, 000. 00 * 4,500.60 Total . Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500,000.00 Due to other national banks Due to State banks and bankers.. 76, 419. 34 191,112.18 100,000.00 29,308. 48 90, 000. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofticers. Notes and bills rediscounted Bills payable 790.188. 72 685. 00 15, 325.44 73, 405.44 Liabilities other than those above stated 1, 866, 444. 6 Total. 1,866,444. 60 National Bank of Commerce, Omaha. No. 4270. J. N. CORNISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits-.. U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. S. RECTOR, Cashier. $575,430. 90 Capital stock paid i n . . . 6, 791. 32 50,000.00 j i Surplus fund J Undivided profits, less current i jj expenses and taxes paid 1 National-bank notes outstanding. 7,000. 00 1 1 103,133.06 1 State-bank notes outstanding 9, 497. 70 43, 321. 09 i Due to other national banks 6, 493.42 ji Due to State banks and bankers.. 5, 393. 55 124,588. 06 I i Dividends unpaid 8, 668. 80 1,219,18 j; Individual deposits 2, 490. 00 ;; Certified checks 356. 50 i i United States deposits 9, 958.65 I Deposits of U. S. disbursing officers. 33, 501. 00 I Notes and bills rediscounted 1 j Bills payable ""*2," 250." 66 ij !; Liabilities other than those above i \ stated 990, 093. 23 Total . $500, 000.00 7. 462. 33 45,000.00 6, 715. 75 26, 872.12 308,119.61 385.00 95,538.42 990, 093.23 Nebraska National Bank, Omaha. L. S. R E E D , Cashier. No. 2665. $658, 428. $400, 000. 00 Capital stock paid in 8, 467. Surplusfund 25,000.00 180,000. Undivided profits, less current 50, 000. expenses and taxes paid 24,725. 20 National-bank notes outstanding. 160,150.00 27, 600. State-bank notea outstanding 47,238 88, 000. Due to other national banks 423, 636.62 53,287. 72, 848.45 84, 949. Due to State banks and bankers.. 20, 652. Dividends unpaid 303,141. 49, 042. 663,496.04 Individual deposits 51,781. 582. 90 Certified checks 9, 500. 29, 414. 20 United States deposits 368. 15,436.90 Deposits of U.S. disbursing officers. 156, 731. 18, 000. Notes and bills rediscounted. Bills payable 8,100. 00 Liabilities other than those above stated H. W. YATES, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total I 1,815,290.31 Total 1,815,290.31 608 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. Omaha National Bank, Omaha. No. 1633. J. H. MILLARD, President. W. WALLACE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonda on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels,cents. Specie Legal-tender notes U . S . certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U, S !, 616, 27, 50, 50, 592. 259. 000. 000. 86 96 00 00 8, 000. 00 290,624. 02 200, 000. 00 85, 633. 32 180, 332. 40 209, 685. 30 481, 444. 01 16,079.40 185, 295. 61 40, 077. 00 2,111.33 551, 730.11 93, 290.00 2, 250. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $1, 000,000. 00 Due to other national banks Due to State banks and bankers.. 1,179, 559. 67 641,868.60 30, 582. 09 45, 000. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 2, 053, 880. 66 12,171. 33 27, 342. 97 Liabilities other than those above stated 5, 090,405.32 Total - 100, 000.00 Total I 5,090,405. 32 Union National Bank, Omaha. W. "W. MARSH, President. No. 3516. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $541,570.66 "56,660.06 I 2,000.00 17,500.00 6, 000. 00 19, 423. 83 24, 208.49 6,183.06 48,241.14 3, 757. 31 9, 521. 04 5,405. 00 226. 26 30, 842. 75 20, 000. 00 CHAS. E. FORD, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 2, 250. 00 $250, 000.00 0, 000. 00 4, 844. 09 45, 000. 00 60, 366. 67 133,123.19 210.00 237, 5G6. 39 19.20 50, 000.00 Liabilities other than those above stated Total . 787,129. 54 787,129. 54 United States National Bank, Omaha. C. W. HAMILTON, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits j i U. S. bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2978. $850, 985. 1, 700. 200, 000. 100, 000. 60 20 00 00 M. T. BARLOW, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 36, 000. 00 116, 215. 01 12,592.32 Due to other national banks 81, 687. 30 19, 598. 47 Due to State banks and bankers.. 41, 216. 25 ! 218,372.65 Dividends unpaid 1,013.38 16,133.39 Individual deposits 15, 000. 00 Certified checks 1, 301. 96 United States deposits 221,156.00 DepositsofU.S.disbursingonicers 30,000.00 Notes and bills rediscounted Bills payable 9, 066' 66' 1,971,972.53 \\ $400, 000. 00 26, 000. 00 9,171, 54 169, 610. 00 190, 614. 72 115, 998. 32 971, 547. 23 71.74 23,961.76 64, 997. 22 Liabilities other than those above stated Total . 1, 971, 972. 53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 609 NEBRASKA. First National Bank, O'Neill. T. J. BEBMINGHAM, President. No. 3424. E D . F. G-ALLAGHER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U.S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures| Other real estate andmortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $58, 732. 81 2,122. 32 12, 500. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 50, 340. 21 State-bank notes outstanding 18, 000. 00 Due to other national banks 5,849.04 Due to State banks and bankers.. 343.77 38,927.69 Dividends unpaid 230.55 Individual deposits 60.00 United States deposits 18.83 Deposits of U. S.disbursing officers. 7, 509. 35 2,000.00 Notes and bills rediscounted Bills payable 562.50 I Liabilities other than those above stated 197,197.07 Total. 20,000. 00 2, 225.30 11,250.00 701. 56 8, 214. 85 104, 805. 36 197,197.07 First National Bank, Ord. P. MOBTENSEN, President. E. N". MITCHELL, Cashier. No. 3339. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $85, 959.13 306. 58 12, 500. 00 12,100.00 6,280. 00 12, 688. 70 1, 248. 58 205. 00 26.20 1, 038. 75 2, 581. 00 562. 50 135, 496. 44 Capital stockpaidin. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding.. $50,000.00 14, 000. 00 4, 534. 03 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficersNotes and bills rediscounted Bills payable Liabilities other than those above stated Total. 45,712.41 10, 000. 00 135,496.44 First National Bank, Orleans. GrEO. W. BUBTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis J O H N A. RANDALL, Cashier. No. 3342. $64,505. 04 Capital stock paid in $50,000.00 35.17 12, 500.00 Surplus fund 1, 800. 00 Undivided profits, less current 274. 55 expenses and taxes paid 265.25 National-bank notes outstanding. 11, 250. 00 State-bank notes outstanding 15, 677.95 4,497.59 Due to other national banks 257.93 Dae to State banks and bankers.. 353.04 1,245.73 20.00 20.00 9.02 1,775.25 1,345.00 562.50 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers Notes and bills rediscounted Bills payable 30,638.84 8, 400.00 Liabilities other than those above stated 102, 716.43 Total 102,716.43 610 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E B R A S K V. First National Bank, Pawnee City. No. 2825. J A S . N. ECKMAN, President. JOHN C. DAVID, Cashier, Resources. Loans and discounts Overdrafts TJ. &. bonds to secure circulation... XT. S. bonds to secure deposits TJ S. bonds on hand ..... Premiums on IT. S. bonds Stocks, securities, etc Bank 'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total Liabilities. $159, 544.18 1, 743. 46 18, 750.00 3, 029.67 8, 609. 85 Capital stock paid in $75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding..... 3,500.00 3,556. 48 16, 750. 00 Due to other national banks Due to State banks and bankers.. 11,043.99 654.18 Dividends unpaid Individual deposits 3I6." 66" United States deposits 388. 92 Deposits of U.S.disbursing officers. 7.161.20 1,070. 00 Notes and bills rediscounted Bills payable 837.50 201. 40 213,344.35 Liabilities other than those above stated Total 109, 537. 87 5,000. 00 213,344. 35 Farmers' National Bank, Pawnee City. No. 4078. CHAS. E. CASEY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture,and fixtures) Other real estate and mortg's owned; Due froni other national banks Due from State bunks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $132, 937. 48 469.29 15,000. 00 3, 224.11 14, 000. 00 J . T. TEENERY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 280.00 United States deposits 79.02 Deposits of U.S .disbursing officers. 7, 209. 00 2, 749. 00 Notes and bills rediscounted Bills payable 675. 00 Liabilities other than those above stated 191,154. 58 Total. $60,000.00 4,000.00 813. 20 13, 500. 00 418.11 465. 76 12, 818. 40 829.41 107, 841. 38 5,000. 00 191,154. 58 First National Bank, Pender. J. H. HENEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4791. E. A. WILTSE, Cashier. $50,000.00 Capital stock paid in. Surplus fund 1, 700.00 Undivided profits, less current expenses and taxes paid 3,981.55 1, 500.00 National-bank notes outstanding. 10,500.00 State-bank notes outstanding $113,617.97 2,146. 50 12,500. 00 "i6*338*33" Due to other national banks Due to State banks and bankers. 5, 208. 24 Dividends unpaid 2,989. 79 45.89 500. 00 22.47 3,159.85 1,500.00 562. 50 Individual deposits United States deposits Deposits of U.S.disbursingofficers- 86; 909.99 1, 000. 00 Notes and bills rediscounted Bills payable than those above Liabilities other stated 154, 091. 54 Total. 154, 091.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 611 NEBRASKA. First National Bank, Pierce. H. S. BECK, President. N o . 4280. • WOODS CONES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc : Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national batiks Due from State banks and bankers. Due from apx>roved reserve agents. Checks and other cash items Exchanges for clearing house ' Bills of other national banks | Fractional currency, nickels, cents. I Specie ! Legal-tender notes i U. S. certificates of deposit I Redemption fund with Treas. U. S.j Due from Treasurer U. S Total. Liabilities. $75, 846.16 701.12 12, 500. 00 Capital stock paid in. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid 1,500.00 I National-bank notes outstanding. State-bank notes outstanding 10, 700. 00 ! 2,493.85 i 690. 44 i 30.00 | 6, 233. 36 ! 1,133.84 | 562.'50 756.29 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits """"425." 66'| United States deposits 10.83 | DepositsofU.S.disbursingofficers. 1,158. 96 ! 3, 000. 00 ! 3,200. 00 Notes and bills rediscounted Bills payable 40, 479. 77 11,300.00 Liabilities other than those above stated Total. 116,986. 06 116,986. 06 First National Bank, Plattsmouth. No. 1914. GEO. E. DOVEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtum Other real estate and mortg's ownec Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $142,140. 41 4,133. 55 15, 300.00 S. WAUGH, Cashier. j Capital stock paid in. $50,000.00 I Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 647. 85 State-bank notes outstanding 1, 000. 00 5,105. 48 33. 29 13, 518. 76 1, 695.19 1, 260. 00 66.55 8, 727. 00 1,500. 00 675.00 150.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 2, 613.90 1, 849. 28 13, 500. 00 1,458. 55 Individual deposits United States deposits Deposits ot'U.S.disbursing officers. 122,496. 85 Notes and bills rediscounted i Bills payable Liabilities other than those above stated 10, 034.50 201, 953. 08 Total. 201,953.08 First National Bank, Saint Paul. ADDISON E. CADY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U, S Total. No. 3126. GEO. E. LEAN, Cashier. $74,868.44 l![ Capital stock paid in. ) 929.93 12, 500. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 5, 953.18 State-bank notes outstanding 9, 992. 52 3,847.99 Due to other national banks Due to State banks and bankers. 4, 227. 04 Dividends unpaid 1,081.84 Individual deposits 1,000. 00 United States deposits 39.00 Deposits of U.S. disbursing officers. 4,392. 40 410. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 119, 804. 84 Total. $50, 000.00 10,000.00 396.27 11,250.00 43,832. 95 4, 325. 62 119,804.84 612 REPORT OF THE COMPTROLLER OF THE CURRENCY. I\ i: B R A S K A . Citizens' National Bank, Saint Paul. E D . MCCORMICK, President. No. 3891. M. H. NUGENT, Cashier* Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds t o secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks a n a other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $51, 467. 86 104. 04 12, 500. 00 1, 812. 50 2, 261. 98 10,173. 23 1, 340. 65 700. 00 10.11 1,442. 00 1, 846. 00 262.50 Capital stock paid in. 4,100.00 2, 745. 64 11, 250.00 Due to other national banks | Due to State banks and bankers.. 1 I Dividends unpaid 1,020.08 Individual deposits United States deposits Deposits of U.S.disbursing officers. 14, 814.14 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 83, 929.86 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.) State-bank notes outstanding : 83, 929.86 Total. Saint Paul National Bank, Saint Paul. A. U. DANN, Cashier. No. 3129. N. J. PAUL, President. Loans and discounts Overdrafts TJ. S. bonds t o secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate andmortg's owned Due from other national banks ] Due from State banks and bankers. j Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S Due from Treasurer U. S $60,231.70 Capital stock paid in j 494.66 i 12,500.00 | Surplus fund j Undivided profits, less current j expenses and taxes paid j. National-bank notes outstanding.; 10,412.64 State-bank notes outstanding i5, 000.00 11,221.53 Due to other national banks i. Due to State bauks and bankers.. j I 4, 713.15 Dividends unpaid 26.32 5, 465. 00 7, 537.99 11, 250. 00 177.73 41, 661. 78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 110, 627. 50 Total. Individual deposits United States deposits Deposits of U.S.disbursingofficers. $50, 000. 00 Total . 110, 627. 50 First National Bank, Schuyler. THOMAS BRYANT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank1 ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. MORRIS PALMER, Cashier. No. 2778. $176, 490. 85 | Capital stock paid i n . $50, 00CU)0 5, 385.82 12, 500. 00 Surplus fund 25, 000.00 Undivided profits, less current 1, 055. 00 j expenses and taxes paid 11, 250. 00 1,800.00 J| National-bank notes outstanding. State-bank notes outstanding 10, 751. 65 1, 203.11 j Due to other national banks 204. 32 ' Due to State banks and bankers.. 3, 308. 74 Dividends unpaid. 2, 850. 31 Individual deposits 108, 839. 21 United States deposits 114.71 Deposits of U.S. disbursing officers. 5,166. 50 2, 262. 00 Notes and bills rediscounted 26, 047.66 Bills pa}rable 562. 50 Liabilities other than those above stated 222, 396.19 Total. 222,396.19 REPORT OF THE COMPTROLLER OF THE CURRENCY, 613 NEBRASKA. Schuyler National Bank, Schuyler. No. 3152. W. H. SUMNER, President. J. S. JOHNSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities Capital stock paid in 10, 000.00 1,875. 57 11,250.00 5,877.75 li Dividends unpaid. Individual deposits United States deposits 9.74 Depositsof U. S.disbursingoffi cers. 2, 523. 30 367.00 Notes and bills rediscounted Bills payable """562*50* Liabilities other than those above stated 136, 584. i Total - $50,000.00 Surplus fund I Undivided profits, less current I expenses and taxes paid | National-banknotes outstanding. 8, 229. 00 State-bank notes outstanding 16,000.00 17,821.21 Due to other national banks 917.75 Due to State banks and bankers. Total . 58,897.89 4,561.40 136, 584.86 First National Bank, Seward. S. C. LANGWORTHY, President. JSTo. 2771. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Dne from other national banks Due from State banks and bankers.] Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S, certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . "W. E . L A N G W O R T H Y , Capital stock paid in. 1, 371. 70 12, 500. 00 4, 000. 00 13, 290. 08 2, 099. 28 23,196. 49 986 82 345.66 118. 79 7,167. 00 1, 000. 00 562. 50 Cashier. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 2,168. 51 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. 101, 984.83 Notes and bills rediscounted Bills payable Liabilities other than those above stated 16,100.00 Total. 191, 503. 34 191, 503.34 Jones National Bank, Seward. CLAUDIUS JONES, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous Bills of other national banks j Fractional currency, nickels, cents.! Specie j Legal-tender notes j ! U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S . Total . No. 3060. $119, 561.41 19.62 12,500.00 1,950.54 12,000. 00 10,727.14 7,313. 06 401. 74 H. T. JONES, Cashier. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 10, 000.00 4, 873. 70 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 3,490. 00 United States deposits 31.35 Deposits of U. S.disbursingoflBcers. 8,909.70 1,000. 00 Notes and bills rediscounted. Bills payable 562.50 . 1 Liabilities other than those above 1 stated 178,467.06 I $50, 000.00 Total . 102, 343. 36 178,467.06 614 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. Packers' National Bank, South Omaha. JOHN F. COAD, President. No. 4589. F. J.MORIAETY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. & bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' ghouse, furniture, an dfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . Liabilities. $158, 608. 55 4,1(30. (50 25, 000. 00 Capital stock paid in $100,000.00 ! Surplus fund I Undivided profits, less current ! expenses and taxes paid 3, 000. 00 j National-bank notes outstanding 9, 990. 00 State-bank notes outstanding 23, 407. 49 11, 230. 04 Due to other national banks !3,848.27 Due to State banks and bankers. !. :. 53,107. 62 | Dividends unpaid 484.27 Individual deposits j 1,215. 00 United States deposits I 33.84 Deposits of U.S.disbursing officers. 10, 885. 00 2,450. 00 Notes and bills rediscounted Bills payable j. 1,125.00 Liabilities other than those above stated Total. 308,545.68 6, 391. 66 22,500. 00 11,651.53 168, 002. 49 308,545. 68 South Omaha National Bank, South Omaha. J . P . MiLLARD, President. _ Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national Ijanks Fractional currency, nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S No. 3611. $509, ,*60. 69 "25,000.00 2, 000.00 34,664. 26 25, 352. 59 12, 699. 21 8, 730. 06 3, 873. 24 121,123.21 135,103. 81 385. 00 112. 70 30, 676. 00 10,947.00 1,125.00 _ Capital stock paid i n . Surplu s fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000.00 19,123. 91 22, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 51, 638.45 41, 307. 88 Individual deposits United States deposits Deposits of U.S.disbursing officers. 562, 082.53 Notes and bills rediscounted. Bills payable 50, 000.00 Liabilities other than those above stated Total . 921,152. 77 Total. H. C. BOSTWICK, Cashier. _ _ _ _ _ _ _ 921,152.77 Union Stock Yards National Bank, South Omaha. JOHN A. MCSHANE, President. Loans and discounts Overdrafts TJ.S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned 3 *ue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4632. $652,473. 46 20,801.58 50, 000. 00 1,885. 35 2, 024. 76 53, 601. 27 65, 303. 52 309, 4'zO. 66 11, 872. 25 525. 00 38.97 46,407.15 3, 775. 00 THOMAS B. MCPHERSON, Cashier. Capital stock paid in j $200, 000.00 Surplus fund Undivided profits, less current expenses a n d taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . 73,164. 24 80, 325. 64 64, 580.47 41,437. 50 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 705, 807, 27 5, 063.85 2, 250. 00 Liabilities other t h a n those above stated 1, 220, 378. 97 Total 1,220,378.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 615 N E B R A S K A. First National Bank, Stanton. No. 3364. LEVi MILLER, President. W. GEEECKE, Cashier. Resources. Liabilities. Loans and discounts $89, 752.47 Overdrafts 85. 61 TL S. bonds to secure circulation... 12,500.00 U. S. bonds to secure deposits tl. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc 1, 379. 82 Bank ghouse,furniture,and fixtures! 4, 500.00 Otberreal estate and nior tgs owned > Due from other national banks j 2, 682. 75 Duefrom State banks and bankers.! Due from approved reserve agen ts. j 6,430.67 Checks and other cash items j 681. 52 Exchanges for clearing house ! Bills of other national banks 95.00 Fractional currency, nickels, cents. 28.76 Specie 5,835.25 Legal-tender notes 2,181. 00 TJ. S. certificates of deposit Redemption fund with Treas U.S. 562.50 Due from Treasurer U. S Total. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 10,000t00 13, 536.14 11, 250. 00 66.54 37, 862. 67 4, 000. 00 Liabilities other than those above stated Total. 126,715.35 126,715.35 First National Bank, Superior. No. 3529. D. BOSSERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national l>an ks Fractional currency,nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $122,603.11 1,746.43 25, 000. 00 C. E. ADAMS, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 967. 21 National-bank notes outstanding. C, 720. 30 State-bank notes outstanding 15,318.53 6, 509. 87 Due to other national banks Due to State banks and bankers. 16,542. 96 Dividends unpaid 6.44 Individual deposits I United States deposits 91.06 DepositaofU.S.disbursingoflicers. 3, 985. 35 2, 000. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated Total . 202,616.26 5, 500.00 1,904. 21 22, 500.00 62, 712. 05 10,000.00 202,616.26 First National Bank, Sutton. F. N. ROWLEY, President. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds : Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3240. $100,917.15 2, 368. 81 13.000.00 9, 000.00 3, 573.00 2,177.66 7, 625.90 675. 22 1, 245. 00 13.80 717. 50 3, 800. 00 573. 50 145,687.54 |! M. L. LUEBBEN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable $50, 000.00 16, 000. 00 1, 036.14 11, 470. 00 1, 918.15 50, 327. 85 9, 935. 40 5, 000.00 Liabilities other than those above stated Total. 145,687. 54 616 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. Sutton National Bank, Sutton. No. 3653. J O H N B. DINSMORE, President. F. C. MATTKSON, Cashier. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other realestate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items — Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $101,855.59 1,148.64 12, 500. 00 Capital stock paid i n . . 7, 225. 21 5, 200. 00 1,218.80 10, 000.00 1,148. 74 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid ,109.88 354.07 ! ' Individual deposits 35. 00 I United States deposits 82. 81 j Deposits of U. S.disbursing officers. 6,568.45 25.00 I1 Notes and bills rediscounted ! Bills pay able 562. 50 Liabilities other than those above stated 141,885.95 | Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 51, 759. 81 2, 727. 40 15, 000. 00 141, 885. 95 First National Bank, Syracuse. NICHOLAS A. D U F F , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg' a owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes g U S. certificates of deposit fi f U. S Redemption fund with Treas.U. SDue from Treasurer U S U. j D f T No. 3083. $76, 549.47 675.90 12, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 97 06 65 69 Individual deposits United States deposits Deposits of U. S.disbursing officers. 325. 00 18.90 3, 660. 00 695. 00 Notes and bills rediscounted. Bills payable 562.50 I Total. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 209. 85 6, 083. 00 6, 028. 256. 8, 942. 562. C. E. COTTON, Cashier. Capital stock paid in. 10, 000.00 622.96 11, 250. 00 3, 589. 63 33, 607.40 8,000.00 Liabilities other than those above stated Total . 117,069.9 117, 069.99 Tecumseh National Bank, Tecumseh. N. S. HARWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banksand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U, S Total. No. 4276. $71, 475. 02 1, 237. 08 12, 500. 00 500. 00 455.44 500. 00 900. 00 184. 48 373. 00 ' CHAS. A. PIERCE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000.00 1, 720.06 11,250.00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits 41.48 Deposits of U. S.disbursing officers. j i, 996.35 !, 000. 00. Notes and bills rediscounted j - J Bills payable j 562*50 i Liabilities other than those above | stated , 127, 725. 35 $50, 000.00 Total. 49, 755.29 10, 000. 00 127, 725. 35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 617 BRA $ A. First National Bank, Tekamah. N o . 4324. J. P. LATTA, President. E D . LATTA, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand PremiumsonU S.bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $131, 620.91 10, 224. 54 12, 500.00 625. 00 1, 435.94 5,000.00 40, 245. 88 1,147.92 5, 902.15 379 80 313.12 200. 00 33.85 5,950.55 500. 00 562.50 Total Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 Due to other national banks Due to State banks and bankers.. 1,784.87 1,111.27 11,250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 86, 489. 22 Not es and bills rediscounted Bills payable 21,006.80 35, 000.00 Liabilities other than those above stated Total 216, 642.16 216,642.16 First National Bank, Tobias. No. 3725. W M . BURKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owued Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. 0.33 138. 06 12, 500. 00 8, 660.00 142.33 1, 719. 37 126. 56 20.00 60.97 1, 573. 75 125. 00 J . V. AINSWORTH, Cashier. Capital stock paid i n . $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid... National-bank notes outstanding. State-bank notes outstanding 7, 200. 00 577.19 11,230.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3.58 1, 807.02 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 17,201. 08 Notes and bills rediscounted. Bills payable 4, 400.00 562.50 Liabilities other than those above stated 92,438.87 I. Total . 92,438.87 First National Bank, Wahoo. CHAS. PERKY, President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... | TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks* securities, etc .Bank'ii house furniture and fixtures Other real estate and mortg's owned j Due fr >m other national banks Due from State banks and bankers. Due from approved reserve agents. < hecks and other cash items Exchanges for clearing house bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total N o . 2780. $177,487.63 2. 516. 73 20, 000. 00 2, 600. 00 F. R. CLARK, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. $80,000.00 16,000.00 108.96 18,000.00 12, 475. 00 808.01 9. 632. 81 ' 270. 95 1,000. 00 13.28 10,162.85 1. 000.00 900.00 238. 807. 26 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 124, 758. 30 Notes aud bills rediscounted... Bills payable Liabilities other than those above stated Total 238, 867. 26 618 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. Saunders County National Bank, Wahoo. FRANK KOUDELE, President. No. 3118. J . J . JOHNSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds bo secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S $171,743. 59 6, 786. 71 25, 000. 00 3,000.00 10, 071. 00 15, 000. 00 13, 240. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. $100, 000.00 2, 016. 66 22, 500.00 Due to other national banks Due to State banks and bankers 9, 433. 02 Dividends unpaid 2, 039. 41 2, 710. 00 7, 018.15 3, 000. 00 1,125.00 270,166.88 Total. Capital stock paid in. Individual deposits United States deposits Deposits of U.S disbursing officers. 113,950.22 Notes and bills rediscounted Bills payable Liabilities other than those above stated 25,700.00 6,000.00 Total. 270,166.88 First National Bank, Wayne. J . M. STRAHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Doe from Treasurer U. S Total. H. F . WILSON, Cashier. No. 3392. $119,393.46 Capital stock paid i n . $75, 000. 00 2,324. 69 18, 750. 00 Surplus fund 15, 000. 00 Undivided profits, less current expenses and taxes paid 10, 454. 80 1, 500. 00 National-bank notes outstanding . 16, 875.00 238. 85 State-bank notes outstanding 13,052.95 6,968. 25 Due to other national banks 5, 258. 65 Due to State banks and bankers. 3, 576. 86 Dividends unpaid 3, 000. 00 1,288.86 Individual deposits 51,743.27 1,160. 00 United States deposits ,. 20.10 Depositsof U.S.disbursingofficers. L 4,020. 45 Notes and bills rediscounted j 6,323. 80 Bills payable i. 843.75 Liabilities other than those above I stated 178,396.87 Total. 178,396. 87 Wayne National Bank, Wayne. W M . E. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aiid fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ." Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. F . SWAN, Cashier. No. 4354. $71,928. 84 Capital stock paid in. $50, 000. 00 682. 90 12, 500. 00 Surplus fund 3, 600. 00 Undivided profita, less current. 109. 95 expenses and taxes paid 11, 250.00 National-bank notes outstanding. State-bank notes outstanding 13, 087.00 3, 920. 00 Due to other national banks Due to State banks and bankers. 6, 312. 41 2, 050. 09 Dividends unpaid 6.00 489. 72 Individual deposits 38,406.85 40.00 United States deposits 7.34 Deposits of U. S .disbursing officers. 4, 215. 00 Notes and bills rediscounted 1, 323. 00 11,100.00 Bills payable 562.50 115,795. 80 Liabilities other than those above stated Total . 115, 795.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 619 NE B R A S K A . First National Bank, Weeping Water. Louis FOLTZ, President. No. 3523. THOMAS MURTEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned lJue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $47, 659. 00 411.82 12., 500. 00 5, 300. 00 5, 482. 30 7. 989.97 1, 540.13 3, 709. 04 473.GO 34. 822, 331. 55 5.00 Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 423.18 11, 250. 00 D u e to other national b a n k s j Due to State banks and b a n k e r s . . Dividends unpaid j. Individual deposits United States deposits Deposits ot'U.S.disbursing ' j. officers.;. 26, 326. 55 Notes and billsrediscounted. Bills payable 562. 50 Liabilities other t h a n those above stated 87, 999. 73 Total . 87,999.73 First National Bank, West Point. J . C. CRAWFORD, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on hand I Premiums on U. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,andfixturesi Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S j Total. No. 3370. $99, 463. 46 527.98 12, 500. 00 W. A. BLACK. Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 400. 00 !j National-bank notes outstanding . 5, 981.48 jj State-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and bankers. 96.97 4, 840. 26 Dividends unpaid 147. 33 Individual deposits 489.00 United States deposits j 98. 53 Deposits of U. S.disbursing officers - j 4, 575. 00 3,000.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated Total. 142,682. 51 10, 000. 00 437. 64 11,250.00 57, 020.10 13,974.77 142, 682. 51 West Point National Bank, West Point. WILLIAM STUEPER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3340. JAS. " V SHEARER, Cashier. V. Capital stock paid in 4, 800. 00 5, 560.96 7,188. 53 69.85 ! Surplusfund . Undivided profits, less current expenses and taxes paid | National-bank notes outstanding.! State-bank notes outstanding j $50,000. 00 20,000.00 1, 035.93 11, 247.50 Due to other national banks ' Due to State banks and bankers.. J Dividends unpaid , Individual deposits ""•a," 585." 66' United States deposits 131. 69 Deposits of U.S.disbursing officers . 12, 623.45 Notes and bills rediscounted .Bills payable 562.50 Liabilities other than those above stated 114, 333. 07 214,167. £ 214,167.80 Total. 17, 551. 30 620 REPORT OP THE COMPTROLLER OF THE CURRENCY. \ i; JS R A S K A . First National Bank, Wisner. C. C. MCNISH, President. No. 4029. H. D. DEILY, Cashier. E-esoiirces. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiumson U. S. bonds Stocks, securities, e t c . . Bank'g house, furniture, andfixtures I Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $100, 662. 05 174. 47 12, 500. 00 Capital stock paid in. 500. 00 14, 800. 00 291. 59 4, 304.09 147. 00 15, 000. 00 2, 893. 37 11, 250.00 Due to other national banks . ij Due to State banks and bankers. Dividends unpaid. 108.00 ij Individual deposits j| United States deposits 26. 53 I! Depositsof U.S.disbursingofficers. 5, 768. 00 500.00 ! Notes and bills rediscounted ; Bills payable 562.50 Liabilities other than those above stated 140, 236. 23 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 58, 084. 86 2, 900. 00 Total . 140, 236. 23 First National Bank, Wood River. No. 3939. H. O. GlFFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on hand I PremiumsonU. S. bonds ! Stocks, securities, etc | Bank'ghouse, furniture, and fixtures! Other real estate and niortg's owned1 Due from other national banks j Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $60, 507. 00 219.03 12, 500.00 1, 500. 00 3, 800. C O 16,500.00 15, 000.00 2, 518. 89 770. 04 1, 355. 00 45.59 3, 257.10 5, 000. 00 562.50 | F. M. PENNEY, Cashier. Capital stock paid in. ! $50,000.00 Surplus fund I Undivided profits, less current expenses and taxes paid National-bank notes outstanding.; State-bank notes outstanding I 2, 500. 00 535.13 11,250.00 Due to other national banks ! Due to State banks and bankers..} i Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers - j Notes and bills rediscounted | Bills payable j Liabilities other than those above j stated Total . 123,535.15 I 39, 750.02 4, 500. 00 15, 000.00 123, 535.15 First National Bank, Wymore. C. "W. ROBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andtixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. TJ. S. i Due from Treasurer U. S Total . No. 4210. L A K E BRIDENTHAL, Cashier. $42,110.15 ! Capital stock paid in. 329.69 ' 12, 500.00 Surplusfund Undivided profits, less current expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 2, 000.00 State-bank notes outstanding 2, 500. 00 25,000.00 Due to other national banks 425. 41 Due to State banks and bankers. 7, 202. 46 Dividends unpaid 63.35 Individual deposits 956.00 U nited States deposits 106.40 Depositsof U.S. disbursing officers. 3, 843. 85 2, 000. 00 Notes and bills rediscounted Bills payable ""562." 50' Liabilities other than those above $50, 000. 00 100, 849.81 100, 849.81 stated Total . 995. 93 11, 250. 00 38,603.88 REPORT OF THE COMPTROLLER OP THE CURRENCY. 621 N E 15 It A S k A . First National Bank, York. No. 2683. GEO. W. POST, President. E. J . WIGHTMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg' s owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $181, 400. 98 Capital stock paid in 3,894.38 j 12,500.00 j Snrplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ! 15, 336.40 15, 375. 00 lij, 836. 77 Due to other national banks 801.24 Due to State banks and bankers.. 614. 71 20,995.37 Dividendsunpaid 4, 762. 04 332. 00 4,446.25 5, 471.00 562. 50 $50,000.00 50, 000.00 7,410. 64 11, 250. 00 9, 694.64 Individual deposits United States deposits Deposits otU.S. disbursing officers. | 144,039. 31 Notes and bills rediscounted i Bills payable j Liabilities other than those above i stated 934.05 10, 000.00 283, 328.64 Total. 283, 328. 64 Total. ! City National Bank, York. ERASTUS E. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4935. $82,038.86 546. 20 12, 500.00 JOHN R. PIERSON, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,000.00 646. 73 11, 050. 00 1, 693.75 4, 294.91 139. 08 670. 00 28.63 2, 262. 60 1, 500. 00 552. 50 106, 226. 53 Due to other national banks Due to State banks and bankers..! Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 336.58 35,193.22 8, 000.00 Liabilities other than those above stated Total. 106, 226.53 Nebraska National Bank, York. L. M. STREET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S Total. N o . 4245. $78, 330.13 1, 329. 56 12,500.00 1,700.00 "14*000. 66 3, 453. 67 2, 238.99 865. 00 304. 68 3,255. 50 275.00 562.50 118,815.03 JNO. E. EVANS, Cashier. ~ Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. TsbToooToo 1, 800. 00 1, 803. 62 11, 250. 00 614.18 40,247.23 13,100. 00 118, 815. 03 622 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEVADA. First National Bank, Reno. No. 2478. D. A. BENDER, President. C. T. BENDER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits : U. S. bonds on hand I Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $326, 855. 72 75, 445. 63 50, 700. 00 6, 000. 00 50, 961. 66 43, 000. 00 45, 954.80 1,461.81 19,301.12 57,757. 91 2, 882.19 700. 00 112.35 30,291.35 951.00 2, 250. 00 Capital stock paid in. 100, 000. 00 Due to other national banks Due to State banks and bankers.. 674. 45 1, 756. 81 Dividends unpaid 9,433. 85 44, 800. 00 270. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 356, 990.48 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 713, 925. 59 Total. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 713, 925.59 First National Bank, Winnemucca. F . M. LEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furnitnre, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S Total. No. 3575. 5229,152.11 15, 975.14 20, 500. 00 G E O . S. N I X O N , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current ; expenses and taxes paid 1, 850. 00 I National-bank notes outstanding. 11,741.93 j State-bank notes outstanding 286. 78 35, 000. 00 Due to other national banks j. 256. 84 Due to State banks and bankers.. |. 148. 63 3, 349. 04 Dividends unpaid. 415.10 Individual deposits United States deposits 40.34 Deposits of U.S.disbursing omcers. 10, 676. 60 183.00 Notes and bills rediscounted Bills payable $82,000.00 28,000.00 18,450. 00 120,998.01 25,550.00 55,500. 00 Liabilities other than those above stated 330, 498. 01 Total. 330,498. 01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 623 NEW H A M P S H I R E . Berlin National Bank, Berlin. ALFRED R. EVANS, President. No. 4523. A.H.EASTMAN, Cashier. Liabilities. Kesources. $134,174. 94 Loans aud discounts Capital stock paid i n . Overdrafts 18, 750. 66 Surplus fund U.S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits j expenses and taxes paid U. S. bonds on hand j National-bank notes outstanding. Premiums on U. S. bonds 1,100. 00 State-bank notes outstanding Stocks, securities, etc 15, 000. 00 Bank ghouse.furniture,andfixtures Due to other national banks Other real estate and mortg's owned Due from other national banks Due to State banks and b a n k e r s . . Due from State banks and b a n k e r s . 3,195. 50 Dividends unpaid Due from approved reserve agents. 17.00 Checks and other cash items Individual deposits Exchanges for clearing house United States deposits Bills of other national banks G6.56 Depositsof U.S.disbursing officers. Fractionalcurrency. nickels, cents. 5, 810. 55 Specie 1,700.00 Notes and bills rediscounted.. Legal tender notes Bills payable U . S . certificates of deposit 843.75 I Redemption fund with Treas. U. S. j Liabilities other than those above Due from Treasurer U. S $75, 000. 00 11, 000. 00 2, 932. 72 10, 875. 00 3, 559. 04 71,291.54 stated 180,658.30 Total. Total - . . 180, G58. 30 Connecticut River National Bank, Charlestown. E o s WELL HUNTOON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand | Premiums on U . S. bonds Stocks, securities, etc Bank'ghouse,furiiiture,andfixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and b a n k e r s . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalloanks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 537. 10, 456. 50 352.88 900. 00 19. 29 258. 00 1, 000.00 '4,'500." 00 I ' ! $100,000.00 i j | 1, 571.15 90, 000. 00 20,000.00 ! 9, 317. 69 Dividends unpaid Individual deposits j United States deposits ! Depositsof U.S. disbursing officers - 26, 485. G3 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 247, 374. 47 Total - HERBERT W. BOND, Cashier. 762.39 || C a p i t a l s t o c k p a i d i n 374. r 100, 000.00 ! Surplus fund :j Undivided profits, less current expenses and taxes paid 9, 800.00 National-bank notes outstanding, 11, 311.03 State-bank notes o u t s t a n d i n g . . . . . 4, 640. 00 ! Due to other national banks Due to State banks and b a n k e r s . . 247, 374. 47 Total . Claremont National Bank, Claremont. JNO. L. FARWELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc lank'ghouscfurniture^ndfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaibauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 596. $156, 875.18 593. 80 50, 000. 00 113, 959. 52 JOHN L. FARWELL, JR., Cashier. Capital stock paid i n . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. $150,000.00 66, 000.00 1, 322.40 44, 090. 00 Due to other national banks Due to State banks and b a n k e r s . 325. 70 26,570. 64 1, 205. 63 5, 435. 00 15.89 8, 684. 50 2, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 752. 00 105, 751.46 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other t h a n those above stated 367, 915. t Total. 367, 915.86 624 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. People's National Bank, Claremont. FRANK P . MAYNAED, President. GrEO. A. TENNEY, Cashier. No. 4793. Resources. Loans and discounts. Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $140,355.03 ! Capital stock paid in 426.89 50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 6, 800.00 National-bank notes outstanding. 24, 079. 73 State-bank notes outstanding 4,133. 90 Due to other national banks " 2 * 135." 96" Due to State banks and bankers. 16,833.29 202. 47 2,505. 00 96.80 7, 246. 25 1, 000. 00 2, 250. 00 Dividends unpaid $100, 000.00 2, 000. 00 6, 855. 94 45, 000. 00 219. 00 Individual deposits United States deposits Deposits ofU.S.disbursing officers. . 103, 990.38 Notes and bills rediscounted Bills payable Liabilities other than those above stated 258, 065.32 Total. 258, 065. 32 Colebrook National Bank, Colebrook. GEORGE V A N DYKE, President. No. 4041. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. I Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned( Due from other national banks ! Due from State banks and bankers .1 Due from approved reserve agents. J Checks and other cash items Exchanges for clearing house j Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ! Total. $151, 200.35 5, 628. 97 18,750.00 H. F . BAILEY, Cashier. Capital stock paid in. $75, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National bank notes outstanding . State-bank notes outstanding 15, 000.00 Due to other national banks Due to State banks and bankers.. 15, 618.13 21, 7G4. 77 16, 875. 00 7, 000.00 Dividends unpaid 528.00 31. 34 120. 00 20.14 2, 870. 00 4, 300.00 , 843. 75 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 1 Notes and bills rediscounted iiills payable 41, 978. 65 4, 000. 00 Liabilities other than those above stated 190, 764.55 190, 764. 55 Total . First National Bank, Concord. WM. F. THAYER, President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 318. $664,912.83 4, 971. 65 125, 000.00 125,000.00 CHAS. GT. REMICK, Cashier. Capital stock paid in. $150,000.00 150, 000. 00 281,174.25 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding "24* 325." 62 93, 989. 26 Due to other national banks Due to State banks and bankers.. 503, 771. 38 26, 588.74 113,176.40 13,454. 21 2,929. 00 577. 72 43, 320. 00 17, 700. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers. 20, 837. 00 110,500. 00 390.00 440, 080. 60 71,163.78 42, 824.44 Notes and bills rediscounted. Bills payable 5, 625. 00 Liabilities other than those abov^e stated 1, 516,155.94 Total. 1,516,155. 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 625 NEW HAMPSHIRE. Mechanicks' National Bank, Concord. No. 2447. B. A. KIMBALL, President. H. H. DUDLEY, Cashier. Liabilities Resources. Loans and discounts I Overdrafts ! TJ. S. bonds to secure circulation... j U.S. bonds to secure deposits... U. S. bonds on hand. Premiums on U. S. bonds. Stocks, securities, etc Bank'g house, furniture and fixtures Otherreal estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of Jther national banks Fractional currency, aickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TL S. Due from Treasurer U. S ' $380, 997. 39 56, ooo. 66 245,102. 25 3, 000. 00 5,113.00 56.64 74, 388. 47 7, 818.38 18,021.00 351.48 28,957.20 7, 545. 00 2,250.00 Capital stock paid in. Due to other national banks Due to State banks and bankers.. Dividends unpaid 50,000.00 25, 36L 03 44, 340. 00 9,782.06 255. 50 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable 503,862.22 40,000.00 Liabilities other than those above stated Total . 823, 600.81 Total. $150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 823, 600.81 National State Capital Bank, Concord. L. DOWNING, J R . , President. No. 758. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits J . S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $718, 645. 04 1.346.08 76, 500. 00 100,146.42 25, 000. 00 3, 515. 00 31, 342. 78 101, 274. 27 9, 835.48 3, 764. 00 451. 45 27, 405. 00 6, 000. 00 "3," 442." 50' J . E. FERNALD, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 134, 748.40 63,571. 20 Individual deposits United States deposits Deposits of U.S.disbursing officers. 475,489.15 64, 584.27 68,850. 00 I, 425. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,108, 668. 02 Total . 1,108, 668.02 Derry National Bank, Derry. JOHN W. NOYES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks.. Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. CUR, http://fraser.stlouisfed.org/PT 2 — 4 0 Federal Reserve Bank of St. Louis No. 499. $70,108.19 725. 65 25, 000. 00 3, 000. 00 49,868. 25 600. 00 F. J . SHEPARD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,360.00 155. 46 8,927. 50 1,980. 00 1,125. 00 162, 850. 05 Individual deposits United States deposits Deposits of U. S.disbursin g officers. $60, 000. 00 7, 710. 00 2, 033. 06 21,960. 00 4,188.34 573.00 66,385.65 Notes and bills rediscounted. Bills payable Liabilities other than those above stated ». Total . 162, 850. 05 626 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Cochecho National Bank, Dover. JAS. E. LOTHROP, President. N o . 1087. HARRISON HALEY, Cashier. Liabilities. Resources. Loans and discounts | Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits IT. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ' Bills of other nationalbanks ! Fractional currency, nickels, cents. j Specie I Legal-tender notes ' U. S. certificates of deposit ! Redemption fund with Treas. U. S. I Due from Treasurer U.S ! Total . $187, 013. 56 866. 24 37,500. 00 3,492.18 10,140.00 1, 200. 00 Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,125.59 33, 750.00 Due to other national banks ] Due to State banks and bankers.. 9, 938.13 ! Dividends unpaid 810.92 j i Individual deposits 783.00 j United States deposits 45. 00 | Deposits of U. S.disbursing officers. 3,502.50 i 300.00 j Notes and bills rediscounted. Bills payable 1,687. 50 | | Liabilities other than those above stated 7, 358.41 364.45 64, 680. 58 Total. 257, 279. 03 257, 279. 03 Strafford National Bank, Dover. W M . S. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits... U. S. bonds on hand Premiumson U. S. bonds Stocks, securities, etc * . Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . C. S. CARTLAND, Cashier. No. 1353. $422, 486.43 200,000. 00 163, 526. 25 10, 000. 00 4, 000. 00 6, 326. 41 386. 94 12, 795. 00 500.13 57,600. 00 3, 000. 00 9, 000. 00 Capital stock paid in j $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 11,935.09 180, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,801.00 Individual deposits United States deposits Deposits of U. S.disbursing officers 90, 000. 00 285.00 405, 600. 07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 889, 621.16 Total . 889, 621.16 Monadnock National Bank, East Jaffrey. P . UPTON, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank1 ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total C. L. RICH, Cashier. No. 1242. $95,164.57 Capital stock paid in 22.63 | 80,000.00 i Surplus fund Undivided profits, less current expenses and taxes paid 6, 312. 50 National-bank notes outstanding. 52, 293. 26 State-bank notes outstanding 6, 500. 00 5, 650. 00 Due to other national banks Due to State banks and bankers.. 4,410.55 334.10 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 1,500.00 81.73 7,312.70 1,424.00 • Notes and bills rediscounted Bills payable..'. 1,350.00 i Liabilities other than those above stated 262, 356.04 Total $100, 000. 00 16, 544.40 5, 794. 06 72, 000. 00 6, 921. 52 805. 25 50,290.81 10, 000.00 262,356.04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 627 MEW H A M P S H I R E , Farmington National Bank, Farmington. JOHN H. BARKER, President. No. 2022. JAMES B. EDGERLY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^'urniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $89, 696. 49 220.42 40, 000. 00 5, 200. 00 23, 281. 80 500. 00 4, 950. 00 22, 337. 67 4.75 4, 355.00 21.03 5, 097.10 600. 00 i, 800. 0Q Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 400. 00 4. 635. 52 36. 0U0. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 57, 028. 74 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 198,064. 26 Total $100, 000. 00 Total . 198, 064. 26 Franklin National Bank, Franklin. A. W. SULLOWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U . S . bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2443. $148, 751. 20 1,487.54 100, 000.00 10, 000.00 21,915.50 15, 000. 00 75, 336.85 2, 699. 23 "4,"i64.'o6 94.92 5, 273. 20 5, 000. 00 4,500. 00 FRANK PROCTOR, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18,463.43 90. 000.00 Due to other national banks i. Due to State banks and bankers .. j Dividends unpaid 22, 513.19 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 12, 917.40 112.00 150,216. 42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 394, 222.44 394. 222. 44 Dartmouth National Bank, Hanover. N. S. HUNTINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1145. PERLEY R. BUGBEE, Cashier. $72,807.52 I Capital stock paid in. 94. 64 ! 15,000.00 : Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . 37, 368.75 St- te-bank notes outstanding 32,909. 32 Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits 2, 800. 00 United States deposits 28.02 ! Deposits of U.S.disbursingofncers 10, 610.00 2, 500. 00 Notes and bills rediscounted. Bills payable 675.00 Liabilities other than those above stated 174,793.25 Total . $50, 000.00 18, 000. 00 6, 573.12 10, 950. 00 22, 895.26 16,374.87 174, 793. 25 628 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. First National Bank, Hillsboro. No. 1688. JAMES F. BRIGGS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . JOHN C. CAMPBELL, Cashier, Liabilities. $55,085. 39 1, 752. 73 50, 000. 00 48,181. 52 28, 212.14 2, 002.10 " i , 150.00 18.35 7, 071. 85 1,445. 00 2, 250. 00 197,169.08 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 10,000. 00 6, 399. 25 44, 200.00 13,544.57 73, 025. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total .. 197,169.08 Ashuelot National Bank, Keene. No. 946. G. A. WHEKLOCK, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... V. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $211, 879. 03 8.17 150, 000. 00 2, 000. 00 12, 652. 30 8, 000. 00 13,577.12 411.30 10, 022. 00 71.86 16, 852. 75 6, 750. 00 .40 H. O. COOLIDGE, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 18, 051. 00 131, 400. 00 Due to other national banks I.. Due to State banks and bankers.. Dividends unpaid 1,140. 38 18,495.04 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 82, 973.51 159. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 432,224.93 j 432, 224. 93 Cheshire National Bank, Keene. -, President. Loans and discounts.. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned | Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 559. $256, 640. 29 347. 38 200, 000. 00 R. H. PORTER, Cashier. Capital stock paid in. $200, 000 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 32, 500. 65 180, 000. 00 20, 900. 00 Due to other national banks Due to State banks and bankers.. 4, 034. 89 12, 564.53 29, 795. 53 5, 294. 94 Dividends unpaid 124, 530. 00 6, 759. 00 28. 62 12, 017. 85 2, 000. 00 9, 000. 00 667,313.61 Individual deposits United States deposits Deposits of U .S.disbursingofficers. 50, 000. 00 187, 613. 54 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 667, 313.61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 629 NEW HAMPSHIRE. Citizens' National Bank, Keene. No. 2299. O. G. DORT, President. A. L. "^'RIGHT, Cashier. Resources. Loans and discounts Overdrafts XJ. IS. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture.andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U.S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $113. 872. 86 348. 44 100, 000. 00 79, 954. 78 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 8,167.60 1 211.69 20, 000. 00 14, 823. 95 86, 300. 00 9, 692. 40 Dividends unpaid Individual deposits 600.00 United States deposits 47.35 DepositsoiU.S.disbursingofficers. 5,844 75 1 000.00 Notes and bills rediscounted. Bills payable 4. 500. 00 Liabilities other than those above stated , Total. Total. 84, 731.12 315, 547.47 Keene National Bank, Keene. No. 877. EDWARD JOSLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds { Stocks, securities, etc Ban k g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. $198,092.81 2. 036. 88 100, 000.00 111,660.00 1, 000. 00 800. 00 14, 978. 96 9,114.77 4,830.00 2.17 19, 434. 40 1,829.00 4, 500. 00 1, 940.20 W. L. MASON, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000.00 Due to other national banks Due to State banks and bankers . Dividends unpaid 1,762. 88 16,958. 88 Individual deposits United States deposits j Deposits of U.S.disbursingom'cers.j 9, 829. 24 90, 000. 00 48.00 191,620.19 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total . 470, 219.19 470,219.19 Laconia National Bank, Laconia. CHARLES Ai BUSIEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. O. W. TIBBETTS, Cashier. No. 1645. $259, 234.31 1, 954. 34 50, 000. 00 28,400. 00 20, 000. 00 12, 787. 04 43, 023.12 3, 294. 57 12, 269. 00 187.55 16,452.95 3, 000. 00 2, 250. 00 4-51,952.88 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150, 000. 00 30, 000. 00 9, 645.77 38, 730. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 223, 577.11 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 451,952.88 630 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. People's National Bank, Laconia. No. 4037. ALBERT G. FOLSOM, President. EDMUND LITTLE, Cashier. Resources Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture,and fixtures Otherreal estate and mortg'sowned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $116, 445. 68 1,107.09 25, 000. 00 2, 750.00 Capital stock paid i n . . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding..... 3, 500. 00 3, 772. 64 22, 200. 00 1.164.00 Due to other national banks Due to State banks and bankers. 23. 613. 05 Dividends unpaid 1,408.79 Individual deposits 3.470 00 U nited States deposits 92.34 Deposits of U. S.disbursing officers. 6, 345. 60 4, 028. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 107, 076. 91 Total. 186, 549. 55 186,549.55 National Bank, Lakeport. HENRY J . ODELL, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU.S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 4740. STEPHEN B. COLE, Cashier. $95.805. 81 Capital stock paid in. $50, 000. 00 23.76 12, 500.00 Surplus fund 1, 700. 00 Undivided profits, less current 1, 970. 96 expenses and taxes paid 1.500.00 National bank notes outstanding. 11, 250. 00 2. 888. 57 State-bank notes outstanding 558. 66 Due to other national banks 7, 553. 67 Due to State banks and bankers. 6, 737. 06 944. 23 1,950.00 76.23 2, 083. 25 2, 500. 00 562. 50 Dividends unpaid 40.00 Individual deposits United States deposits Deposits of U.S.disbursing officers 55, 615. 44 Notes and bills rediscounted. Bills payable Liabilities otner than those above stated Total . 128,130.07 128,130.07 Lancaster National Bank, Lancaster. GEORGE R. EATON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2600. $201, 932.46 452.42 125,000.00 7,000. 00 5,066.06 27, 269. 24 582. 64 2, 840. 00 82.89 5, 201. 70 3, 366. 00 5,625.66 F . D. HUTCHINS, Cashier. Capital stock paid in j Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $125,000. 00 25,000.00 8, 495. 84 112, 500. 00 Due to other national banks I. Due to State banks and bankers..!. Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers . 113, 356. 51 Notes and bills rediscounted Bills payable Liabilities other than those above stated 384, 352. 35 Total . 384,352.35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 631 NEW HAMPSHIRE. National Bank, Lebanon. No. 808. C. M. HILDRETH, President. C. E. COOPER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bo ds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures. Other real estate and mortgs owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national uanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U S Total Liabilities. $167,021.99 1 424.86 100, 000. 00 $100, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current 10, 000. 00 j expenses and taxes paid 11,475.00 ! National-bank notes outstanding. 40. 056. 06 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 164.40 i 14, 660. 29 Dividends unpaid 739. 36 Individual deposits 4, 365. 00 United States deposits 165.26 ! Deposits of U.S.disbursing officers12 080 60 3, 580. 00 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 370, 232.82 Total 25, 000. 00 2, 590. 07 88, 520. 00 22, 899. 66 2.60 111, 220.19 10, 000. 00 10,000 00 370, 232.82 Littleton National Bank, Littleton. No. 1885. O. C. HATCH, President. Loans and discounts $220,125. 15 Overdrafts U. S. bonds to secure circulation... 47,500.00 U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc | 122,500.00 Bank'g house,furniture,and fixtures 6, 837. 44 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents, i 61, 865. 68 Checks and other cash items ' Exchanges for clearing house 2, 031. 00 Hills of other national banks 149. 41 Fractional currency, nickels, cents 17, 255. f>0 Specie 600. 00 Legal-tender notes U. S. certificates of deposit 2,137. 50 Redemption fund with Treas. U. S. Due from Treasurer U. S T»_M1_ ._ .£* _ J_1_ A • - 1 1 1_ _ c\ Total . /\oi nn H. K. HALLETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits , United States deposits Deposits of U.S.disbursing officers. $150, 000.00 30, 000. 00 11,061.35 39, 950. 00 7,182. 06 60.00 242, 747. 77 Notes and bills rediscounted. Bills payable Liabilities, other than those above stated Total . 481,001.18 j 481, 001.18 First National Bank, Manchester. FREDERICK SMYTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on X S. bonds L Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1153. $136,192. 35 485.80 150,000.00 170, 770. 00 ARTHUR H. HALE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding . Due to other national banks Due to State banks and bankers.. 8, 852. 69 Dividends unpaid 1, 520. 04 Individual deposits 16, 670. 00 United States deposits 54.52 Deposits of U.S.disbursing officers. 6,115 00 2, 500. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 Liabilities other than those above stated 499, 910. 40 Total. 1,797.09 18, 336. 78 1, 258. 00 148,815.87 499,910. 40 632 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Second National Bank, Manchester. ARETAS BLOOD, President. No. 2362. JOSIAH CARPENTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $179, 635. 00 918. 09 75, 000. 00 4, 200. 00 116,762.50 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14, 200. 00 16, 659.46 67, 497. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid 14.56 Individual deposits 2,350.00 ,, United States deposits 21.03 ! DepositsofU.S.disbursingofficers. 6,900.00 3, 500. 00 Not.es and bills rediscounted. Bills payable 211,804.96 17, 303. 43 211.43 3,375.00 ! Liabilities other than those above stated 410,176.48 Total . 410,176. 48 Amoskeag National Bank, Manchester. G. BYRON CHANDLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and rnortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 574. $873, 425.14 5, 683. 57 75,000. 00 25, 000. 00 2, 656. 25 37, 722. 50 5, 000. 00 3, 037. 52 5, 092. 04 315,195.44 1,617.06 " i i 229.00 320. 63 63, 628. 60 23, 065. 00 3,375.00 I JOHN M. CHANDLER, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 202,082.02 170, 049. 08 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 710,569.87 54, 696. 78 66, 650. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , Total 1, 454, 047. 75 1, 454, 047. 75 Manchester National Bank, Manchester. WALTER M. PARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national b a n k s . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1059. $666, 360.18 1,385.25 100, 000. 00 W. B. STEARNS, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current 25, 000. 00 expenses and taxes paid National-bank notes outstanding. 56, 400.00 State-bank notes outstanding 23, 000.00 Due to other national banks 40, 354.85 Due to State banks and bankers.. 157,175. 47 Dividends unpaid 8, 718. 99 Individual deposits 22, 035. 00 United States deposits 416.26 Deposits of U.S.disbursingofficers. 45, 382. 55 16, 800. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above j stated i 1,167, 528. 55 I Total 32, 769. 49 60. 901. 63 88, 560. 00 68, 637. 38 113, 343.74 100. 00 653, 216. 31 I 1,167,528.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 633 NEW HAMPSHIRE. Merchants' National Bank, Manchester. No. 1520. . P. HUNT, President. D. W. LANE, Cashier. -Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $316,144.17 1, 646. 31 50,000.00 Capital stock paid in $150,000.00 57, 079. 66 3,186.07 30,000.00 Due to other national banks Due to State banks and bankers 92,159. 25 6, 849. 63 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 22, 967.48 Dividends unpaid 929.00 Individual deposits 2,"825."66" United States deposits 75.09 Deposits of U.S. disbursing officers. 13, 968. 40 5, 000.00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 551,183.58 30, 936. 73 45, 000. 00 Total 271,350. 37 551,183.58 Souhegan National Bank, Milford. JOHN MCLANE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aud fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . F. T. SAWYER, Cashier. No. 1070. $136,132.05 Capital stock paid in. $100,000. 00 1,021.44 100,000.00 j Surplus fund 6,151.12 Undivided profits, less current 1,161. 75 expenses and takes paid... 11,771.00 National-bank notes outstanding.! 89,490.00 52,186.27 State-bank notes outstanding.. 3,000.00 4,165. 00 Due to other national banks 14,999.50 j 23, 319. 47 Due to State banks and bankers. .1 I 380.50 Dividends unpaid 3, 833. 75 99,880.60 Individual deposits 5, 267. 00 United States deposits 150.33 Deposits of U.S.disbursing officers. 9, 356.10 4, 000. 00 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 335,382. 94 335,382. 94 Total . First National Bank, Nashua. G. A. KAMSDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g hout»e,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W M . E. SPALDING, Cashier. No. 2741. $241, 728. 56 382. 50 25, 000. 00 400. 00 2, 052. 00 28,405.87 20, 000. 00 1,867. 00 6, 818. 20 87, 401.92 16,526.56 4,871. 00 69.20 14,900. G O 5, 000.00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding $100,000.00 13,500.00 6,346.17 21,870.00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers. 744.60 314, 087. 04 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 456, 547. 81 Total . 456, 547.81 634 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Second National Bank, Nashua. F. W. ESTABROOK, President. No. 2240. F. A. EATON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $325, 961. 54 Capital stock paid in 236. 65 50,000.00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 91, 200. 00 State bank notes outstanding 10, 000. 00 25, 000.00 Due to other national banks Due to State banks and bankers.. 44, 987. 54 Dividends unpaid 1,106. 08 430. 43 Individual deposits 3,175. 00 United States deposits 254. 76 Deposits of U.S.disbursingofficers. 10, 379. 00 12, 820. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 577,801.00 $150,000. 00 10, 000. 00 10, 437. 42 44,150. 00 39, 048. 26 259,165. 32 65, 000.00 577, 801.00 Indian Head National Bank, Nashua. DAVID A. GREGG, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand .. Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cnsh items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S N o . 1310. $270,964.98 9, 621.72 70,000. 00 $120, 000. 00 76, 253.40 8,026. 32 1, 000. 00 30.39 11, 517. 00 11, 433. 00 3,150.00 2.50 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8, 374.36 62; 230. 00 Due to other national banks Due to State banks and bankers.. 8,750.00 18,375. 00 8,219.50 497,343. 81 Total IRA F. HARRIS, Cashier. Capital stock paid in 2, 323. 69 23,181. 82 225. 70 Dividends unuaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 279, 358. 24 1, 650. 00 497, 343.81 New Market National Bank, New Market J . IT. CiLLEY, President. Loans and discounts Overdrafts •--TJ. S. bonds to secure circulation... U S bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S . . . Total No. 1330. $82,085.12 553. 81 20, 000. 00 A. C. HAINES, Cashier. Capital stock paid in Surplus fund Undivided profits less current 4, 000. 00 expenses and taxes paid 1,200.00 ! National-banknotes outstanding. 6,100. 00 State-bank notes outstanding 2, 000.00 21, 000. 00 Due to other national hanks Due to State banks and bankers .. 2, 836. 48 1,154.82 125. 00 17.00 1, 971. 83 1, 000. 00 900.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $80, 000. 00 3,500.00 5, 965. 54 17, 480. 00 52.00 37,946. 52 Notes and bills rediscounted Bills payable Liabilities other than those above stated 144,944.06 Total 144, 944. 06 KJUJPUKT O F T H E UOMi'TKOLiL.Ert OF T H E CUKKENCY. DOO NEW H A M P S H I R E . First National Bank, Newport. No. 888. D. RICHARDS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. SAM. D. LEWIS, Cashier. Liabilities. $106, 63G. 50 244.74 100, 000. 00 42, 225. 00 3,000. 00 8, 339. 00 5, 000. 00 19, 355. 59 16, 989. 89 23.85 1, 500. 00 20.66 6,109. 00 4, 500. 00 Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . . Dividends unpaid Individual deposits United States deposits Deposits of U. S.disb ursing officers. $100, 000. 00 28, 000. 00 473. 58 '0, 000. 00 20, 085. 80 172.00 75, 212. 85 Notes and bills rediscounted Bills payable Liabilities other than those above stated 313,944.23 Total . 313, 944. 23 Citizens' National Bank, Newport. No. 3404. C. M. EMERSON, President. Loans and discounts j Overdrafts j TJ. S. bonds to secure circulation.. .j U. S. bonds to secure deposits j U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc Bank'g bouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefroin Treasurer U. S $82, 202. 67 1.74 50, 000. 00 5, 500. 00 15, 300. 00 1, 500. 00 250. 00 60.00 2, 876. 40 471.54 800. 00 30. 32 5, 028. 00 1, 000. 00 2, 250. 00 $50, 000.00 Surplus fund Undivided profits, less current expen ses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 6, 800.00 434.27 45, 000. 00 1, 796. 55 420. 00 Individual deposits United States deposits Deposits of D. S.disbursing officers. 62, 819.85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 167, 270. 67 Total. P. A. JOHNSON, Cashier. Capital stock paid in. Total. 167, 270. 67 First National Bank, Peterboro. W. G-. LIVINGSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . V. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bark'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1179. $158, 995.12 309.57 30, 000. 00 S. W. FRENCH, Cashier. Capital stock paid in Surplus fund ; Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 18, 000. 00 State-bank notes outstanding $100, 000.00 20, 000.00 9, 699. 49 25, 090.00 463. 00 Due to other national banks Due to State banks and bankers 36, 389. 04 121. 31 1,930.00 163. 90 6, 804.90 1, 350. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 596. 24 98, 215.11 Notes and bills rediscounted Bills payable Liabilities other than those above stated 254, 063. 84 Total 254,063.84 636 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Pittsfield National Bank, Pittsfield. CHAS. H. CARPENTER, President. No. JOHN A. Goss, Cashier. 1020. Resources. Loans ami discounts j Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits | U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, e t c . . . Bank'gbouse,furniture and fixtures Other real estate and mortg'a owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national b a n k s . Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. SI Due from Treasurer U. S Total. Liabilities. $62, 086. 40 489. 02 50, 000. 00 5, 500. 00 G, 535. 21 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 2, 522.16 44,400.00 Due to other national banks Due to State banks and bankers.. 1,558.73 || Dividends unpaid. 3, 270. 00 110.13 3, 294. 00 2, 300. 00 2, 250. 00 300. 00 Individual deposits U nited States deposits \ DepositsofU.S.disbursingofficers-j 30,171. 33 Notes and bills rediscounted j Bills payable Liabilities other than those above stated 137,393.49 Total. 137, 393. 49 Pemigewasset National Bank, Plymouth. GEO. H. ADAMS, President. No. 2587. R. E. SMYTHE, Cashier. $157,424.79 Capital stock paid in 189.68 i 20,000.00 Surplus fund Undivided profits, less current expenses and taxes paid i U. S. bonds on hand j National-bank notes outstanding.! Premiums on U. S. bonds j 41,800.00 State-bank notes outstanding ! Stocks, securities, etc 6,500.00 Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due to other national banks Due from other national banks Due to State banks and bankers.. Due from State banks and bankers. 33,888.97 : Dividends unpaid Due from approved reserve agents. 12.00 : Checks and other cash items Individual deposits Exchanges for clearing house 1,299.00 United States deposits Bills of other national banks 12.65 jl Deposits of U.S.disbursingofficers. Fractional currency, nickels, cents. 14,488.10 |j Specie 1,200.00 ! Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fuud with Treas. U. S. 900. 00 Liabilities other than those above j Due from Treasurer U. S stated I. Loans and discounts ! Overdrafts ! IT. S. bonds to secure circulation... j U. S. bonds to secure deposits • Total. 277, 715.19 Total. $75,000.00 15, 000. 00 15, 410. 07 17, 600. 00 10,215.82 144, 489.30 277, 715.19 First National Bank, Portsmouth. E. P . KIMBALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. A. HAZLETT, Cashier. No. 2672. $293, 723. 44 Capital stock paid in \ $20 J, 000. 00 756.68 200,000.00 ! Surplus fund i 57, 000. 00 50,000.00 I Undivided profits, less current j expenses and taxes paid. 8, 759.59 18, 370. 64 National-bank notes outstanding. 180, 000. 00 146, 361. 56 State-bank notes outstanding 6, 000. 00 18,199. 69 Due to other national banks 3,194. 27 ! ! Due to State banks and bankers.. i. 270. 06 36, 429. 58 Dividends unpaid. 173.50 1, 001. 23 ! Individual deposits j 301,163. 83 2,100. 00 I United States deposits j 35,413.76 82.00 | DepositsofU.S.disbursingomcers.t 17,359.93 18,110. 00 3, 500. 00 I Notes and bills rediscounted j. 840. 00 Billspayable 9,000.00 Liabilities other than those above j stated !803,904.88 Total. 803, 904. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 637 NEW HAMPSHIRE. National Mechanics and Traders' Bank, Portsmouth. JOHN SISE, President. No. 401. C. F. SHILLABER, Cashier. Liabilities. Loans and discounts Overdrafts XL S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures; Other realestate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. I Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 9, 768. 75 National-bank notes outstanding. 70, 251. 75 State-bank notes outstanding 15, 000. 00 Due to other national banks j Due to State banks and bankers.. I. 54,970.61 !Dividends unpaid. 119.33 Individual deposits *'4*875."6o" United States deposits | 603.39 Depositsof U.S.disbursing officers-I 12, 559. 50 I 5, 900. 00 Notes and bills rediscounted \ Bills payable 5,175.00 Liabilities other than those above stated 579, 223. 97 Total . 40, 000. 00 6,961.49 101, 775. 00 25,473.12 865.00 203,816.03 333. 33 579, 223. 97 New Hampshire National Bank, Portsmouth. CALVIN PAGE, President No. 1052. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand I. Premiums on U. S. bonds |Stocks, securities, etc j Bank'ghouse,furniture,andnxturesj. Other realestate and mortg's owned! Due from other national banks jDue from State banks and bankers, j Due from approved reserve agents. Checks and other cash items i Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S I Total. W. C. WALTON, Cashier. $512,283. 26 I Capital stock paid in 286.32 I I 50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 35, 000. 00 State-bank notes outstanding $300,000.00 Due to other national banks Due to State banks and bankers.. 3,821.15 ! 546.11 j| Dividends unpaid. 3, 725.00 j Individual deposits 1, 800.00 | United States deposits 368.54 Depositsof U.S.disbursingofficers. 16, 259. 50 12, 000. 00 Notes and bills rediscounted. Bills payable 13, 491. 95 2, 250. 00 30, 000. 00 5, 492. 59 45, 000. 00 444, 355. 34 Liabilities other than those above stated 638, 339.88 Total . 638, 339.88 Rockingham National Bank, Portsmouth. JOHN J . PICKERING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U.S. certificates of deposit! Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1025. JOHN P. HART, Cashier. C a p i t a l s t o c k paid i n . 34, 700. 00 5, 000. 00 1, 954. 75 35, 635.18 5, 787.17 S u r p l u s fund U n d i v i d e d profits, less c u r r e n t e x p e n s e s and t a x e s paid National-bank notes outstanding. State-bank notes outstanding. 9,000.00 40, 000. C O 9, 203.11 176, 900. 00 4.531.00 Due to other national b a n k s Due to State b a n k s and b a n k e r s . Dividends unpaid Individual deposits 2, 348" OO" United States deposits 115. 74 Depositsof U.S.disbursingofficers. 7, 260. 25 $200,000.00 425.50 91,200.52 Notes and bills rediscounted Bills payable Liabilities other than those above stated 522,260.13 I Total . 522, 260.13 638 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Rochester National Bank, Rochester. JAMES FARRINGTON, President. No. 2138. H. M. PLUMMER, Cashier. Resources. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... XL S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc | Bank'g house, furniture, and fixtu res j Other real estate and mortg's owned | Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $73,473. 32 642.10 12,500. 00 37, 542. 00 "i," 057." 50 680. 95 3, 464. 08 7,122.00 144.37 4, 985. 00 7, 000. 00 Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,500.00 1,106.10 10, 850. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 300. 50 Individual deposits United States deposits Deposits of U.S.disbursingoflicers 82, 881.22 536. 00 Notes and bills rediscounted. Bills payable , 562. 50 Liabilities other than those above stated Total . 149,173. 82 149,173.82 Great Falls National Bank, Somersworth. A. A. PERKINS, President. Loans and discounts i Overdrafts | TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds | Stocks, securities, etc | Bank'g house, furniture.and fixtures! Other real estate and mortg's o wnedj Due from other national banks [ Due from State banks and ban kers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S No. 1180. 276, 397. 91 Total . J . A. STICKNEY, Cashier. $66, 491.41 Capital stock paid in | 88.80 37,500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 152,300.00 State-bank notes outstanding 3, 000. 00 Due to other national banks Due to State banks and bankers. 13,177.16 Dividends unpaid 820. 39 Individual deposits 35. 00 United States deposits 41.15 Deposits of U. S. disbursing officers. | 1,231.50 25.00 Notes and bills rediscounted Bills payable 1,687. 50 Liabilities other than those above i stated Total . $150,000.00 30, 000.00 3, 907. 33 32, 880.00 421. 00 59,189. 58 276, 397. 91 Somersworth National Bank, Somersworth. E. HARGRAVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal tender notes TJ S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 1183. H. C. GILPATRICK, Cashier. $162,540. 86 | Capital stock paid in i $100,000.00 1,238. 37 j i 100. 000. 00 j Surplus fund 20, 000.00 Undivided profits, less current expenses and taxes paid 8,823.01 | National-bank notes outstanding. 90,000.00 5, 727.81 I State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 9,069. 38 641. 31 6," 270." 00 104.13 4, 310. 00 1, 500. 00 4, 500.00 295, 901. 8 Dividends unpaid Individual deposits u nited States deposits Deposits ofbills disbursing officers . Notes and U.S. rediscounted. Bills payable 635.00 76,443. 85 Liabilities other than those above j stated Total . 295,901.86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 639 NEW HAMPSHIRE. Citizens' National Bank, Tilton. No. 1333. W M . T. CASS, President. ARTHUR T. CASS. Cashier, Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . Liabilities. $105, 662. 00 56,666.66 3, 000.00 6, 234.49 10, 029. 61 1, 006. 89 1, 408. 00 66.82 7, 578. 05 6, 000. 00 2, 250. 00 Capital stock paid in. $70, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14, 000. 00 4, 617. 74 43, 797.50 Due to other national banks Due to State banks and bankers. Dividends unpaid 6.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 60,814. 62 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 193,235.86 Total. 193, 235.86 "Winchester National Bank, Winchester. E D W D . C. THAYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otherrealestateandmortg'sowned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . H. ABBOTT, Cashier. No. 887. $168,957.84 1, 015. 52 50, 000. 00 5, 000. 00 34, 800. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank-notes outstanding j $150, 000.00 30, 000.00 6, 865.45 45, 000. 00 1, 000. 00 4,163.15 8, 604. 28 55. 81 1, 020.00 144.11 3, 277. 70 1, 241.00 2, 250.00 281,529.41 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofh'cers. 1, 981.80 72.00 47, 610.16 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 281, 529. 41 640 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Farmers' National Bank, Allentown. GEO. H. VANDERBEEK, President. No. 3501. E. E. HUTCHINSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bondsonband Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-ten demotes TJ.». certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. Liabilities. $108, 039. 81 Capital stock paid in 29.62 ; 37,000.00 I Surplus fund ! Undivided profits, less current expenses and taxes paid 4,118.13 National-bank notes outstanding. 10, 039. 66 State-bank notes outstanding 1, 700. 00 Due to other national banks 2, 852. 08 Due to State banks and bankers.. 863. 30 6, 536. 31 Dividends unpaid 540.22 Individual deposits """425." 66' United States deposits 150. 29 Deposits of U.S.disbursing officers. 6,417.00 4, 485. 00 Notes and bills rediscounted. Bills payable 1,665.00 Liabilities other than those above stated 7, 800.00 1, 601. 60 33, 300. 00 2, 338.10 36. 00 9, 785. 72 184,861.42 Total . 184,861.42 $50,000.00 First National Bank, Asbury Park. G. F. KBOEHL, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve ageuts. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S A. C. TWINING, Cashier. No. 3451. $457, 122. 75 j Capital stock paid in. $100,000.00 1,452.35 I 25, 000. 00 Surplus fund 70, 000. 00 Undivided profits, less current expenses and taxes paid 4,142. 34 2, 500. 00 National-bank notes outstanding. 22, 500.00 39, 000. 00 State-bank notes outstanding 4,713.33 9, 642. 29 Due to other national banks 45,820.15 31,110.58 Due to State banks and bankers.. 6, 508.13 176. 00 113,817.78 "Dividends unpaid 2,466.15 486,940. 77 Individual deposits 3, 090. 00 United States deposits 775. 40 Deposits of U.S.disbursing officers 5, 055. 50 26, 200. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 729, 579. 26 Total . Total . 729, 579. 26 Second National Bank, Atlantic City. GEO. F . CURRIE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3621. $378, 463. 39 115. 33 25, 000. 00 2, 500. 00 18 500. 00 31, 553. 90 775.00 L. A. DOWN, Cashier. Capital stock paid in 17, 280. 92 22,500. 00 Due to other national banks 27,261.84 3, 735. 73 3,793.92 247,854.42 2, 375. 33 Dae to State banks and bankers.. 265." 00 1, 093. 04 37, 087. 05 34, 614. 00 Individual deposits United States deposits Deposits of U. S .dis bursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,125. 00 785,115.38 $100, 000.00 Surplus fund | Undivided profits, less current i expenses and taxes paid ! National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Total . 25, 000. 00 6.00 589, 330. 89 785,115. 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 641 NEW JERSEY. Atlantic City National Bank, Atlantic City. CHARLES EVANS, President. No. 2527. FRANCIS P . QUIGLEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Liabilities. $457,131.00 245,95 25,000.00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 46, 350. 00 State-bank notes outstanding 100,000.00 11, 402. 45 355, 004. 26 9,711.95 3, 450.00 858. 88 46, 092. 50 61, 453. 00 825.00 Due to other national banks Due to State banks and bankers.. j Dividends unpaid 33, 952.42 Individual deposits United States deposits Deposits of U.S.disbursing officers. 788, 254. 52 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1, 017, 524. 99 Total. 23, 998. 05 21, 320.00 1, 017, 524. 99 Total . Union National Bank, Atlantic City. A. B. ENDICOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ, S. bonds Stocks, securities, etc. Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and ether cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Trea3. U. S. Due from Treasurer U. S J. M. AIKMAN, Cashier. No. 4420. ;293, 561. 34 Capital stock paid in. $100, 009. 00 130.97 25, 000. 00 Surplus fund Undivided profits, less current 12, 702.18 expenses and taxes x>aid 20, 760. 00 2, 500. 00 National-bank notes outstanding. 29, 085. 80 State-bank notes outstanding 45, 819. 04 Due to other national banks j. 3, 273. 65 Due to State banks and bankers.. ] 6,163.41 849. 50 116,416. 61 Dividends unpaid 2,468. 01 409,141. 69 Indi vidual deposits 400. 00 United States deposits 1, 566. 36 Deposits of U. S.disbursing officers. 6, 613. 00 39,958.00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated Total . 548, 767. 28 Total. 548, 767. 28 Atlantic Highlands National Bank, Atlantic Highlands. T. II. LEONARD, President. No. 4119. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks securities etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and ot her cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1,000.00 10,500.00 2,100. 00 27.00 32, 344. 68 703. 85 425. 00 205. 92 3, 684. 00 7, 650. 00 562. 50 233, 330. 54 Total CUR, http://fraser.stlouisfed.org/ PT 2Federal Reserve Bank of St. Louis $161,600. 88 26.71 12, 500. 00 -41 CHARLES VAN MATER, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $50, 000.00 8, 500. 00 4, 031. 74 11, 250. 00 3,191.13 2,131.45 39.00 154,187. 22 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 233, 330. 54 642 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY, Belvidere National Bank, Belvidere. JOHN I . BLAIR, President. No. 1096. A. BLAIR KELSEY, Cashier. Liabilities. Resources. Loans and discounts | Overdrafts i IT. S. bonds to secure circulation... I U. S. bonds to secure deposits j TJ. S. bonds on hand I Premiums on U. S. bonds e S ii Stocks, securities, etc Bank'g house, furniture, andfixtures Otherrealestateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bank3 Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund Avith Treas. U. S. Due from Treasurer U. S Total . $107, G39. 82 $100, 000. 00 Capital stock paid in. 175, 000. 00 5, 000. 00 10,471. 56 3, 311. 55 1, 070. 00 100. 52 15,895.50 6, 170. 00 4,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid.. National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 Due to other national banks Due to State banks and bankers.. 100, 000. 00 13,100. 26 3, 992.13 5,113.96 87. 270. 00 5,402.00 1, 335.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 196,185.02 Notes and bills rediscounted. Billspayable Liabilities other than those above stated 442, 398. 37 442, 398.37 Total. Warren County National Bank, Belvidere. GEO. C. ADAMS, President. No. 4980. Loans and discounts | ! Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits — IT. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj O t h e r r e a l e s t a t e a n d m o r t g ' s owned Due from other national banks Duo from State banks and b a n k e r s . Duo from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes "IT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S 0, 000. 00 12, 500. 00 I Surplus fund ! Undivided profits, less c u r r e n t ! expenses and taxes paid 1, 843. 75 ;! National-bank notes o u t s t a n d i n g . | State-bank notes outstanding 11, 500. 00 I Due to other national b a n k s 229. 02 || Due to State banks and b a n k e r s . . ;| 8, 714. 53 !! Dividends unpaid 511.08 | Individual deposits 1,240.00 I United States deposits 236. 43 :j Deposits of U.S.disbursingoffieers. 4, 400.. 00 1 5, 456. 00 I Notes and bills rediscounted I Bills payable 562.50 ; Liabilities other than those above stated Total . 121,471.22 ; Total. A. MCCAMMON, Cashier. $74, 277. 91 !i Capital stock paid in. 1,832.78 11,250.00 57, 362.42 121,471.22 Bloomfield National Bank, Bloomfield. THOMAS OAKES, President. No. 4056. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... | IT. S. bonds to secure deposits IT. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers.! Due from approved reserve agents. | Checks and other cash items. j Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S ...* Total . I $170,279. 39 23. 65 40, 000. 00 1, 000. 00 111. 733.09 5, 500. 00 1, 678. 85 85,414.11 1,154. 09 2, 025. 00 223. 04 16, 876. 00 8, 820. 00 LEWIS K. DODD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 ! Due to other national banks I Due to State banks and bankers.. I 12,144.43 2, 848. 54 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofticers. 10, 000.00 19,175. 83 35, 700. 00 420. 00 310,438.42 Notes and bills rediscounted | Bills payable i 1, 800. 00 200. 00 j Liabilities other than those above stated ! 446,727.22 Total. 446, 727. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 643 NE W J E B S E Y. Bloomsbury National Bank, Bloomsbury. T. T. HOFFMAN, President. No. 2271. L. ANDERSON, Cashier. Resources. Loans and discounts Overdrafts - . . : U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc . Bank'ghouse,furniture andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes — TJ. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $93. 208.15 .04 12 500.00 Capital stock paid in. Due to other national banks Due to State banks and bankers.. Dividends unpaid 853. 28 500. 00 12,105 08 48,12 ""227*66" 32.29 8, 691. 70 1 855.00 4, 530. 20 Individual deposits United States deposits Deposits of U. S.disbursing officers. 37.120. 00 1, 400. 00 25, 000.00 73,116.55 5. 266. 41 11, 250. 00 Notes and bills rediscounted. Bills payable 562.50 60.00 Liabilities other than those above stated 169,163.16 Total . $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 169,163.16 Boonton National Bank, Boonton. No. 4274. J . H. CAPSTICK, President, Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $106 367, 86 MELVIN S. CONDIT, Cashier. Capital stock paid in. $50, 000. 00 i2,~5o6.66" Surplus fund 10, 000. 00 18,000. 00 1, 570. 00 57,192. 50 1,500.00 5, 914. 91 11, 250. 00 « Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Duo to other national banks Due to State banks and bankers. 60, 618. 58 Dividends unpaid 79.00 Individual deposits 70." 66" United States deposits 60.43 Deposits of U.S. disbursing officers 1. 395.10 7, 290. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 10,463. 77 23.65 Total . 267, 229. 62 39.00 179, 561.94 267, 229. 62 First National Bank, Bound Brook. GEO. L A MONTE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3? $115,237. 74 35. 02 12,500.00 20, 700. 00 1, 904.15 7, 462. 541. 20, 390. 842. 56 34 27 49 158. 97 10, 345. 75 6, 000. 00 562,50 i 196,680.79 | RICHARD H. BROKAW, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes x>aid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 535. 50 Individual deposits United States deposits Deposits of U.S.disbursingoflScers. 116,566. 03 5,185. 26 11, 250.00 144.00 Notes and bills rediscounted. Bills payable ! Liabilities other than those above stated Total . 196, 680. 79 644 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W J E R S E Y. Bridgeton National Bank, Bridgeton. No. 2999. T. TJ. HARRIS, President. JAMES W. TRENCHARD, Cashier. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $398,259.23 Capital stock paid in. 10.08 25,000.00 i Surplus fund Undivided profits, less current 3, 000. 00 expenses and taxes paid 2, 000.00 National-bank notes outstanding. 26, 575. 00 State-bank notes outstanding 14 000.00 Due to other national banks 2,107. 52 Due to State banks and bankers.. 22,173.03 | Dividends unpaid 582.61 I Individual deposits 370. 00 United States deposits 520. 91 Deposits of U.S.disbursing officers. 24, 701. 00 11,603.00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 532,027. 38 $100,000. 00 100, 000. 00 7, 929 27 21,750. 00 14, 978. 42 3, 538.65 1,195. 00 278,136.04 4, 500. 00 532, 027.38 Total. Cumberland National Bank, Bridgeton. W. G. NIXON, President. No. 1346. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other realestate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $837,234. 88 108 97 50, 000. 00 75,273.65 18, 000. 00 i $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid | National bank notes outstanding. State-bank notes outstanding 5,000.00 i Due to other national banks 225,000.00 58, 778. 96 37, 070. 00 13,868.22 697.17 i 26.51 i Due to State banks and bankers.. 98,473.42 I 7,630.86 | Dividends unpaid 1, 441.17 687, 371. 94 1,315.00 I Individual deposits 432.83 i United States deposits 64, 707. 00 12, 380. 00 Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable. 2, 250.00 Liabilities other than those above stated 1,173, 530. 29 Total. FRANK M. RILEY, Cashier. Capital stock paid in 1,173,530.29 Total . Mechanics' National Bank, Burlington. J. HOWARD PUGH, President. Loans and discounts I l Overdrafts U. S. bonds to secure circulation...I U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved res erve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S Total . No. 1222. $405,862.15 100, 000.00 11,035.00 7, 000. (10 59, 755. 91 2,191. 72 2,132. 84 228, 815. 24 60.13 NATHAN HAINES, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national oanks Due to State banks and bankers. Dividends unpaid Individual deposits 380* o6" United States deposits 185. 39 Deposits of U.S.disbursingofficers. 18, 616. 90 465.00 Notes and bills rediscounted. Billspayable 4,500. 00 Liabilities other than those above stated 741,000.28 Total . | $100, 000.00 30, 000. 00 42, 068. 31 90, 000. 00 56,100. 00 6, 956.43 1, 209.55 414, 665. 99 741, 000.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 645 JERSEY. First National Bank, Camden. No. 431. JOHN F. STARR, President. WATSON DEPUY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, e t c . . . Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other ca.*h items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ". S Liabilities. $686,148. 94 812. 97 50, 000. 00 125, 000. 00 29,186.17 44,950. 00 98, 312. 95 150, 987. 81 Dividends unpaid 10, 786.96 Individual deposits 2,690.00 United States deposits 434. 91 Depositsof U.S.disbursingofficers. 42, 712. 00 40,410. 00 Notes and bills rediscounted Bills payable 2,250. 00 1, 000. 00 Liabilities other than those above stated ... 1,132, 856. 72 Total $200, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 6, 250. 00 National-bank notes outstanding. 19, 067. 00 , State-bank notes outstanding 25, 000. 00 11,177.41 Due to other national banks 83,128. 72 Due to State banks and bankers.. 220. 00 635,187.60 Total 1,132, 856. 72 Camden National Bank, Camden. No. 3372. Z. C. HOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash itemr Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $413, 589. 98 550. 78 100,000. 00 ELIAS DAVIS, Cashier. | $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 16, 200. 00 National-bank notes outstanding. 3, 554. 42 State-bank notes outstanding 30, 000. 00 35, 595. 86 Due to other national banks I 20,746. 53 3, 073. 89 Due to State banks and bankers.. 71,904. 32 9, 602. 22 Dividends unpaid 30, 000. 00 " 2,740.00 861.65 12,755.00 30, 425. 00 4, 500. 00 756, 099.65 Capital stock paid in Individual deposits United States deposits Depositsof U.S.disbursingofficers. | Notes and bills rediscounted I Bills payable Liabilities other than those above [ stated Total. 1,655.11 90, 000. 00 228. 07 45,986. 82 462, 772.47 25,457.18 756,099.65 National State Bank, Camden. H. LIPPINCOTT, President. No. 1209. W. F . ROSE, Cashier. $2,118,597.66 I Capital stock paid in. Loans and discounts 290.06 I Overdrafts 50,000.00 Surplusfund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 5, 000. 00 National-bank notes outstanding. Premiums on U. S. bonds 42,750. 00 State bank notes outstanding Stocks, securities, etc 30, 000. 00 Bank'ghouse,furniture,and fixtures 28,600. 00 Due to other national banks Other real estate and mortg's owned 189, 877. 23 Due to State banks and bankers. Due from other national banks Due from State banks and bankers. 233, 853. 54 Dividends unpaid Due from approved reserve agents. 43, 924. 68 Checks and other cash items Exchanges for clearing house Individual deposits 5,940.66 I United States deposits Bills of other national banks 732.54 Depositsof U.S.disbursingofficers. Fractional currency, nickels, cents. 115, 994. 60 Specie 18,157. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities other than those above stated Total. 2,885, 967. 31 Total 260, 000. 00 32,186. 35 45, 000. 00 381,066.79 41, 502.40 635.11 1, 865, 576. 66 2,885,967.31 646 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Clinton. No. 2240. B. E. YOUNG, Tresident. N. W. YOORHEBS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate andmortg's owned Due from other national bunks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $208,531.75 ., Capital stock paid in 180.28 |j 25, 000. 00 \ Surplus fund • Undivided profits, less current 5, 000. 00 j expenses and taxes paid 1, 150. 00 National-bank notes outstanding. 12, 390. 00 ! State-bank notes outstanding $75, 000. 00 1 Due to other national banks 1 10,518.01 j Due to State banks and bankers.. 1, 098. 39 36, 782. 90 1 Dividends unpaid 1 387.17 I Individual deposits 2, 340. 00 I United States deposits 380.04 Depositsof U.S.disbursing officers. 8, 682.16 10, 215. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above 6, 586.52 15, 000.00 6, 007.15 22, 500. 00 126.00 198, 561.03 stated 323,780. 70 323, 780.70 Total. Clinton National Bank, Clinton. N o . 1114. J o s . VAN SYCKEL, President. $240, 642. 50 Loans and discounts j 63.20 Overdrafts I 12, 500.00 U. S. bonds to secure circulation...' U. S. bonds to secure deposits I... U. S. bonds on hand ;... Premiums on U. S. bonds j... 62, 500. 00 Stocks, securities, etc 6, 000. 00 Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned . 8, 689. 87 Due from other national banks 2,117.58 Due from State banks and bankers 39, 550. 06 Due from approved reserve agents. 458. 81 Checks and other cash items Exchanges for clearing house — 840. 00 Bills of other national banks 106.10 Fractional currency, nickels,cents. 9, 462. 00 Specie 10,150. 00 Legal-tender notes U. S. certificates of deposit 562. 50 Redemption fund with Treas. U.S. Duo from Treasurer U. S Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... $50, 000. 00 50, 000. 00 40, 099.17 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7,494.16 828.12 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 233, 717.17 254. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 393, 642. 62 Total. B. Y. LEIGH, Cashier. Capital stock paid in Total. 393, 642.62 First National Bank, Cranbury. JOHN S. SILVERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc \ Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned ... Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3168. $159, 746. 08 716.51 13, 000. 00 17, 000. 00 5, GOO. 00 " 2, 902." 83* 902. 75 20, 797. 21 75.00 CHAS. APPLEGATE, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 765." 00* United States deposits 92.11 Depositsof U. S.disbursing officers. 8, 767. 50 1, 000. 00 585. 00 231, 949. 99 3, 943.16 3,646.18 140.00 126, 277.39 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 231,949.99 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 647 JEHSEY. Farmers' National Bank, Deckertown. J. A. WHITAKEE, President No. 1221. THEO. F . MARGARUM, Cashier. Resources. Liabilities. Loans and discounts . Overdrafts 0". S. bonds to secure circulation... U . S . bonds to secure deposits U . S . bonds on hand I Premiums on U. S. bonds | Stocks, securities, etc j Bank'ghouse,fuiniture,and fixtures! Other real estate andmortg's owned} Due from other national banks \ Due from State banks and bankers -j Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $256, 814. 63 60,000.00 700. 00 22, 400. 00 7,043.48 66,871.39 | 380. 74 j Capital stock paid in j Due to other national banks I Due to State banks and bankers..! Dividends unpaid. 50,000.00 25, 690.68 54, 000.00 19, 228.92 500. 00 Indi vidual deposits United States deposits Deposits of U.S.disbursing officers, j 460. 00 15.15 23, 058. 85 3, 000. 00 Notes and bills rediscounted Bills payable 194, 624. 64 ! *"2," 700. 00 Liabilities other than those above stated 444, 044. 24 Total. $100, 000.00 Surplus fund j Undivided profits, less current | expenses and taxes paid National-bank notes outstanding. i State-bank notes outstanding I Total 444, 044.24 National Union Bank, Dover. GEORGE RICHARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2076. $746,148. 70 81.63 31, 250. 00 j $125, 000. C O Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 22,175.00 ! State-bank notes outstanding- ..I.I. 175, 000. 00 36, 505. 31 27, 825. 00 30,000.00 I 4,477.07 Due to other national banks 38,822. 32 Due to State banks and bankers .. 74, 612. 23 2, 283. 97 " " 41*0.00 270. 59 19, 496. 00 24, 472. 00 1, 406. 25 124. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. Notes and bills rediscounted. Bills payable 553, 806.81 Liabilities other than those above stated 957, 083. 44 Total. E. H. BALDWIN, Cashier. Capital stock paid in Total 957, 083. 44 Bast Orange National Bank, Bast Orange. J. F. FORT, President. No. 4766. "W. H. BRYAN, Cashier. $310, 395. 27 Capital stock paid in Loans and discounts -• 375. 00 Overdrafts 25, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand !expenses and taxes paid Premiums on U. S. bonds ! National-bank notes outstanding. Stocks, securities, etc !. j State-bank notes outstanding 2, 500. 00 Bank'g house,furniture, andfixturesl Other real estate andmortg's owned . Due to other national banks 3,180.88' I Due to State banks and bankers.. Due from other national banks j j Due from State banks and bankers. j 54, 690. 85 Dividends unpaid Due from approved reserve agents. I | 2, 012. 59 Checks and other cash items i Exchanges for clearing house Individual deposits j "'1,000." 00" I United States deposits Bills of other national banks | 43.53 I DepositsofU.S.disbursingofficers. 1 Fractional currency, nickels, cents. 7, 577. 00 I Specie i ] 4, 000. 00 Legal-tender notes Notes and bills rediscounted I Bills payable ; U. S. certificates of deposit " l , " 125." 66" Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S, stated Total Total. $100, 000. 00 18, 000. 00 6, 745. 04 22,100. 00 10,615. 26 254, 439. 82 411,900.12 648 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Elizabeth. No. 487. W. P. THOMPSON, President. E D . L. TILLON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc . Bank'ghouse,furniture,andtixture3 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U, S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U, S Liabilities. $607, 056. 35 850.37 50, 000. 00 187, 013. 91 65, 000. 00 100,000.00 Due to other national banks i Due to State banks and bankers..! '"ii,~6o6.'bo Surplus fund Undivided profits, less current expenses and taxes paid ' National-bank notes outstanding.1 State-bank notes o u t s t a n d i n g . . . . . ! 57, 586. 90 3,777. 76 I 56,270.10 44,160.00 j 318.00 Individual deposits United States deposits Deposits of U.S. disbursing officers.! 618, 018.88 Dividends unpaid Ij Notes and bills rediscounted. j| Bills payable 2, 250. 00 Liabilities other than those above stated 1,080,131.64 Total. $200, 000. 00 Capital stock paid in Total 1,080,131.64 National State Bank, Elizabeth. J O H N K E A N , J E., No. 1436. President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation aibanks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $863, 854. 76 1, 045.12 250, 000. 00 17,000. 00 347, 481. 09 45. 000. 00 20, 762. 52 10, 209. 04 65,133.14 5, 965. 23 1,883. 00 856. 4* 47, 033. 50 10, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. $350, 000. 00 200, 000. 00 102, 449. 09 225, 000.00 43,170.15 25,114.11 92.46 Dividends unpaid Individual deposits United States deposits Deposits of TJ. S. disbursing officers. 751, 648.02 Notes and bills rediscounted. Bills payable 11, 250. 00 Liabilities other than those above stated 1,697,473.83 Total. J A M E S MAGUIRE, Cashier. Capital stock paid in. 1, 697,473.83 Total. Citizens' National Bank, Englewood. DONALD MACKAY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... ! TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc I Bank'ghouse,furniture,andfixtures| Other real estate and mortg's owned| Due from other national banks i Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other nationall)aiiks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 4365. $222, 920. 93 3.01 12, 500. 00 1,250. 00 91,806.40 1,000. 00 559. 08 121. 94 48,681.13 1.57 25.00 242.04 19, 700. 75 3, 760. 00 CHARLES F . P A R K , Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000.00 Due to other national banks Due to State banks and b a n k e r s . . 8, 388. 26 7, 033. 52 Dividends unpaid pos Individual deposits 6, 253. 28 3, 240. 00 298, 219. 29 United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 403,134. 35 stated Total. 403,134.35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 649 NEW JERSEY. Plemington National Bank, Flemington. ¥ M . RICHARDS, , President No. 2331. N. DUNHAM STIGER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^'urniture^ndfixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total Liabilities. $226,143. 04 9.94 100, 000. 00 10, 8, 1, 14, 25, 500. 000. 000. 300. 402. 00 00 00 00 97 58. 842. 46 675. 26 200.00 85.03 17, 608. 80 7, 300. 00 4, 500. 00 Capital stock paid in $100,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000. 00 Due to other national banks Due to State banks and bankers.. 1,495. 09 360.20 Dividends unpaid 16,146. 32 90, 000. 00 766. 50 Individual deposits United States deposits Deposits of U.S.disbursing officers. 240, 799.39 Notes and bills rediscounted Bills payable Liabilities other than those above stated 474, 567. 50 Total 474, 567. 50 Hunter don County National Bank, Flemington. SAMUEL HIGGINS, President. No. 892. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer U. S Total. $279, 997. 71 323.43 100, 000. 00 A. H. RITTENHOUSE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,250. 00 8, 000. 00 Due to other national banks 8, 250. 39 Due to State banks and bankers.. 15,503. 59 Dividends unpaid 442.16 Individual deposits 440. 00 United States deposits 108. 36 Deposits ofU.S.disbursing officers. 19,415.15 9, 065. 00 Notes and bills rediscounted. Bills payable 4, 500.00 Liabilities other than those above stated Total . 447, 295. 79 $100, 000.00 25, 700.00 2, 380.47 90,000. 00 4, 858, 50 775. 78 1, 806.40 186, 774. 64 35, 000. 00 447, 295.79 First National Bank, Freehold. W. H. VREDENBURGH, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'g house,!' urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 452. $158, 799. 55 597. 33 25, 000. 00 1,125.00 133, 743. 75 16, 600. 00 9, 078. 65 2,181. 76 8,115. 29 101,211. 04 858. 56 160*00 79.78 4, 314. 80 18, 585. 00 i, 125.00 481, 575.51" J. W. S. CAMPBELL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 50, 000. 00 32, 970. 37 21, 600.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 12, 270. 27 9, 204. 51 Individual deposits United States deposits Deposits of IT.S.disbursing officers. 305,421.36 109.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 481,575.51 650 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Central National Bank, Freehold. No. 4182. J. S. PARKER, President. E. B. BEDLE, Cashier. Resources. Loans and discounts Overdrafts "D. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Total Liabilities. $131,352.40 139. 81 12, 500. 00 1, 500. 00 1, 920. 00 4, 083.17 1, 800.14 2, 513. 12 28, 478.14 720. 33 Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g D u e to other national b a n k s Due to State b a n k s and b a n k e r s . . 3, 322.93 10, 750. 00 394.51 3.00 Dividends unpaid Individual deposits 455. 00 , United States deposits 43.14 Deposits of U.S.disbursing officers. 2,193.05 8, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other t h a n those above stated 190, 2GG. 80 4, 000.00 Total 127,796. 36 196, 266.80 Union National Bank, Frenchtown. No. 1459. W. H. MARTIN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estateaudinortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $144, 06G. 52 50, 000. 00 4, 000. 00 53, 500. 00 6,100. 00 10,675.00 1, 289. 76 582.81 43, 027. 72 541.63 "3,886.66 122.78 3, 628.25 10, 000. 00 " 2 , " 250* 66 $113, 350.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid Individ ual deposits United States deposits Deposits of U.S. disbursing officers. 3, 232. 70 30, 000. 00 9, 995. 61 45, 000. 00 642.90 131,449. 26 Notes and bills rediscounted Bills payable Liabilities other than those above stated 333,670.47 Total. A. B. HARING, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 333, 670.47 Total . First National Bank, Glassboro. T. W. SYNNOTT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-ten demotes TJ. S. certificates of deposit Redemption fund with Treas.TJ. S. Due from Treasurer TJ, S Total. No. 3843. $131, 359. 01 24.49 50, 000. 00 5, 260. 00 17, 861. 35 18, 000. 00 2, 574. 63 33, 229. 75 118.21 945.00 484. 01 13,384. 30 2, 678. 00 "2, 250." 66' A. S. EMMEL, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 25, 000. 00 5,487.52 43, 605. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 21, 901. 34 Individual deposits United States deposits Deposits of U.S. disbursing officers. 132,165. 89 9.00 Notes and bills rediscounted Bills payable Liabilities other than those above 278,168.75 stated Total. 278,168.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 651 NEW JERSEY. Hackettstown National Bank, Hackettstown. S. & SMITH, President No, 1259. ROBT. A. COLE, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Eank'g house,furniture,and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $264, 203. 57 83.25 150, 000. 00 128, 596. 31 13, 500. 00 1, 430.86 27, 560. 08 767. 08 Capital stock paid in $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid 75,000. 00 22, 334.13 132, 920. 00 2, 425.00 19,457.87 747.50 Individual deposits 3,*7i2."00* United States deposits 90.61 Deposits of U. S. disbursing officers. 25, 752. 80 9, 840. 00 Notes and bills rediscounted Bills payable 6, 750. 00 Liabilities other than those above stated 632, 286. 56 Total Cashier. Liabilities. Total 229,402. 06 632, 286. 56 Haddonfield National Bank, Haddonfield. A. W. CLEMENT, President. No. 3996. Loans and discounts | Overdrafts j U. S. bonds to secure circulation... j TJ. S. bonds to secure deposits | TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $156,887. 64 154. 55 12, 500, 00 1, 300. 00 56 101.74 17, 500. 00 24, 809. 51 140.05 40.00 6.93 6, 503. 45 6, 690. 00 562.50 283,196. 37 JERE H. NIXON, Cashier. Capital stock paid in. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bauk notes outstanding 15, 000.00 8,112. 63 10,110. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 907. 62 448. 67 Individual deposits United States deposits Depositsof U. S.disbursing officers. 190, 617.45 Notes and bills rediscounted , Bills payable Liabilities other than those above stated Total . 283,196.37 First National Bank, Hightstown. COLLIN B. H E I R S , President. Loans and'discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits .. U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks aud bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1737. Capital stock paid in. $335, 215. 74 300. 90 37,500.00 3, 750. 00 12,100.00 7, 500. 00 16, 320. 86 3, 791. 47 6^8. 30 47, 236. 50 1, 913.44 ""2*540.00 4.25 6, 567. 85 8,100.00 Jos. H. JOHNES, Cashier. _________ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000.00 Due to other national banks Due to State banks and bankers.. 13,007.01 2, 922.69 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 6, 546. 52 32,950, 00 161. 00 239, 619.59 Notes and bills rediscounted Bills payable 1, 687.50 Liabilities other than those above stated 485,206.81 Total. 485, 206.81 652 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Hoboken. No. 1444. S. BAYARD DOD, President. W. B. GOODSPEED, Cashier Kesources. Loans and discounts Overdrafts U. S. bonds to sectire circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $454, 008. 37 365.62 100,000.00 100, 000. 00 765, 362. 20 40, 000. 00 54,326. 86 Capital stock paid in. $110, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 316, 365. 56 88, 700. 00 Due to other national banks Due to State banks and bankers. 17.813.17 605. 25 302, 566. 51 Dividends unpaid 12, 061. 33 40,293. 42 Individual deposits 8, 900. 00 United States deposits 1, 245. 91 Depositsof U.S.disbursing officers 26,495. 50 80, 356.00 Notes and bills rediscounted. Bills payable 4, 500.00 Liabilities other than those above stated 1,990,481.72 Total . 22, 000. 00 5, 295.12 1, 429, 702.62 1,990,481.72 Second National Bank, Hoboken. RUDOLPH F. ROBE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's-owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3744. $496, 637. 24 3,106. 69 31,250.00 3, 200. 00 80, 580. 00 80,000.00 85, 622. 84 1, 237.16 33, 657. 78 100. 00 206. 32 46,014. 00 38, 310.00 1, 406.25 901, 328.28 JNO. P. SCHOLFIELD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding $125,000. 00 25,000.00 54, 593.98 27, 725. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 954. 54 40.25 Individual deposits United States deposits Deposits of U. S.disbursing officers. 634,014. 51 Notes and bills rediscounted. Bills payable 30,000.00 Liabilities other than those above stated Total . 901,328.28 Hopewell National Bank, Hopewell. J. M. PHILLIPS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks securities etc Bank'g ho use,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks andr bankers. Due from approved reserA e agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4254. J . N. RACE, Cashier. $112, 593.00 Capital stock paid in $50,000.00 6.94 12, 500. 00 Surplus fund 9,250.00 Undivided profits, less current 1, 550.65 expenses and taxes paid 1, 331. 25 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding 4, 273. 03 Due to other national banks 1,164. 26 212. 64 Due to State banks and bankers.. 739. 29 4,563.91 Dividends unpaid 1, 829. 45 Individual deposits United Statesdeposits 28.45 Depositsof U.S.disbursing officers. 5,507. 00 2, 600. 00 Notes and bills rediscounted Bills payable 562. 50 Total 16,000.00 Liabilities other than those above stated Total 146,008.17 33.00 56,020.97 146, 008.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 653 NEW JERSEY. First National Bank, Jamesburg. F. L. BUCKELEW, President. No. 288. CHAS. E. WESTERVELT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits... U. S bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Total. Liabilities. $88,161. 81 943. 60 20 000. 00 $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1,750 00 National-bank notes outstanding. 7. 907. 26 State-bank notes outstanding 369. 20 10,250.00 Due to other national banks 370.77 Due to State banks and bankers.. 725. 74 6. 709. 00 Dividends unpaid 588. 83 Individual deposits 940. 00 United States deposits 18 47 Deposits of U.S.disbursing officers. 1,738 00 7, 053. 00 ISlotes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above stated Total. 148,425.68 250.00 1,175. 26 18, 000. 00 2,191. 80 684.36 76,124. 26 148,425.68 First National Bank, Jersey City. No, 374. E. F . C. YOUNG, President. $3,516, 662.51 Loans and discounts 1,917.09 Overdrafts 50, 000.00 U. S. bonds to secure circulation... 75, 000.00 U. S. bonds to secure deposits U. S. bonds on hand 7,125.00 Premiums on U. S. bonds 15. 065. 00 Stocks, securities, etc 218.944.52 Bank'ghouse,furniture andfixtures 39. 858.18 Other real estate and mortg's owned 166, 003.15 Due from other national banks 37, 638. 67 Due from State banks and bankers. ., 629,836. 36 Due from approved reserve agents. 160,203.33 Checks and other cash items Exchanges for clearing house 18, 410. 00 Bills of other national banks 652.16 Fractional currency, nickels, cents. 113,771.10 Specie 245,910. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. G. W. CONKLIN, Cashier. Capital stock paid in.. $400,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding-.'.'.. 500, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 181,081.94 14, 767. 37 Individual deposits United States deposits Deposits of U.S. disbursing officers. 4. 906, 660.20 67, 500. 00 184,615.56 44,130.00 492. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 6, 299, 247. 07 6,299, 247. 07 Second National Bank, Jersey City. WM. HOGENCAMP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gtiouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Dankr Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 695. ,245,574.97 2,104. 37 63, 000. 00 5, 670.00 121,174.63 70, 000. 00 16, 621.10 913. 63 583,280.61 21, 898. 33 ""i'oio'oo" 191.75 35,725. 30 62, 664. 00 J. G. HASKING, Cashier. Capital stock paid in. $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 250,000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 13,155.67 1,266.59 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 1, 533, 757. 74 130, 742.69 55, 600. 00 1,141.00 Notes and bills rediscounted. Bills payable 2, 835.00 Liabilities other than those above stated 2,235, 663. 69 Total. 2, 235, 663. 69 654 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Third National Bank, Jersey City. No. 3680. J . D. CARSCALLEN, President. R. S. Ross, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes.: U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $626,176. 78 1, 908. 33 100,000.00 11, 000. 00 72,931.75 35, 400. 85 5, 303.13 2, 989. 34 656. 41 206. 026. 02 2, 055. 93 ""7," 560.'66 451.16 36, 647. 70 33, 510. 00 4, 500.00 1, 810. 00 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 591. 09 204. 28 Individual deposits United States deposits Depositsol U.S.disbursingofficers. 737, 386. 52 21, 355. 51 90, 000. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 1,149, 527.40 1,149, 527.40 Hudson County National Bank, Jersey City. R. C. WASHBUEN, President. No. 1182. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $1,269, 358.87 342. 54 50, 000. 00 50, 000.00 6, 750.00 347, 533. 21 J25, 000. 00 12, 250.00 66, 735. 44 2,040.16 296, 411.15 24, 250. 58 17, 797. 00 364. 68 88, 655. 80 43, 458.00 2, 250. 00 J. W. HARDENBERGH, Cashier. Capital stock paid in. . $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 300,000. 00 158, 241. 84 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid , 5, 371. 86 1, 554.16 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 1, 642,993.57 36.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2,403,197.43 Total . 2,403,197.43 People's National Bank, Keyport. THOMAS BUREOWES, President. Loan 8 and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Le^al-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. V M . H. TUTHILL, Cashier. No. 4147. $102,481.54 37.01 12, 500. 00 1,000. 00 24,356.25 8,500. 00 2i2.89 410.76 15,040. 07 260.19 "i, 700. 66 209.25 1,058. 76 3,061. 00 562.50 300. 00 171, 690. 22 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 630.15 11, 250. 00 Due to other national banks Due to State banks and bankers.. 1, 220. 86 8.60 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing ofneers. 10, 000. 00 159. 00 95,421.61 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total . 171,690.22 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 655 JERSEY. Amwell National Bank, Lambertville. W. A. GREENE, President. No. 2339. FRANK W. VAN HART, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank ghouse.furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $104, 222. 57 30.94 28,000.00 3, 477. 50 43, 488. 75 2, 939.14 997.91 60,240. 58 1,107.47 i'ioo.'oo' 62.20 15,112.10 3, 000. 00 1,260.00 Capital stock paid in. $72, 000. 00 Surplus fund T Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000.00 6, 764. 63 25,200. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 35.74 753.30 Individual deposits United States deposits Deposits of U.S.disbursingofncers.I 145, 234.24 51.25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 265, 039.16 Total. 265, 039.16 Lambertville National Bank, Lambertville. A. C. BARBER, President. No. 1272. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other realestateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hou Bills of other national bank Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $122, 391. 22 29. 86 50, 000. 00 1,500.00 137, 457. 00 9, 000. 00 $100, oooToo Surplus fund.. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 11, 930. 90 45, 000. 00 Due to other national banks 258.'72 228.15 17, 591. 58 305.09 1,185. 00 109.70 20, 996. 25 3, 500. 00 2,250.00* 366, 802. 57 Total. ISAIAH P. SMITH, Cashier. Capital stock paid in 7,783.71. 3,124.80 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable ! Liabilities other than those above stated Total. 168, 963.16 366,802. 57 First National Bank, Long Branch. R. BLODGETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fand with Treas. U. S.j Due from Treasurer U. S Total. No. 4138. $187, 589. 07 328. 06 12,500.00 JOHN TERHUNE, Cashier. Capital stock paid in. | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 93,186. 35 State-banknotes outstanding I 14,424. 97 Due to other national banks | 81,739.95 Due to State banks and bankers..! 858. 33 47,160. 05 Dividends unpaid. 3,092.26 Individual deposits 5, 280. 00 United States deposits j. 135.13 Deposits of U.S.disbursingofncers .•. 9, 760. 00 24, 000. 00 Notes and bills rediscounted i. ! I Bills payable . 562.50 j Liabilities other than those above J ! stated . 480,617.27 i| Total. $50, 000. 00 20, 000, 00 6, 111. 73 11, 250. 00 9,448.99 1, 963.17 9.00 381,834. 38 480, 617. 27 656 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Madison. No. 2551. J . S. PAULMIER, President. F R E D B. BARDON, Cashier. Resources. Liabilities. $162, 243. C Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and m o r t g s o w n e d Due from other national banks Due from State banks aed bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks I Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S -1 Due from Treasurer U. S Capital stock paid i n . 12, 500. 00 44, 272. 27 500.00 Due to other national banks i 284.85 Due to State banks and bankers, .j 865.37 24,465.98 I Dividends unpaid I 932.43 ! j Individual deposits | 1 United States deposits |. j Deposits ofU. S.disbursing officers.!. 90.00 44. 54 7,450.50 12, 000. 00 It Notes and bills rediscounted. 1 Bills payable 1 562.50 j 22, 000.00 10, 554. 75 11, 250. 00 10,991.63 66.50 151,349. 25 10, 000. 00 Liabilities other than those above ! stated 266, 212.13 Total . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 266, 212.13 Total . First National Bank, Manasquan. CHAS. J . PARKER, President. Loans and discounts Overdrafts U. S*bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Premiums °n U. S. bonds Stocks, sec urities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checka and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50, 000.00 Capital stock paid i n . Surplus fund j Undivided profits, less current I expenses and taxes paid 1,417.50 ! National-bank notes outstanding. 6, 709. 46 j State-bank notes outstanding 11,147. 60 800.00 Due to other national banks 577.82 1,762. 93 Due to State banks and bankers.. 44, 009. 94 Dividends unjiaid 6,182.18 Individual deposits 2i6.'6o' United States deposits 148. 27 DepositsofU.S.disbursing officers. 4, 800. 00 17,000. 00 Notes and bills rediscoun ted 585*66" Bills payable Liabilities other than those above stated 473, 671. 35 Total . M. D. L. MAGEE, Cashier. No. 3040. $363,497.49 1, 817.16 13,000. 00 Total . 25, 000. 00 37,977. 34 11,700.00 23, 065. 08 1, 292. 20 66.00 324,570. 73 473, 671.35 Burlington County National Bank, Medford. A. P. STACKHOUSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1191. $170,476. 97 29.23 50,000.00 23,100. 00 9, 250. 00 5,500. 00 944. 01 5.15 18, 766. 77 260.00 614. 26 5,087. 00 4, 350. 00 E D W . B. REEVE, Cast Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits | DepositsofU.S.disbursing officers. I $100, 000.00 40, 000.00 6, 256. 98 41, 930. 00 4, 508. 88 100.00 97, 837. 53 Notes and bills rediscoun ted. Bills payable 2, 250. 00 Liabilities other than those above j stated 290, 633.39 Total. 290, 633.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 657 NEW JERSEY. Millville National Bank, Millville. No. 1270. E. H. STOKES, President. HERSCHEL MULFORD, Cashier. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, centsSpecie Legal tender notes. U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $335, 839.12 Capital stock paid in 566. 45 25, 000. 00 Snrplusfund Undivided profits, less current expenses and taxes paid 1, 750. 00 National bank notes outstanding. 112,100.00 State-bank notes outstanding 4, 500. 00 1, 700. 00 112.83 34, 624. 72 Due to other national banks Due to State banks and bankers. $100, 000. 00 50,000.00 36. 465. 60 20,060. 00 9. 282. 42 2, 515. 07 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 333, 453.46 780. 00 376. 43 25, 502. 00 7, 800. 00 Notes and bills rediscounted. Bills payable 1, 125. 00 Liabilities other than those above stated 551, 776. 55 Total. 551, 776. 55 Moorestown National Bank, Moorestown. WM. M. PAUL, President. No. 3387. Loans and discounts Overdrafts U. S. bonds to secure circulation... U . S . bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $265, 076. 99 143. 65 15,000.00 8, 500. 00 12,000.00 931.17 "72,"88i.*09" 180. 55 20, 260. 00 9,240. 00 $50, 009.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers... 50,000.00 7, 207. 20 13, 500. 00 11, 086. 43 22,239. 41 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofticers. 250, 855.41 Notes and bills rediscounted. Bills payable 675.00 Liabilities other than those aboTe stated Total. 404,888. 45 Total. W. ~W. STOKES, Cashier. Capital stock paid in. 404,888.45 First National Bank, Morristown. THEO. LITTLE, President. Loans and discounts... Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aadfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, PT 2 - -42 No. 1188. $283, 539.96 293.57 25,000.00 J . H. VAN DOREN, Cashier. Capital stock paid in. $100, 000. 00 100, 000.00 429,169.78 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 36, 510. 95 Due to other national banks Due to State banks and bankers.. 66,210.72 2,110.59 81, 759. 56 9, 726.12 880.00 260.99 21. 382. 90 20,651.00 l v 125. 00 910,299.83 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 12, 604. 22 22, 000.00 10.00 607,364.30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 910, 299.83 658 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. National Iron Bank, Morristown. E. D. HALSEY, President. No. 1113. JOHN B. BYRAM, Cashier. Liabilities. Resources. Loans and discounts j Overdrafts j U.S. bonds to secure circulation... i TJ. S. bonds to secure deposits ; U. S. bonds on hand ; Premiums on U. S. bonds j Stocks, securities, etc i BankgJiouse,furniture,andfixtures Other real estate andniortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ; Exchanges for clearing house i. Bills of other national banks e .'. $602,300.80 | Capital stock paid in. 553.37 j 50,000.00 i I Surplus fund i Undivided i>rofits, ^ e s s current j expenses and taxes paid j National-bank notes outstanding. 73, 522. 00 ! State-bank notes outstanding 35, 000. 00 7,900. 00 Due to other national banks i 46,494. 81 Due to State banks and bankers .!. 5, 750. 61 41, 508. 84 Dividends unpaid. 24,313.33 | Individual deposits 781. 00 j j United States deposits 527. 00 |; Deposits of U.S.disbursingofficers. Fractional currency, nickels, cents.! 27,106. 53 Specie j Notes and bills rediscounted. 23,710.00 Legal-tender notes • Bills payable U. S. certificates of deposit I2,250.00 ; Redemption fund with Treas. U. S.i 3,209.10 Liabilities other than those above Due from Treasurer TJ. S ! stated 944,933.39 ; Total . Total . $200, 000.00 50, 000. 00 37, 504. 03 45, 000. 00 60,451.14 730. 00 551, 248. 22 944,933. 39 Farmers' National Bank of New Jersey, Mount Holly. ALFRED L. BLACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bond:: on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1168. $320, 995. 31 247.89 50, 000. 00 2 100. 00 192,703. 69 15, 900. 00 4, 950. 00 1, 465. 99 2,118.28 45, 850. 90 2, 287. 01 5,069. 00 396.17 37, 345.00 8,135. 00 2, 250. 00 J $200,000.00 Surplus fund j Undivided profits less current | expenses and taxes paid j National-bank notes outstanding.! State-bank notes outstanding | 10,100. 59 45, 000. 00 Due to other national banks ' Due to State banks and bankers.. | 16, 586. 08 G, 310. 20 Dividends unpaid. 60,000. 00 841. 00 Individual deposits eposi United States deposits Deposits of U.S.disbursing officers. j. Notes and bills rediscounted Bills payable 352, 976. 37 i Liabilities other than those above stated 691, 814.24 Total . J N O . B. DAVIS, Cashier. Capital stock paid in 691, 814. 24 Total. Mount Holly National Bank, Mount Holly. EDWARD WILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixturesj Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers, i Due from approved reserve agents, j Checks and other cash items i Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1356. $238,911. 75 76.85 25,000. 00 2, 850. 00 8, 800. 00 15, 000. 00 4, 230. 23 2,316.31 44, 801. 01 552. 34 860. 00 231.80 19, 087. 90 6,150. 00 1,125. 00 | 369, 993.19 BENJ. F . L E E , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $100, 000. 00 35, 000. 00 14, 309. 67 22, 500. 00 7, 475.25 910. 00 189, 798. 27 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 369,993.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 659 NEW JERSEY. Union National Bank, Mount Holly. JACOB MERBITT, President. No. 2343. S. L. TOMLINSON. Cashier. Resources. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... i U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks securities, etc Bank g ho use, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items , Exchanges for clearing house ! Bills of other national banks j Fractional currency,nickels, cents.! Specie j Legal-tender notes j U. S. certificates of deposit j Redemption fund with Treas. U.S.; Liabilities. $217, 174.46 349.01 75, 000. 00 6,750. 00 1.000.00 10.500.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 1,765,67 Due to State banks and bankers... 1, 895. 46 16, 279. 23 Dividends unpaid 592.01 ! Individual deposits 812. 00 1 United States deposits j 45.07 Deposits of U. S.disbursing officers, 11,651.00 5. 350. 00 i Notes and bills rediscounted. Bills payable $100, 000.00 25, 000, 00 13, 270. 71 67, 500. 00 3,105. 47 1,492.19 333. 00 141,337.54 Due from Treasurer U. S Total Second National Bank, Newark. No. 362. J . D. ORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $814, 620. 992. 50. 000. 110, 000. 54 85 00 00 io'o'bo 25, 501. 41 50,000. 00 1, 560. 00 18, 402. 29 9,171. 76 297, 780. 97 16, 244. 96 7, 767. 52 12, 263. 00 260. 00 80, 620. 00 37,000.00 2, 250. 00 1, 535,135. 30 Total . E. D. FARNSWORTH, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100,000.00 Due to other national ban ks Due to State banks and bankers.. Dividends unpaid 29,309. 56 2,087. 61 Individual deposits United States deposits Deposits of U.S.disbursing officers 929, 376. 97 86, 919. 24 13,080. 76 28, 679. 02 45,000. C O 340.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 342.14 1,535,135.30 Essex County National Bank, Newark. F . B. ADAMS, Cashier. No. 1217. $2, 372, 251. 43 Loans and discounts $300, 000.00 Capital stock paid in. 1, 866. 44 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... Surplus fund 300, 000.00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 225. 045. 06 Premiums on U. S. bonds National-bank notes outstanding 44,137. 50 250, 000. 00 State-bank notes outstanding Stocks, securities, etc 75, 000. 00 Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned 48,221. 21 Due to other national banks 161, 699. 90 Due from other national banks Due to State banks and bankers. 8, 737. 89 34,741. 01 Due from State banks and bankers. 240, 718.14 Dividends unpaid Due from approved reserve agents366. 63 21,901.29 Checks and other cash items 108, 658. 37 Exchanges for clearing house Individual deposits 2, 566, 086. 78 10, 859. 00 United States deposits Bills of other national banks 739. 34 Fractional currency, nickels, cents. Deposits of U.S.disbursing officers 125,910.15 Specie 35, 000. 00 Notes and bills rediscounted. Legal-tender notes U. S. certificates of deposit Bills payable 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S 1,000.00 Liabilities other than those above T. W. CROOKS, President. Total . stated 3, 492, 595.07 Total. 3, 492,595.07 660 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. German National Bank, Newark. EDWARD M. DOUGLAS. President. No. 2045. A. W. CONKLIN, Cashier. Resources. Liabilities. Loans and discounts $1,122, 929.41 Overdrafts G12.37 TJ. S. bonds to secure circulation... 50, 000. 00 TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 4, 500.00 Stocks, securities, etc Bank 'g house,f urn iture,and fixtures 45, 000.00 Other real estate and mortg's owned Due from other national banks 13, 847. 66 Due from State banks and bankers310.75 Due from approved reserve agents. 442, 862.10 Checks and other cash items 2, 724.13 Exchanges for clearing house 15, 835. 52 Bills of other national banks 2, 806. 00 Fractional currency, nickels, cents. 443.18 Specie 153, 673. 00 Legal-tender notes 70, 000. 00 U. S. certificates of deposit Redemption fund with Treas. TJ. S. """ 2," 250.' 00 Due from Treasurer U. S 2, 500. 00 Total. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 18, 008. 52 7,197.91 Individual deposits... United States deposits Deposits of U.S.disbursingofficers. 1, 430,700.93 129,194.76 45,000. 00 186.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,930,294.12 i Total. 1, 930, 294.12 Manufacturers' National Bank, Newark. No. 2040. S. S. BATTIN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. B. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $817, 673. 08 1,166. 28 70,000.00 7,300.00 13, 000.00 33,155. 42 3, 604.12 401,174. 21 13, 207. 46 11,148. 87 1, 845. 00 304.16 13, 926. 90 58,454. 00 3,150.00 J . W. PLUME, Cashier. Capital stock paid in. $250, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 90, 000.00 15,684.32 63, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 38, 297. 25 2, 925. 36 Individual dei>osits United States deposits Deposits of U.S.disbursing officers. 1, 039,142. 57 60.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1, 499,109. 50 Total 1,499,109. 50 Merchants' National Bank, Newark. EDWARD KANOUSE, President. No. 1818. Loans and discounts $1, 312, 523.81 Overdrafts 973.13 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 2, 793. 00 33ank'ghouse,furniture,andfixtures 45, 000. 00 Other real estate and mortg's owned Due from other national banks 63,192. 67 Duo from State banks and bankers. Due from approved reserve agents. 741, 855.42 Checks and other cash items 25, 030.18 Exchanges for clearing house 26,230.10 Bills of other nationalbanks Fractional currency, nickels, cents. 1, 072. 99 32, 582. 00 Specie 102,178. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 2,405, 681. 30 J . S. TREAT, Cashier. Capital stock paid in. $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers. 50,365.83 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 86, 523. 71 43, 450. 00 1, 482. 00 1,923,859.76 Notes and bills rediscounted. Bills payable Liabilities other than those a stated Total. 2,405,681.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 661 NEW JERSEY, National Newark Banking Company, Newark. C. G. ROCKWOOD, President. No. 1316. HENRY W. TUNIS, Cashier. Resources. Liabilities. $2, 559, 983. 86 Loans and discounts 675.20 Overdrafts 200. 000. 00 XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band 6, 000. 00 Premiums on U. S. bonds 236,300. 00 Stocks, securities, etc 60, 000. 00 Bank'g house, furniture, and fixtures 8, 300. 00 Other real estate andmortg's owned 349, 096. 03 Due from other national banks 42, 805. 26 Due from State banks and bankers. 312, 905. 24 Due from approved reserve agents. 8, 960. 76 Checks and other cash items 20,075. 78 Exchanges for clearing house 9, 610. 00 Bills of other national banks 882. 24 Fractional currency, nickels, cents. 101,733,13 Specie 46, 740. 00 Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S. 9, 000. 00 Due from Treasurer U. S Capital stock paid in. 200, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 317,315.63 276,179. 91 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 191, 751. 50 160, 800. 00 349. 08 2, 326, 671. 38 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 3,973,067. 50 Total . $500, 000. 00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 3, 973, 067. 50 National State Bank, Newark. JAMES F . BLESS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national uanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W M . ROCKWELL, Cashier. No. 1452. $912,114. 03 Capital stock paid in. $500, 000.00 324.68 50, 000. 00 Surplus fund 250, 000. 00 Undivided profits, less current expenses and taxes paid 69, 561. 26 45, 000. 00 National-bank notes outstanding. 691, 955. 80 State-bank notes outstanding 100, 000. 00 Due to other national banks 220, 353.15 136,143. 46 Due to State banks and bankers. 9, 809. 22 154,409.61 Dividends unpaid 445. 00 18,422. 60 6, 345. 43 Individual deposits 1,204,044.17 490. 00 United States deposits 231. 55 Deposits of U .S.disbursing officers. 188,157. 20 18, 750.00 Notes and bills rediscounted.. Bills payable 2, 250. 00 Liabilities other than those above stated 2, 289, 403. 58 Total . 2, 289,403. 58 Newark City National Bank, Newark. S. H. PENNINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house.. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1220. ALBERT BALDWIN, Cashier. $1, 443, 433. 70 i Capital stock paid in. 2,411.71 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 499,250. 00 State-bank notes outstanding 47, 000. 00 6, 500. 00 Due to other national banks 108, 060. 62 20, 430. 20 Due to State banks and bankers.. 231,336. 63 Dividends unpaid 52, 702. 44 Individual deposits 20, 907. 00 United States deposits 632. 62 DepositsofU.S.disbursingoflicers131,700. 00 80, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 2, 696, 614. 92 Total $500, 000.00 150, 000. 00 133, 582. 08 44, 997. 50 208, 090. 81 15, 396. 31 316. 50 1, 644, 231. 72 2,696,614.92 662 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW J E R S E Y . North Ward National Bank, Newark. BENJ. F. CRANE, President. No. 2083. J. W. LUSH EAR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national packs Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. Liabilities. $623, 647. 99 267. $8 50, 000. 00 Capital stock paid in $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid | National-bank notes outstanding. 32, 346. 99 ! State-bank notes outstanding 45, 667. 37 6,353. 68 Due to other national banks 48, 636. 79 Due to State banks and bankers.. 1, 616. 86 444,051.77 Dividends unpaid 8,126.67 23, 693. 48 j Individual deposits 7,310.00 j United States deposits 765 20 ! Deposits of U.S.disbursing officers. 59, 069. 90 60,000. 00 Notes and bills rediscounted, Bills payable 2, 250. 00 Liabilities other than those above stated 100, 000. 00 1,413, 804. 58 Total 31,127.27 45,000. 00 178, 854. 43 175. 00 858, 647. 88 1,413,804.58 National Bank of N e w Jersey, N e w Brunswick. LEWIS T. HOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherrealestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 587. H. Gr. PARKER, Catshier. ,126,409.89 I Capital stock paid in 209.44 i 100.000.00 j Surplus fund Undivided profits, less current 33,000.00 I expenses and taxes paid National-bank notes outstanding. 127, 437. 36 State bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. 9, 988. 66 169, 229. 70 Dividends unpaid 1, 787. 86 Individual deposits ""'8,325.'00 United States deposits 276. 49 Deposits of U.S.disbursingofficers. 65, 560. 60 40, 207. 00 N*otes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 1,711,823.63 Total. $250, 000. 00 220, 000. 00 33, 822. 80 90, 000. 00 22, 358. 54 1, 524. 55 1,087.50 1,093,030.24 1,711, 823. 63 People's National Bank, N e w Brunswick. B. F. HOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents.; Checks and othercash itemi Exchanges for clearing house Bills of other national panks Fractionalcurrency, nickels, cents. Specie 1 Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3697. T. E. SCHANCK, Cashier. $311,529.57 ' Capital stock paid in. 70.42 73, 000. 00 I Surplus fund Undivided profits, less current expenses and taxes paid 8,000.00 National-bank notes outstanding. 7, 600. 00 State-bank notes outstanding 43,554. 66 10, 700. 00 Due to other national banks 1,751.88 Due to State banks and bankers.. 1 817.23 25,604.74 Dividends unpaid 7, 702. 98 Individual deposits 2, 770. 00 United States deposits 107. 34 Deposits of U.S. disbursing officers. 16, 347. 50 14, 600. 00 Notes and bills rediscounted. Bills payable 875.00 Liabilities other than those abovo stated 528, 031. 32 Total . $100,000.00 25, 000. 00 9, 081. 80 67, 500. 00 27, 320.95 2, 596.43 296, 532.14 528, 031.32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 663 NEW JERSEY. Merchants' National Bank, Newton. S. H. HUNT, President. No. 876. JOHN C. HO WELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premium s on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Dae from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous' Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fond with Treas. II. S. Due from Treasurer U. S Liabilities. $226, 289.16 68.06 100, 000. 00 40, 000. 00 10 841. 88 45, 046. 30 14,500.00 4,100.00 8,188. 66 150. 00 36, 878. 37 4, 964. 90 Capital stock paid in ! $100, 000.00 Surplus fund | Undivided profits, less current I expenses and taxes paid j National-bank notes outstanding.. j State-bank notes outstanding...., | 12. 744. 45 86, 035.00 Due to other national banks | Due to State banks and bankers..!. Dividends unpaid so.'oo" 257, 804. 27 Notes and bills rediscounted Bills payable Liabilities other than those above stated 509,421. 05 Total. 2, 837. 33 i Individual deposits J 766." 66" United States deposits I 223.07 Deposits of U.S.disbursingofficers. 11, 224. 65 6,150. 00 50,000.00 509,421.05 Total . Sussex National Bank, Newton. No. 925. DAVID E . HULL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total. THEO. MORFORD, Cashier. I Capital stock paid in .. -. $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 27,386.00 National-bank notes outstanding.. 300,135.61 : State-bank notes outstanding 31,182.27 I 8,250.00 i Due to other national banks 11,507.42 Due to State banks and bankers.. j . 20,000.00 I 43,865.59 j Dividends unpaid 2,953.89 | ! Individual deposits 565.00 ' | United States deposits j 79.80 j Deposits of IJ.S.disbursingofiicers. 23,094.25 I 13 990.00 | Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above 962, 215. 73 stated Total . 100, 000. 00 54, 551.45 176, 700. 00 22, 037. 74 727.50 408,199. 04 962, 215. 73 Second National Bank, Orange. A. M. MATTHEWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4724. $293,096.75 CHAS. H. ELY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding.. 19, 272. 50 State-bank notes outstanding 2, 977. 57 Due to otlier national banks Due to State banks and bankers.. 106. 69 28,885. 29 Dividends unpaid 4, 054. 68 Individual deposits j 1,942. 00 United States deposits 314. 81 Deposits of U.S.disbursingofficers. I 11,127.00 10, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 25, 000. 00 $100,000.00 19, 000.00 2,125. 90 22, 000. 00 1, 917.22 243, 859.17 10, 000. 00 Liabilities other than those above stated 398, 902.29 Total . 398, 902.29 664 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Orange National Bank, Orange. CHAS. M. DECKER, Presidmt. No. 1317. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank V Louse, furniture, and fixtures Othe real estate and mortg's owned Du<. from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total J. W. SMITH, Cashier. ! Liabilities. $842,430. 86 1 Capital stock paid in 11.31 ji 87,500.00 Surplusfund Undivided profits, less current !| expenses and taxes paid 1 13, 312 50 I National-banknotes outstanding. 158,313, 53 | State-bank notes outstanding 125,000.00 ji 26,918.34 |i Due to other national banks 9,642.77 ! Due to State banks and bankers 82,422.81 l! Dividends unpaid 3,055.45 |j ij Individual deposits 1,281.00 i! United States deposits 2,271.87 ij Deposits of U.S.disbursing officers. 73,638.00 i 5, 000. 00 |i Notes and bills rediscounted ij Bills pay able 3,937.50 | jj Liabilities other than those above i stated 1,434,735.94 Total $150, 000. 00 150, 000. 00 7, 503. 09 77,580. 00 11, 353. 75 110.00 938,189.10 100, 000. 00 1,434,735.94 Passaic National Bank, Passaic. No. 3572. J. A. WILLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand , Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaloanks. Fractional currency, nickels, cents. , Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Individual deposits 5, 835. 00 United States deposits 394.73 Deposits of U.S.disbursingofficers. 21,498. 50 14,900. 00 Notes and bills rediscounted. $100, 000. 00 30, 000. 00 22, 451. 84 88, 450. 00 14, 311. 04 366.98 39.00 485, 720. 96 Bills payable 4,500. 00 200.00 j Liabilities other than those above stated 741, 339. 82 Total. ROBERT D. K E N T , Cashier. $330,314.53 ji Capital stock paid in 501.59 !! 100,000.00 || Surplus fund Undivided profits, less current 20,000.00 ; expenses and taxes paid 21.525.00 ' National-bank notes outstanding. 94,172.78 ! State-bank notes outstanding 38,000.00 i 11,000.00 j Due to other national banks 286.77 I Due to State banks and bankers.. 76,769.08 ! Dividends unpaid 1,441.84 i •I Total . 741,339.82 First National Bank, Pater son. EDWARD T. BELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous< Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total No. 329. $1, 652, 653. 37 .01 175,000. 00 50, 000.00 WILLIAM G. SCOTT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 25,000. 00 238,611.17 80,150. 74 S Due to other national banks 30,171. 87 j Due to State banks and b a n k e r s . . 6. 843. 07 176^ 509. 22 ! Dividends unpaid 19, 740. 29 Individual deposits 2,040.00 i United States deposits 1,164.85 1 DepositsofU.S.disbursingofficers. $400, 000. 00 300, 000. 00 42, 786. 70 155, 400. 00 100,005.53 9, 786. 37 340. 00 1, 534, 673. 49 45, 000. 00 38. 590. 50 83, 642. 00 ; Notes and bills rediscounted Bills payable "7,'875.'6o" : Liabilities other than those above i stated 2,587,992.09 j! Total 2, 587, 992. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 665 NE W J E R S E Y . Second National Bank, Paterson. JAMES JACKSON, President. No. 810. WILLIAM D. BLAUVKLT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse, furniture, and fixtures Other real estate and mortg's owned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. -I - $722,024.27 i 187.36 I 37,500.00 j Surplus fund Undivided profits, less current expenses and taxes paid 3,750.00 i National-bank notes outstanding. 10,000.00 I State bank notes outstanding 100, 000. 00 23, 093.10 33,100. 00 78,391.88 I j Due to other national banks 16, 384. 53 j Due to State banks and bankers.. 646.45 115, 294. 60 [ Dividends unpaid 54,613.50 Individual deposits 5, 745.00 United States deposits 278.17 DepositsofU.S.disbursingofficers. 20, 070. 00 20,148. 00 Notes and bills lediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated 1, 086, 721.26 Total . $150,000.00 Capital stock paid in. Total 42, 922. 87 125. 00 737, 480. 29 1,086,721.26 Paterson National Bank, Paterson. HENRY C. KNOX, Cashier. No. 4072. $1,128, 347. 42 Capital stock paid in. Loans and discounts $300, 000. 00 260. 73 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 60, 000. 00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand 44, 097. 95 expenses and taxes paid 6, 000. 00 National-bank notes outstanding. Premiums on U. S. bonds 45, 000. 0U 100, 284. 99 State-bank notes outstanding Stocks, securities, etc 134, 300. 00 Bank'ghouse,furniture,andfixtures 83, 687. 66 Other real estate and mortg's owned Due to other national banks 15,910.18 Due to State banks and bankers.. 43, 053.16 Due from other national banks 3, 802. 79 Due from State banks and bankers. 123, 002. 26 Dividends unpaid Due from approved reserve agents. 187. 50 17,018.31 Checks and other cash items Individual deposits 1,091,145. 38 Exchanges for clearing house 9, 560. 00 United States deposits Bills of other national banks 1, 900. 77 Deposits of U.S.disbursing officers. Fractional currency, nickels, cents. 54, 437. 20 Specie '. 20,007. 00 S otes and bills rediseounted Legal-tender notes U. S. certificates of deposit Bills payable 2, 250. 00 Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S 'J. W. GRIGGS, President. stated 1, 667,171. 65 Total . Total 1,667,17].65 Phillipsburg National Bank, Phillipsburg. SAMUEL BOILEAU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furmture,aiidfixture8 Other real estate and mortg's owned Due from othernational banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U- S. Due from Treasurer U. S Total. No. 1239. $468,481. 75 96.99 200, 000. 00 112, 644. 01 8, 000. 00 26, 862.17 54, 954. 84 1,050.44 1, 023. 00 139.40 53, 091. 75 21, 260. 00 9,009. 00 JNO. A. BACHMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Dae to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $200, 000. 00 100, 000. 00 100,130. 68 172.622.00 17, 784. 89 2, 729.18 2, 408. 50 360, 929.10 Notes and bills rediseounted Bills payable Liabilities other than those above stated 956, 604. 35 Total - 956, 604. 35 666 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JE RSEY. First National Bank, Plainfield. CHARLES POTTER, President. N o . 447. F. S. RUNYON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from Statebanksand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels,cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. Capital stock paid in $569,156. 29 2,203. 93 50, 000. 00 $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 800.00 11,111.45 51, 640. 27 5, 547. 46 50, 000. 00 39,180.04 44,127. 50 7,271.33 Individual deposits " "2*365.' ob" United States deposits 820.90 Deposi ts of U.S.disbursing officers. 30, 030. 95 48, 886.00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above 510,872.07 852, 360. 94 Total. Due to other national banks Due to State banks and bankers.. Dividends unpaid 852, 360.94 63,852. 27 12, 756. 42 910.00 stated Total . City National Bank, Plainfield. No. 2243. CHARLES HYDE, Pn Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Chec ks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $358, 691. 62 344.77 40,000. 00 WM. F . ARNOLD, Cashier. Capital stock paid in $150, 000. 00 Surplus fund_ Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 71, 245. 00 41, 500. 00 30, 000. 00 25,928.22 36, 000. 00 Duo to other national banks Due to State banks and bankers.. Dividends unpaid 30, 573. 86 5, 382.83 Individual deposits United States deposits 160. 87 i; DepositsofU.S.disbursingofficers. 21,195. 00 7,918. 00 I Notes and bills rediscounted. ! Bills payable 1, 800. 00 880. 00 Liabilities other than those above stated 386, 730. 51 5, 079. 24 , 29,474.45 85, 308. 48 1,577. f 1 665,175.42 Total . 560.00 665,175.42 First National Bank, Princeton. A. S. LEIGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned Due from other national banks Due from State banks nnd bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption" fund with Treas. U. SDue from Treasurer TJ. S Total. No. 4872. $88, 850.17 329. 99 12, 500. 00 1, 400. 00 "i6,"i66.'66" 55.55 13,164. 43 631.29 57.99 4,192. 75 5, 025. 00 562.50 I 136,869.67 I S. H. BLACKWELL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50, 000. 00 3, 000. 00 1, 970.62 10, 770.00 1, 538. 22 1, 266.43 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicersNotes and bills rediscounted Bills payable 51, 324.40 17, 000. 00 Liabilities other than those above stated Total . 136,869.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 667 NEW JERSEY. First National Bank, Red Bank. No. 445. A. S. PARKER, President. J. L. TERHUNE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer IT. S $357, 883.99 248. 24 25, 000. 00 230, 627. 71 17, 000. 00 14, 686. 63 14, 706.17 208,891. 30 1,934. 94 * 3, 73L 66 106. 86 29,892.50 6, 870. 00 i,"i25."66 Capital stock paid in. 75, 000. 00 134,800.31 22, 500.00 Due to other national banks Due to State banks and bankers Dividends unpaid 24, 050. 40 Individual deposits United States deposits Deposits of U.S.disbursing officers. 556,353.63 Notes and bills rediscounted Bills payable ! Liabilities other than those above stated 912, 704. 34 Total . $100,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 912, 704.34 Total . Second National Bank, Red Bank. J. A. THROCKMORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furn iture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S 75,000. 00 53, 244. 51 19, 000. 00 17, 500. 00 9, 292. 07 18,999.68 93, 728. 28 2, 255. 84 283. 00 30. 257. 00 15, 250. 00 Capital stock paid i n . . $75,000.00 Surplus fond Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 86, 769. 06 67, 500.00 Due to other national banks Due to State banks and bankers.. 34, 266.29 2, 394. 39 75, 000. 00 960. 00 Dividends unpaid Individual deposits i United States deposits \. Deposits oi'TT.S.disbursing officers-i* 526, 583.90 Notes aud bills rediscounted. Bills payable 2, 905. 00 Liabilities other than those above stated 868, 473. 64 Total . I. B. EDWARDS, Cashier, No. 2257. $530, 323. 48 434. 78 Total . 868,473.64 Navesink National Bank, Red Bank. J. S. THROCKMORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand „ Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4535. $196, 413.01 478. 20 12, 500.00 1, 375. 00 13, 986. 50 461. 76 7,631.50 2, 665.17 19, 775. 29 2, 548.17 5, 083. 04 560. 00 2, 485. 00 20, 439. 00 562. 50 286, 964.14 E. L. Co WART, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. 10, 209.82 35.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 2,463. 21 11, 250. 00 116.00 202,890.11 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 286, 964.14 668 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Rutherford National Bank, Rntherford. H . R. JACKSON, President. No. 5005. H . R. HARDEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $46, 996. 33 Capital stock paid in i Capital .stock paid in notcertified.j Surplus fund !. Undivided profits, less current 2,953.12 I expenses and taxes paid 7, 725. 40 ! National-bank notes outstanding. 1, 993. 35 I State-bank notes outstanding 4, 709. 27 I Due to other national banks | Due to State banks and b a n k e r s . . '8*498." 74' ! Dividends unpaid 11, 250. 00 39, 333.75 75. 00 Individual deposits 87.23 ! Uni ted States deposits 3,109. 50 Deposits of U.S-disbursing officers. 1, 394. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other t h a n those above stated 90,604.44 I Total. $35,000.00 4, 340. 00 12,500.00 90, 604.44 Total. City National Bank, Salem. W. T. HILLIARD, President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on hand ' Premiums on U.S.bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other realestate and mortg'sowned! D u e from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3922. $168, 340. 54 47.92 25, 000. 00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,500.00 I National-bank notes outstanding. State-bank notes outstanding 8, 666.00 Due to other national banks 3," 203." 58" Due to State banks and b a n k e r s . . 17,155.17 Dividends unpaid 212. 60 Individual deposits 345. 00 United States deposits 329.77 Deposits of U.S.disbursing officers. 10, 709. 25 3,865. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 240, 633. 83 Total . B I D D L E H I L E S , Cashier. Capital stock paid in. 25, 000. 00 4, 296.79 21,000.00 2, 840..33 192. 50 87, 304. 21 240, 633.83 Total . Salem National Banking Company, Salem. W Y A T T W . MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghoase,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total . No. 1326. $470, 250. 50 41.19 50, 000. 00 1, 000. 00 29, 361. 00 57, 000. 00 6, 935. 98 237. 42 115, 344. 95 830. 62 H . M . RUMSEY, Cashier. Capital stock paid in ; Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000. 00 41, 689. 37 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 5,239.00 Individual deposits 219.30 ! United States deposits j 42,067.50 17,907.00 Deposits of U.S.disbursing officers.j Notes and bills rediscounted j 2, 250. 66 Bills payable j 500. 00 Liabilities other t h a n those above | stated 799,184. 46 $150,000. 00 Total . 2, 319.50 460,175. 79 799,184.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 669 NEW JERSEY. First National Bank, Somerville. No. 395. PETER DEWITT, President. WILLIAM H. TAYLOR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premi urns on U. S. bonds Stocks, securities, etc Bank g house,f urniture, and fixtures Other realestateand mortgs owned Due from other national banks Due from State bauksand bankers Due from approved reserve agents. Checks and other cash items.'. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $301, 937. 72 82.88 25,000. 00 8,061.52 59,609.13 324. 02 659. 00 367. 77 13, 995. 50 25, 040. 00 1,125.00 490.00 679, 544.95 Total . Capital stock paid in. $100, 000. uO Surplus fund Undivided profits, less current "I expenses and taxes paid 2,000. 00 National-bank notes outstanding. 225, 852.41 State-bank notes outstanding 15, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers. 75, 000. 00 50,548. 05 22, 500. 00 17,468.12 270. 00 413, 758. 78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 679,544. 95 Second National Bank, Somerville. No. 4942. JOHN H. LORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniture^ndfixturesj Other real estate and mortg' s owned Due from other national banks I Due from State banks and bankers. | Due from approved reserve agents Checks and other cash items Exchanges for clearing- house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $102, 541. 74 12, 500.09 "i6,'666.*oo 3, 500. 00 " i , " 345* 00 2, 957.25 18,153.75 257.15 100. 00 329.44 9, 704.40 9, 970. 00 562. 50 $50,000.00 Surpluafund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,500.00 2, 417.59 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 606.50 Individual deposits United States deposits Deposits of U.S.disbursing officers. 105,147.14 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 171, 921. 23 Total. A. H. DAYTON, Cashier. Capital stock paid i n . . Total. 171, 921. 23 First National Bank, South Amboy. HARRY C. PERRINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing' house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J O H N W Y C O F F , Cashier. No. 3878. $125,945.10 6.55 49,500.00 10, 000. 00 5, 064. 50 30,430.15 2, 000. 00 970. 24 14.83 20, 025. 79 476. 40 6, 075. 347. 11, 475. 1, 840. 00 09 30 00 2, 227. 50 2G6, 398.45 Capital stock paid in . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 20, 000. 00 4,459.13 43,800.00 Due to other national banks Due to State banks and bankers. . Dividends unpaid 1, 640.13 2,494. 08 Individual deposits United States deposits Deposits of U.S. disbursing officers. 143, 944.11 61.00 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 266, 398.45 670 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Swedesboro National Bank, Swedesboro. I . H . VANNEMAN, President. No. 2923. J N O . C. RULON, Cashier. Resources. Liabilities. Loans and discounts | $130, 662. 54 ! Capital stock paid in. Overdrafts | 6. 92 ! U. S. bonds to secure circulation.. ,\ 13, 250. 00 Surplus fund U. S. bonds to secure deposits | I Undivided profits, less current U. S. bonds on hand | ! expenses and taxes paid Premiums on U. S. bonds National-bank notes outstanding. Stocks, securities, etc | 30,082.80 State-bank notes outstanding Bank'ghouse,furniture,and fixtures 7,000.00 I Other real estate and mortg's owned! 4, 500. 00 ; Due to other national banks. Due from other national banks j 3, 500. 35 j Due to State banks and bankers.. Due from State banks and bankers ! Due from approved reserve agents. 50,147.91 \ Dividends unpaid Checks and other cash items ! 25.00 j Exchanges for clearing house ' Individual deposits ] Bills of other national banks '. j United States deposits Fractional currency, nickels, cents.! 68. 28 j Deposits of U.S.disbursingofficers. Specie ! 10, 747.50 ! Legal-tender notes ] 110. 00 j | Notes and bills rediscounted. U. S. certificates of deposit I ! Bills payableRedemption fund with Treas. U. S. I 596. 25 Due from Treasurer U. S Liabilities other than those above stated Total . 250,697.55 Total . $53, 000. 00 25, 000. 00 3, 869. 56 11, 925. 00 4,515.21 5, 741. 65 138, 646.13 8, 000. 00 250, 697.55 First National Bank, Toms River. JOHN AUMACK, President. Loans and discounts I Overdrafts U. S. bonds to secure circulation... j U . S . bonds to secure deposits j U. S. bonds on hand \ Premiums on U. S. bonds ! Stocks, securities, etc j Bank'ghouse^urniture.andfixturess Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house i Bills of other national banks I Fractional currency, nickels, cents - j Specie Legal-tender notes | U. S. certificates of deposit ' Redemption fund with Treas. U . S . ! Due from Treasurer U. S ! Total . WILLIAM A. Low, Cashiei. No. 2509. $61,549.19 Capital stock paid in. $50,000.00 590. 04 50, 000. 00 ! Surplus fund 50, 000. 00 Undivided profits, less current | 100.00 expenses and taxes paid i 16, 074. 92 11. 00 National-bank notes outstanding.) 44,120. 00 223,562.20 • State-bank notes outstanding ! 1,250.00 : Due to other national banks i 6,065. 74 305. 31 | Due to State banks and bankers.. 651. 32 152. 40 j 80, 744.13 I Dividends unpaid 350. 00 305. 00 ] Individual deposits 286, 333. 45 1, 935. 00 United States deposits 1. 41 Deposits of U. S.disbursing otficers 13, 644. 75 17,195. 00 Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 453,595. 43 Total . 453, 595.43 First National Bank, Trenton. CHAS. WHITEHEAD, Cashier. No. 281. $1, 026, 572. 57 Capital stock paid in. Loans and discounts $500,000.00 469.11 Overdrafts 50,000. 00 Surplus fund U. S. bonds to secure circulation... 250, 000. 00 50, 000. 00 Undivided profits, less current U.S. bonds to secure deposits expenses and taxes paid 56, 614.02 U. S. bonds on hand National-bank notes outstanding. 44,500. 00 Premiums on U. S. bonds 105,573.72 State-bank notes outstanding Stocks, securities, etc 37, 000. 00 Bank'ghouse,furniture, and fixtures 36, 825. 00 Due to other national banks Other real estate and mortg's owned 68,487. 70 49, 006. 94 Due from other national banks 10, 658.13 3, 581. 61 Due to State banks and bankers . Due from State banks and bankers. 172, 843. 23 Dividends unpaid Due from approved reserve agents. 3, 947. 49 Checks and other cash items j Individual deposits j Exchanges for clearing house 615, 013.21 j Bills of other national oanks 7, cii.'oo" i United States deposits 4, 037. 51 Fractional currency, nickels, cents. 38, 857. 98 238.88 | Deposits of U.S.disbursing otficers. j Specie 27, 600. 00 Legal-tender notes 14, 619. 00 Notes and bills rediscounted. | Bills payable U.S. certificates of deposit 2,250.00 Redemption fund with Treas. U.S. Due from Treasurer U. S Liabilities other than those above I stated ! J. H. SCUDDER, President. Total 1,588,168.55 Total 1,588,168.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 671 NEW JERSEY. Broad Street National Bank, Trenton. J . Y. LANNING, President. No. 3709. ROBERT J . BRACE, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures! Otherrealestateand mortg's owned Due from other national banks Due from State banks and banker*. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S Total. Liabilities. $587,214.86 ji Capital stock paid in 216.53 ' 50, 000. 00 Surplus fund....' Undivided profits, less current expenses and taxes paid 4,500.00 1 National-bank notes outstanding. 1 10,947.79 li State-bank notes outstanding.. 30,385.00 !| 15,145.00 || Due to other national banks 10,987.50 !| Due to State banks and bankers.. 6,212.79 i 32,770.10 1 Dividends unpaid 1 3.185.71 ! Individual deposits 2,050.00 ii United States deposits 1,457.39 | DepositsofU.S.disbursingomcers 38,138.50 !| 12,000.00 1 Notes and bills rediscounted. 1 Bills payable 2,250.00 ! Liabilities other than those above stated 807,461.17 Total. $250, 000.00 50, 000. 00 18, 089.17 43,060.00 30, 586. 51 1, 903. 64 373, 221. 85 40, 000. 00 807,461.17 Mechanics' National Bank, Trenton. S. P . DUNHAM, President. No. 1327. V M . W. STELLE, Cashier. Loans and discounts $1,333,747.82 i Capital stock paid in j $500,000.00 Overdrafts 15.97 ! 50,000.00 i Surplus fund U. S. bonds to secure circulation... \ 250, 000.00 U. S. bonds to secure deposits Undivided profits, less current j IT. S. bonds on hand 109,844.05 expenses and taxes paid i Premiums on U. S. bonds 44,480. 00 National-bank notes outstanding Stocks, securities, etc 415, 688. 65 State-bank notes outstanding... Bank'g house, furniture, and fixtures 60, 000. 00 Other real estate and mortg's owned 21, 700. 00 Due to other national banks 399,591.64 Due from other national banks 115, 737. 39 Due to State banks and bankers.. 1, 764. 51 Due from State banks and bankers. 9,174.67 Due from approved reserve agents. 295, 644.26 Dividends unpaid 9,921.82 Checks and other cash irems Exchanges for clearing house Individual deposits 1, 087, 217. 73 6,916. 00 United States deposits Bills of other national banks 1,940. 35 Deposits of U. S.disbursingofficers Fractional currency, nickels, cents. 57, 344. 00 Speci e 12, 817. 00 Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit Bills payable "2," 250." 66" Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S stated Total. 2, 392, 897.93 Total . 2,392, 897. 93 First National Bank, Vincentown. ¥ M . J. IRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,ancUixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reser\ e agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U . S . ! Due from Treasurer U. S Total. SAMUEL O. ROSS, Cashier. No. 370. $113, 563.92 i Capital stock paid in. $100, 000.00 58. 90 25, 000. 00 I Surplus fund 16, 000.00 I Undivided profits, less current | expenses and taxes paid 2, 731.01 2. 500.00 j National-bank notes outstanding. 22, 500. 00 42, 982. 50 j State-bank notes outstanding 8, 583.44 ! j Due to other national banks 3, 674. 29 1, 725.86 jj Due to State banks and bankers.. 14, 886.81 j Dividends unpaid. 241. 87 Individual deposits 2, 080. 00 United States deposits 83. 08 Deposits of U.S.disbursing officers. 6, 300. 00 - 1,000.00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated 220,131. 38 Total. 75, 226. 08 220,131.38 672 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W JERSEY. Vineland National Bank, Vineland. MYRON J . KIMBALL, President. C. H. ANDERSON, Cashier. No. 2918. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . IT. S. bonds to secure deposits $137,654. 66 45. 53 12, 500. 00 Premiums en U.S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 000. 00 81,450.00 6, 500. 00 1, 850. 00 4, 213. 50 8, 987. 21 622. 74 190. 00 505.39 11,321.00 5, 835. 00 562. 50 Due to other national banks Due to State banks and bankers Dividends unpaid 25, 000.00 5, 268. 08 10,110. 00 584. 35 282. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers- 181, 993.10 Notes and bills rediscounted Bills payable Liabilities other than those above s t ated Total 273, 237. 53 Total $50, 000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 273, 237.53 First National Bank, Washington. P. H. HANN, President. No. 860. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $206,137. 90 100,000.00 122,864. 04 16, 500. 00 7, 894. 34 43, 553. 07 880.09 166. 00 215. 38 21. 273. 95 7,103. 00 4, 500. 00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000.00 16, 821.51 89, 995. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 31, 732.07 Individual deposits United States deposits I Deposits o f U. S. d is bur sin g officers. 217, 514.19 25.00 Notes and bills rediscounted. Bills payable Liabilities othe* than those above stated 531, 087. 77 Total. W M . S. RITTENHOUSE, Cashier. Capital stock paid in. 531,087. 77 Total . First National Bank, Westfield. No. 4719. A. D. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $100,157. 55 37.46 12, 500. 00 1, 250. 00 29*568.66 11, 365. 98 290.93 155. 329. 3, 914. 755. 00 13 20 00 562. 50 160,885.75 J. R. CONNOLY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50, 000.00 6,687.41 10, 750. 00 2,508.90 Dividends unpaid.. Individual depositsUnited States deposits Deposits of U. S.disbursing officers 90 939.44 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 160, 885.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 673 NEW JERSEY. First National Bank, Woodbury. CHARLES C. JESSUP, President. J. F . GRAHAM, Cashier. No. 1199. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stock s, securities, etc Ban k g house, furniture, and fixtures Otherreal estateand mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $286,434.67 5.27 50,000.00 52, 380. 00 35, 000. 00 11,345.79 96,'671. 34 1, 743. 00 529.10 47, 690. 03 9,100. 00 Capital stock paid in. 100, 000.00 Due to other national banks Due to State banks and bankers.. 21,299.88 7, 632. 23 Dividends unpaid Individual deposits United States deposits | Deposits of U.S.disbursing officers. I 13, 654.63 44, 300. 00 747. 00 305, 515. 46 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 593,149.20 Total . $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . '3,149.20 * Farmers and Mechanics' National Bank, "Woodbury. J . L. REEVES, President. No. 3716. H. S. TALMAN, Cashier. Loans and discounts $254,370.58 Capital stock paid in j $100,000.00 Overdrafts I 35.07 | U. S. bonds to secure circulation...! 25, 000.00 Surplusfund 45,000.00 U. S. bonds to secure deposits | Undivided profits, less current | 9, 894. 92 expenses and taxes paid > U. S. bonds on hand 22,500. 00 Premiums on U. S. bonds j 2, 500.00 National-bank notes outstanding, j Stocks, securities, etc j 36,682.50 State-bank notes outstanding Bank'ghouse,furniture,and fixtures 27, 000.00 6, 241. 75 Due to other national banks j Other real estate an d mortg's owned 29.25 Due from other national banks 456. 02 Due to State banks and bankers..i Due from State banks and bankers J 135. 00 49, 245. 30 Dividends unpaid Due from approved reserve agents. 1,875.00 Checks and other cash items 238, 200. 86 Exchanges for clearing house • Individual deposits ! j Bills of other national banks j 2,500. 00 United States deposits Fractional currency, nickels, cents - j 323.81 Deposits of U.S.disbursingotficers.! Specie * j 15, 948. 50 Legal-tender notes j 5,000.00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit ! Redemption fund with Treas. U.S.! 1,125. 00 Liabilities other than those above j Due from Treasurer U. S ! stated ' Total . 422,061. 78 Total. 422,061.78 First National Bank, Woodstown. JAMES BENEZET, President. Loans and discounts Overdrafts XL S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand. Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency,niekels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total http://fraser.stlouisfed.org/ CUR. PT 2 - -43 Federal Reserve Bank of St. Louis No. 399. $302, 818. 71 96.43 75, 000. 00 64,746. 61 24, 700. 00 7,446. 03 13, 854. 25 2,112.91 2,435. 00 531.93 18, 923. 75 739.00 WILLIAM Z. FLITCRAFT, Cashier. Capital stock paid in $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000.00 Due to other national banks Due to State banks and bankers.. 675. 00 18,421.65 67, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 205.182. 97 Notes and bills rediscounted. Bills payable 3, 375. 00 Liabilities other than those above stated 516, 779. 62 Total. 516, 779. 6 680 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEW YORK. Orleans County National Bank, Albion. CHARLES E. HART, President. No. 1509. J. W. CORNELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie *. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $179,207.14 377.47 25,000.00 50,975.00 10,000.00 5, 300. 00 20,496. 78 29,823.78 45,164.14 2,632.13 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 59,652.89 21,360.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 21.48 2,115. 57 Individual deposits 50.00 United States deposits 228.85 , Deposits of U.S.disbursing officers 27,325.50 11,014. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 205, 569. 85 408, 719. 79 Total. 408,719. 79 First National Bank, Amenia. No. 706. GEO. H. SWIFT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc B.ink'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N. HEBARD, Cashier. $165,907.47 i Capital stock paid in. 303.96 100,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 15, 000. 00 9, 000.00 National-bank notes outstanding. 7,100. 00 State-bank notes outstanding 10, 454. 00 10,500.00 | Due to other national banks 6, 671.18 Due to State banks and bankers.. 6,033.22 52,236.79 Dividends unpaid 596.41 Individual deposits 2, 272. 00 United States deposits 200.24 Deposits of U. S.disbursing officers. 11,717.75 Notes and bills rediscounted. 1,000.00 Bills payable 4, 500. 00 Liabilities other than those above stated Total. 403, 493. 02 $100,000. 00 30, 000. 00 12, 909.84 84, 030. 00 28, 913. 99 202.47 147, 436. 72 403,493.02 First National Bank, Amsterdam. JAMES A. MILLER, President. Loans and discounts : Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U". S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1307. T. H. BENTON CRANE, Cashier. $395,498.41 Capital stock paid in. 421.47 ! 32,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3, 000. 00 State-bank notes outstanding 15, 000. 00 Due to other national banks 2,467. 84 Due to State banks and bankers.. 2, 450.10 111,863.09 Dividends unpaid 1, 670.73 Individual deposits " 25,136.00 United States deposits 935. 60 Deposits of U.S.disbursingofficers. 43,104.46 29, 265. 00 Notes and bills rediscounted. Bills payable 1, 440, 00 Liabilities other than those above $125,000. 00 25, 000. 00 23, 360. 97 28, 800. 00 8, 613. 23 2, 502. 29 1,065.00 449,911.21 stated 664, 252. 70 Total - 664, 252.70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 681 NEW YORK. Amsterdam City National Bank, Amsterdam. STEPHEN SANFORD, President. No. 4211. M. VAN BUREN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X S. bonds to secure deposits L U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $561, 447. 45 514.71 50, 000. 00 5, 000. 00 10, 500. 00 10, 828. 55 1,014.83 102,321. 55 i, 595. 26 2,199. 00 104. 07 32, 253. 50 33, 255. 00 $200,000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Dae to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Liabilities other than those above stated Total . No. 1335. Total . 4,188.00 417,410. 62 Notes and bills rediscounted. Bills payable 816, 284.52 Farmers' National Bank, Amsterdam. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. SDue from Treasurer U. S 122.18 414. 37 2, 250. 00 816, 284. 52 JOHN KELLOGG, President. 40,000. 00 111, 869. 35 42,280.00 \ F. S. VAN DERVEER, Cashier. $451, 300. 80 j Capital stock paid in I 181.20 195, 000. 00 [ Surplus fund I Undivided profits, less currentexpenses and taxes paid 81, 450. 00 National-bank notes outstanding. 50, 500. 00 State-bank notes outstanding 10, 000. 00 Due to other national banks 33,387.77 I Due to State banks and bankers.. 1,376.08 146, 098. 20 Dividends unpaid 2, 249. 91 Individual deposits 846. 00 United States deposits 958. 32 Deposits of U.S.disbursingoflicers. 44, 254. 05 63, 035. 00 Notes and bills rediscounted. Bills payable 8,775. 00 Liabilities other than those above $200,000.00 40, 000.00 249,310. 31 171, 400.00 5, 614.68 4, 247. 50 418, 839.84 stated 1,089,412.33 Total 1, 089,412.33 First National Bank, Andes. DAVID BALLANTINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 302. $35, 747. 53 44.55 60,000. 00 4", 694.12 2,000.00 7, 408. 67 568.00 221. 25 800. 00 4, 500.00 J A S . F . SCOTT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 20, 041.30 825. 61 54, 000. 00 Due to other national banks..... Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 19, 816. 71 Notes and bills rediscounted. Bills payable 9. 50 Liabilities other than those above stated 154, 683. 62 Total . 154, 683. 62 682 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEW YORK. Cayuga County National Bank, Auburn. No. 1345. J. E. STOBKE, President. F . G>. J O N E S , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. u. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $608,078.71 49.22 50,000. 00 50. 000. 00 7, 000. 00 214,108.14 20, 000. 00 5. 094.70 7,803.61 84, 642. 86 4, 264. 04 2,468,00 770.79 27,232. 00 10,000. 00 2. 250. 00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 75 t 000.00 9, 024.51 45, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 20, 649. 75 181. 42 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 743, 906.39 Notes and bills rediscounted. Bills payable Liabilities other than those above stated ! 1, 093,762. 07 Total 1,093, 762. 07 National Bank, Auburn. E. H. AVERY, President. Loans and discounts Overdrai'ts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc Bank'g house,f urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ' No. 1350. G. B. LONGSTREET, Cashier. $566,571.99 Capital stock paid in I $200,000. 00 703. 28 50, 000. 00 Surplus fund 40, 000. 00 Undivided profits, less current expenses and taxes paid 25, 538.44 National-bank notes outstanding. 39, 510.00 56, 625. 00 State-bank notes outstanding 25, 000. 00 11, 201.64 Due to other national banks 4, 763. 99 7, 027. 22 77.85 47, 728. 38 Due to State banks and bankers.. 62.858.18 Dividends unpaid 225. 00 1, 827. 24 Individual deposits 586, 994. 21 i7,233.00" United States deposits 351. 56 Deposits of U.S.disbursing officers. | 43, 047. 00 1,685.00 Notes and bills rediscounted -. Bills payable 2, 250. 00 Liabilities other than those above stated 897,109.49 Total. Total . 897,109.49 First National Bank, Aurora. N. LANSING ZABRISKIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Sp3cie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 412. $52, 360.13 481.02 50,000.00 9, 000. 00 500.00 105,480.00 1,500.00 570. 34 29, 464. 45 285.15 725. 00 17.13 5, 934. 50 500. 00 "2," 250. 00 ALLEN MOSHER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. $50, 000. 00 50, 000. 00 15, 908. 37 45, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 1,187.61 Individual deposits United States deposits Depositsof U.S. disbursing officers. 96,941.74 30.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 259, 067. 72 Total. 259, 067. 72 REPORT* OF THE COMPTROtLEfc OF THE CURRENCY. 683 NEW YORK. Babylon National Bank, Babylon. No. 4906. W. F . NORTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. E. HAWKINS, Cashier. Liabilities. Capital stock paid in. """£2,566.66 Surplusfund Undivided profits, less current expenses and taxes paid 1,375.00 National-bank notes outstanding. 11,655. 00 State-bank notes outstanding $100,787.43 $50, 000.00 6, 500.00 684.43 11,250.00 1, 300.00 13, 384. 28 38,195. 93 1,128.18 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 120, 563. 94 Bills payable Liabilities other than those above stated Total . 190,387.11 1,500. 00 United States deposits 137, 29 Deposits of U.S.disbursing officers. 5, 361. 50 2,500. 90 Notes and bills rediscounted 562.50 190, 387.11 163.50 1,225.24 First National Bank, Bainbridge. No. 2543. J". K. WETMORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand.. . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnitare,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total $104,394.15 12.14 25,000. 00 R. W. KIRBY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 744. 01 National-bank notes outstanding. 52, 300.00 State-bank notes outstanding..... 1, 000. 00 Due to other national banks 348.75 Due to State banks and bankers.. 74.68 5, 721. 35 602. 38 40.00 151.38 6, 798.30 2,274.00 1,125.00 200, 586.14 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total $50,000.00 7, 800. 00 5, 984.08 22,500.00 15, 081. 24 99, 220. 82 200, 586.14 First National Bank, Baldwinsville. RICHARD L. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousejfurniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 29: $168,388.13 504.17 25, 000. 00 3,025. 00 5, 246.50 2,083.41 1,461.14 859. 93 11,829. 76 1, 330. 56 3,933. 00 64.97 471.50 5,000. 00 1,125.00 230, 323.07 WALTER MCMULLIN, Cashier. Capital stock paid in. Surplu s fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 883. 81 1, 835.86 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 33,640.36 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 20, 000.00 35,087.95 22, 500. 00 15,000. 00 375.09 230, 323. 07 684 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Ballston Spa. No. 954. GEO. WEST, President. S. C. MEDBERY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds StocU s, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer U. S Total. $407,393.10 133. 63 100,000.00 20,000.00 4,610. 72 2, 322.18 39, 753.79 3, 280. 85 4, 250. 00 170. 58 30,789. 60 550.00 4,500.00 1,100.00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 100,000.00 7,870. 69 90,000.00 4.48 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers 320,979. 28 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 618,854.45 618, 854.45 Ballston Spa National Bank, Ballston Spa. GEO. L. THOMPSON, President. No. 1253. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous Bills of other nationalIbanks Fractional currency, nickels.cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $560, 750.81 1,240. 75 100, 000.00 61, 000. 00 3, 000.00 53, 852. 51 767. 54 670.00 323.01 16, 005.00 12, 821. 00 4, 500.00 THOS. KEBLEY, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S .disbursing officers. 30, 000. 00 100, 219.03 88, 500. 00 596.80 495,615. 78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 814,931.61 814, 931.61 First National Bank, Batavia. L. C. MCINTYRE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 340. $335, 473.35 1,156.30 50,000.00 1,100. 00 42,574.05 1, 300.00 33, 459.16 480. 89 3,442. 29 10,188. 08 4,146. 64 580. 00 119.29 29,582.00 J . L. BIGELOW, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 20,000.00 10, 608.39 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 366. 25 927. 55 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 338, 949.86 Notesand bills rediscounted. Bills payable 2, 250.00 515,852. 05 Liabilities other than those above stated Total . 515, 852. 05 REPORT OF THE COMPTROLLER OF THE CURRENCY. 685 NEW YORK. First National Bank, Bath. No. 165. HENRY H. COOK, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds ou hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate andniortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house.. Bills of other national Danks Fractional currency, nickels, cent*. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. W. ALLEN, Cashier. Liabilities. $164,669.48 Capital stock paid in. 6,718.06 j 25,000.00 i Surplus fund. Undivided profits, less 9. 000. 00 13, 588. 52 653.78 1, 799. 31 17, 633. 79 7,532.49 1. 692. 00 7,702.00 1,125. 00 $50, 000. 00 20 000 0C current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 21, 409. 07 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits j United States deposits J DepositsofU.S.disbursingofficers. i Notes and bills rediscounted Bills payable ; j 133, 205. 36 10, 000.00 Liabilities other than those above I stated ' 257,114.43 Total. 257,114.43 First National Bank, Binghamton. F . T. NEWELL, President. Loans and discounts j Overdrafts { U. S. bonds to secure circulation... | U. S. bonds to secure deposits j TJ. S. bonds on hand I Premiums on U. S. bonds I Stocks, securities, etc I Bank'ghouse,furniture,andfixtures| Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S JOHN MANIER, Cashier. No. 202. j $200,000.00 Capital stock paid in. Surplus fund 50,000.00 Undivided profits, less current expenses and taxes paid 64, 585.91 13, 000. 00 National-bank notes outstanding. 90, 000. 00 6, 500. 00 State-bank notes outstanding $756,397.54 ! 8,407.68 ! 100, 000.00 50, 000.00 40, 000. 00 5, 664,70 67, 260. 29 Zl, 683.62 94, 942. 38 1,350.77 1, 200. 44 745. 00 126. 00 44. 928. 50 21,212.00 4, 500. 00 1,237,918.92 Total. Due to other national banks Due to State banks and bankers. Dividends unpaid 59, 686. 90 17, 087.30 Individual deposits United States deposits Depositsof U.S.disbursing officers. 711, 558.81 45,000.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 1,237,918.92 City National Bank, Binghamton. JOHN B. VAN NAME, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks..... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. HARTWELL MORSE, Cashier. No. 1189. $200,000.00 Capital stock paid in . Surplus fund 40,000.00 Undivided profits, less current expenses and taxes paid 6, 286. 35 National-bank notes outstanding. 44, 597.50 State-bank notes outstanding $374,914.25 .13 50, 000. 00 30, 000.00 25, 042. 30 28, 740. 70 3,719.17 75,541. 24 564. 23 1, 994. 05 111.08 30,465.15 14, 600. 00 2, 250.00 10.00 637,952. 30 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States depositsDeposits of U.S.disbursing officers. 4, 572. 69 39, 908. 39 99. 76 302, 487. 61 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 637,952.30 686 REPORT OF THE COMPTROLLER OF THE CURRENCY. ]*E W Y O R K . First National Bank, Boonville. J . R. THARRATT, President. No. 2320. E. C. D O D G E , Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Tbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $127,190.86 2, 099. 03 25, 000.00 2,850. 00 67,425. 93 7, 000. 00 j $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid .National-bank notes outstanding. | State-bank notes outstanding [ Capital stock paid in 8, 500.00 Due to other national banks I Due to State banks and bankers.. j " 52," 938." 55' Dividends unpaid j 802.02 ! Individual deposits | 3,151. 00 United States deposits I. 60. 19 Deposits of U. S. disbursing officers. j . 15, 255. 00 1, 275.27 2,000.00 1,125.00 1,138.01 22, 500. 00 1, 612.07 474. 80 198, 948. 57 1 N o t e s a n d bills r e d i s c o u n t e d Bills p a y a b l e !. |. Liabilities other than those above 308,173. 45 Total. Cashier. Liabilities. stated Total. 308,173.45 First National Bank, B re water. CHARLES DENTON, President. FRANK W E L L S , Cashier. N o . 2225. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $100, 000.00 $174,138.47 I Capital stock paid i n . .65 55,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 6,000. 00 National-bank notes outstanding. 140,000.00 i State-bank notes outstanding. 15,000.00 i Due to other national banks 152.02 Due to State banks and bankers.. 64, 520. 86 Dividends unpaid 1,598.10 Individual deposits 8,230. 00 United States deposits 144. 28 Deposits of U.S.disbursingofficers. 18,725. 00 Notes and bills rediscounted. Bills payable 2,475.00 Liabilities other than those above 485, 984.38 stated -• Total. 20, 000. 00 10, 556.45 49, 500. 00 13, 454.16 3, 571. 92 288, 901.85 485, 984.38 First National Bank, Brockport. GEORGE C. GORDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbou8e,furniture,and fixtures Other real estate and tuortg's owned Due from other national banks ' Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 382. $105,995. 69 1,930.65 12, 500. 00 10, 000.00 4, 600. 00 132.13 15,061.82 12, 917. 02. 749. 07 419. 00 76.00 1, 980. 56 2, 500. 00 H. A. METCALF, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50,000.00 10,000.00 4,385.25 11,250. 00 98.79 420.97 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 9.43 Notes and bills rediacounted. Bills payable 562.50 Liabilities other than those above stated 19, 424.44 Total . 169,424.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 687 NEW YORK. First National Bank, Brooklyn. No. 923. J. G. JENKINS, President. W. A. FIELD, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts U. S. boDds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S bonds j j Stocks, securities, etc j Bank'g house, furniture, andfixtures| Other real estate and mortg s ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer II. S Total ; $3, 917, 338.93 Capital stock paid in 58.25 75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 000. 00 National-bank notes outstanding 1, 652,905.48 State-bank notes outstanding 93, 000. 00 Due to other national banks 20, 000. 00 4, i.6O Due to State banks and bankers.. 38, 880. 81 283, 922. 77 Dividends unpaid 13, 044.59 199, 371.22 Individual deposits 35, 731.00 Certified checks 1, 471.69 United States deposits 331 788.15 Deposits of U S.disbursing officers. 826, 572. 00 Notes and bills rediseounted. 450, 000. 00 Bills payable 3, 375. 00 Liabilities other than those above stated Total . 7,951,729.49 $300,000.00 800, 000.00 85,973. 32 67, 500. 00 130, 766.16 70, 820. 78 1, 648. 00 6,478, 931. 00 16, 090. 23 7,951,729.49 Manufacturers' National Bank, Brooklyn. JOHN LOUGHRAN, President. No. 1443. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $1, 590, 315. 55 220. 56 250, 000. 00 532,125.00 20, 000. 00 63,138. 00 14, 503. 26 958, 898. 94 20,975. 21 29,830. 00 895. 75 144,458. 78 208,190. 00 11,250.00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediseounted. Bills payable $252, 000.00 290, 000. 00 23, 596. 91 225, 000. 00 11,152.84 1, 922. 54 5, 080. 80 3,019, 225.63 16, 322. 33 Liabilities other than those above stated Total. 3,844, 301. 05 Total . T. C. DISBROW, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 3, 844, 301. 05 Nassau National Bank, Brooklyn. THOMAS T. BARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 658. $2,537,164.41 200.91 67, 000. 00 100, 000.00 13, 000. 00 52,110. 02 22, 264. 79 7, 448.63 332, 988.40 13, 315. 50 152, 997.49 79, 674.00 18, 983. 00 208,000. 00 3,015.00 3,608,162.15 EDGAR MCDONALD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, oooToo Due to other national banks Due to State banks and bankers.. 14, 985. 02 5, 472. 52 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers. 300, 000.00 271,165. 97 56, 450. 00 1,846.00 78.00 2, 564, 923. 05 3, 727.15 41, 517.58 47, 996.86 Notes and bills rediseounted. Bills payable Liabilities other than those above stated Total 3,608,162.15 688 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National City Bank, Brooklyn. No. 1543. CHAS. T. YOUNG, President. D. L. HARRIS, Cashier. Resources. Liabilities. Loans and discounts ! $1,948,597.83 Capital stock paid in I $300,000.00 361.10 Overdrafts j j 600,000.00 100, 000. 00 Surplusfund U. S. bonds to secure circulation...| i Undivided profits, less current i U. S. bonds to secure deposits i expenses and taxes paid j 73,954. 85 U. S. bonds on hand I National-bank notes outstanding.; 90,000.00 Premiums on U. S. bonds i 473, 801. 25 State-bank notes outstanding Stocks, securities, etc | 300. 000. 00 Due to other national banks Bank'ghouse,furniture,and fixtures ! 45, 006. 56 52, 500.00 Other real estate and mortg's owned 3,879.40 22,415. 96 Due to State banks and bankers.. j Due from other national banks 2, 677. 49 Dividends unpaid Due from State banks and bankers. 120.00 684,829. 79 Due from approved reserve agents. 3. 770. 75 ! Individual deposits Checks and other cash items I 2, 992,303.57 146! 675. 82 Certified checks Exchanges for clearing house j 26, 054. 07 91, 513.00 United States deposits Bills of other national panks ; 1, 400. 96 j Deposits of U.S.disbursing officers. | Fractional currency, nickels, cents. 97,024. 50 Specie 201, 250. 00 | Notes and bills rediscounted \ Legal-tender notes U . S . certificates of deposit Bills payable Redemption fund with Treas. U. S. 4, 500. 00 Liabilities other than those above Due from Treasurer U. S stated Total. Total . 4,131,318.45 4,131, 318. 45 Sprague National Bank, Brooklyn. No. 2976. N. T. SPRAGUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owued Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer II. S $674,427.12 1, 228. 32 150,000. 01) 14, 250. 00 85, 731. 92 30, 500. 00 " 10,'746.'08 11, 046.32 233, 045.46 3, 648. 69 31, 527. 09 234.94 82, 521. 55 7,000.00 6, 750.00 $200, 000. 00 160, 000.00 Due to other national banks i Due to State banks and bankers.. i Dividends unpaid | Individual deposits ; Certified checks United States deposits '. Depositsof U.S.disbursing officers. . Notes and bills rediscounted Bills payable Liabilities other than those above stated 48,440. 83 188,369.79 90.00 588, 215.16 3,433.81 1, 342, 657.49 Total. W. R. BUNKER, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding Total 19,107. 90 135, 000. 00 1,342,657.49 Third National Bank, Buffalo. CHARLES A. SWEET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 850. , 990,366. 72 8,281.49 75,000.00 100, 003. 00 "26,660.06 9, 520. 30 5, 000. 00 152,580.87 22, 304. 38 21, 697.80 104,796.58 30, 845.63 24, 722.10 24,923. 00 180. 25 88, 572.50 50, 000. 00 3, 375.00 2,732,166. 62 NATHANIEL ROCHESTER, Cashier. Capital stock paid in. $500, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 325, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 113,146.12 200,356. 04 Individual deposits United States deposits Deposits of U.S.disbursing officers 1,404, 731. 35 15,935.58 74, 064.42 29, 933.32 67,500.00 30.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 469. 79 2, 732,166. 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 689 NEW YO R K . Columbia National Bank, Buffalo. JOSIAH JEWETT, President. No. 4741. CLIFFORD HUBBELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for oiearing house Bills of other national b a n k s . . . Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $588,109.81 339. 56 150,000.00 Capital stock paid in $200, 000. 00 Surplus fund 6, 000, 00 Undivided profits, less current 8, 274. 47 expenses and taxes paid 15, 725. 00 National-bank notes outstanding. 135, 000. 00 283, 000. 28 State-bank notes outstanding 8, 000. 00 20, 501.11 Due to other national b a n k s . . . . . . ! 40,100. 21 14, 923. 47 Due to State banks and b a n k e r s , . ! 291, 926. 73 7,124.62 139, 086.10 Dividends unpaid 3, 887. 90 8, 286. 02 Individual deposits 645, 085.49 2, 000. 00 United States deposits 121.03 Deposits of U.S.disbursingofficers.'......„ , 66, 532. 00 12, 000. 00 Notes and bills rediscounted. Bills pay able G, 750. 00 Liabilities other than those above stated Total . 1,326,386.90 j 1, 326, 386.90 Cambridge Valley National Bank, Cambridge. D. M. WESTFALL, President. No. 1275. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand | Premiums on U. S. bonds ! Stocks, securities, etc j Bank'g house, furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items ! Exchanges for clearing house j Bills of other national banks [Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S paid in. $50,000.00 , 25, 000. 00 | Undivided profits, less current I expenses and taxes paid | National-bank notes outstanding. State-bank notes outstanding 1,170.40 45,000.00 Due to other national banks Due to State banks and bankers.. 1,176.68 1,051.16 8, 000. 00 3, 886.40 33, 297.17 71.65 1, 918. 00 104.18 7, 961. 00 4, 000. 00 Dividends unpaid 855.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 101, 023. 50 Notes and bills rediscounted. Billspayable 2, 250. 00 Liabilities other than those above stated Total. 225, 276. 74 Total . A. G. TAYLOR, Cashier. $113, 772. 91 ; Capital stock 15.43 50, 000. 00 j Surplus fund 225,276. 74 First National Bank, Camden. D. G. DOREANCE, President. Loans and discounts | Overdrafts i TJ. S. bonds to secure circulation...' TJ. S. bonds to secure deposits \ U. S. bonds on hand ! Premiums on TJ. S. bonds Stocks, securities, etc Bank'g ho use, furniture, and fixtures Other real estate and mortg's owned jDue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2448. $121,704.82 768. 82 50, 000. 00 1, 598.59 50, 337. 50 2, 885. 27 J . G. DORRANCE, Cashier. Capital stock paid in. Due to other national banks 249.14 59.83 12,503. 67 150. 52 ""sih'.bo 133. 86 7,999.00 7, 019. 00 2, 250. 00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid N"ational-bank notes outstanding. State-bank notes outstanding 15, 000. 00 8, 281. 48 45, 000. 00 ' 192.16 Individual deposits United States deposits ' Depositsof U.S.disbursingofficers. ! 133,178. 88 Due to State banks and bankers Dividends unpaid Notes and bills rediscounted Bills payable j 6, 822. 50 Liabilities other than those above stated Total . 258, 475. 02 690 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Canajoharie National Bank, Canajoharie. A. G. RICHMOND, President. No. 1122. N. S. BRUMLEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from'approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $403. 009. 05 2,991.89 50,000. 00 550.00 7, 000. 00 2, 211. 23 103. 30 31,709.27 117. 65 93. 18 11,804.00 7, 951. 00 2,250. 00 Capital stock paid in $125,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 303.56 Individual deposits United States deposits DepositsofU.S.disbursingofflcers. 24, 362.16 45, 000. 00 300,124.85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 519, 790.57 Total . 519,790.57 National Spraker Bank, Canajoharie. FBASIER SPRAKER, President. Loans and discounts Overdrafts U S. bonds to secure circulation... U S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due fr»m other national banks Due from State banks and bankers. Due from approved reserve agents. Checks ana other cash items, Exchanges for clearing house Bill* of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1257. $164,178.14 165. 71 60, 000. 00 "WILLIAM WILES, Cashier. Capital stock paid in. $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 20, 000. 00 Due to other national banks 25.'40' Due to State banks and bankers. 25.00 26, 511. 36 Dividends unpaid 512.47 Individual deposits 72.00 United States deposits 12.30 Deposits of U.S.disbursingomcers. 5, 341. 40 700. 00 Notes and bills rediscounted Bills payable 2,766. 00 Liabilities other than those above 964.34 34.00 6, 600. 00 9,913.00 6, 500. 00 283, 256. 78 stated Total!. 1,798.24 53, 260. 00 106, 986. 26 213.94 283, 256.78 Canandaigua National Bank, Canandaigua. P. H. HAMLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to seen re deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc •Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from »x>Provedreserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3817. $271,429. 42 540. 71 50, 000. 00 6,000. 00 88, 063. 64 H. T. PARMELE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 544. 83 Due to other national banks 6,595. 28 Due to State banks and bankers.. 420. 41 30, 874. 68 Dividends unpaid 100. 49 Individual deposits 700.00* United States deposits • 61.70 Deposits of U.S.disbursingofficers. 1 10, 328. 35 2, 975. 00 Notes and bills rediscounted Bills payable '• 2, 250. 00 Liabilities other than those above stated 427,884.51 Total. $100,000.00 15,000.00 3, 327. 47 45, 000. 00 738.69 263, 818. 35 427, 884.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 691 YORK. First National Bank, Canastota. No. 4419. L E GRAND COLTON, President. J . C. RASBACH, Cashier. Resources. • Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national b a n k s . . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $79, 791. 54 .48 25, 000. 00 500. 00 5, 000. 00 145. 64 9.97 12,219.49 230. 00 151. 71 3, 214. 00 1, 400. 00 i, 125. 00 128, 787. 83 Liabilities. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 2, 000. 00 2,194.93 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 409. 37 2, 049. 06 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 49, 634.47 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 128, 787. 83 First National Bank, Candor. E . A. BOOTH, No. 353. President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums onU. S. bonds Stocks, securities, e t c . . . Bank'ghouse,furniture,andfixtures Other real estate and mort^'s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $67, 895.93 550. 00 18,300. 00 30, 000. 00 2, 900. 00 F . W. SMITH, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes p a i d . . . . National-bank notes outstanding. State-bank notes outstanding 3, 500. 00 2, 068. 51 16,470. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 629. 97 il Individual deposits 965. 00 United States deposits 58.44 Deposits of U.S.disbursingofticers. 3, 507. 00 1, 200. 00 Notes and bills rediscounted. Bills payable 823. 50 Liabilities other than those above stated 60,347.78 6,641.05 175. 34 Total . 133, 016. 26 133, 016. 26 First National Bank, Canton. DOLPHUS S. LYNDE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes tJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3696. $249, 913. 56 1, 011. 69 16, 500. 00 13, 300. 00 11, 800. 00 17, 708. 25 1,121.69 2, 539. 35 25, 252. 59 3, 720. 11 W. N. BEARD, Cashier. Capital stock paid in. 13,000. 00 Due to other national b a n k s Due to State banks and b a n k e r s . . 3,459.18 Individual deposits 742. 50 Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 367, 631. 96 5, 644. 23 14, 850. 0G Dividends unpaid 74." 66" United States deposits 142.47 11, 805. 75 12, 000. 00 $65, 000. 00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding Total . 259, 796.07 692 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Putnam County National Bank, Carmel. CLAYTON EYDER, President. No. 976. H. RYDER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels,cents. Specie Legal-tendev notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total Liabilities. $85,553. 23 24.01 100, 000. 00 198,000.00 8,226.36 10, 361.34 11,156. 45 1,694.96 1,435.00 1, 273.79 10,500. 00 4,500. 00 $100, 000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers-. 5, 251.54 Dividends unpaid 67, 435.35 90, 000.00 30.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 150,008. 25 Notes and bills rediscounted Liabilities other than those above stated Total 432,725.14 432, 725.14 First National Bank, Carthage. E. H. MEYERS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. A. G. PECK, Cashier. No. 2442. $259,667.25 Capital stock paid in. $100,000.00 3,304. 28 25,000.00 Surplus fund 20,000.00 Undivided profits, less current 5, 836. 74 expenses and taxes paid National-bank notes outstanding. 21,400.00 8,079.85 State-bank notes outstanding 30,011.14 1,732.92 2, 649.16 Due to other national banks 11, 555.28 1, 652. 33 Due to State banks and bankers.. 88.70 8,118. 38 Dividends unpaid. 743.12 Individual deposits 195, 979. 91 1, 093. 00 United States deposits 159.47 Deposits o f U. S. disbursin g officers. 4,183. 80 4,870.63 15, 500. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above 361, 375.48 stated Total . 361, 375.48 Carthage National Bank, Carthage. G. B. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national 7>anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3672. $228, 329. 93 1,713.33 12, 500. 00 MARK S. WILDER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 1, 822. 50 4,100. 00 2, 939. 70 1,520. 00 Due to other national banks 5,704. 38 Due to State banks and bankers. 91.63 15,927. 33 Dividends unpaid 577. 54 Individual deposits 301. 00 United States deposits 96.43 Deposits of U.S.disbursing officers. 14, 264. 00 12, 000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 305,450. 27 Total. $50,000.00 10,000.00 22,399.40 11, 250. 00 4,116.44 625.86 202, 322.12 4, 736.44 305,450.27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 693 NEW YORK. National Bank, Castleton. No. 842. PRANK P . HARDER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks," securities, etc Bank'g h ouse, furniture, and fixtures Otherreal estate and mortag's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. .^... Exchanges for clearing house Bills of other national banks.. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer U. S Total. JAS. E. DOWNER, Cashier. Liabilities. $151, 294.20 184.66 25, 000.00 Capital stock paid in . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 750. 00 State-bank notes outstanding 20, 000.00 3, 548. 55 22, 500.00 4,000. 00 405. 69 22, 333.18 679. 22 1, 695. 00 30.40 3, 503. 50 4, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 77.85 Individual deposits United States deposits Deposits of U.S. disbursing officers 83, 500. 22 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 230, 000. 85 Total. 374.23 230, 000. 85 Catskill National Bank, Catskill. No. 1294. ISAAC PRUYN, President. Loans and discounts Overdraits U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S $251,167. 77 4, 403. 05 37, 500. 00 3, 750.00 235, 609.11 10, 000. 00 12,500. 00 390.15 584.23 118,968.96 5,724.58 147.19 3, 458.10 18, 247.00 1, 687. 50 704,137.64 Total . HENRY B. HILL, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing omcers. $1.50,000.00 30, 000.00 71, 730.33 33, 747.50 64, 034.30 4, 656.78 349,968.73 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 704,137.64 Tanners' National Bank, Catskill. No. 1198. ORRIN DAY, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on ban d Premiums on TJ. S. bonds Steefcs; securities, etc Bank'j^bj&tts%furniture,and fixtures Oth^rrewfceatate and mortg's owned D i 5 t i r national banks t banks and banker. mapproved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tendar notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $237, 562. 38 669. 97 37,500.00 276, 12, 14, 12, 915.53 600. 00 500. 00 756. 51 203, 896. 78 1,095. 70 2,540.00 685. 08 46, 298. 50 7, 542.00 1, 687. 50 856,249. 95 WILLIAM PALMATIER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $150, 000.00 150,000.00 46, 210.55 33? 747.50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 42,199.19 1,000.18 Individual deposits United States deposits Deposits of U. S.disbursing officers. 433, 092. 53 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 856, 249.95 694 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Champlain. ]NTo. 3 1 6 . JAS. AVERILL, JR., President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bill s of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XL S. Due from Treasurer U. S $318, 981. 36 1, 704. 60 25, 000. 00 3, 22, 6, 14, 000. 018. 500. 325. 00 78 00 00 35, 882. 21 906. 47 1,691.66 62.23 2, 075. 00 3, 500. 00 10, 000. 00 1,125. 00 446, 771. 65 Total . JNO. H. CROOK, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends nnpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $100,000.00 50, 000. 00 23,321.00 22, 500. 00 250, 950. 65 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 446, 771. 65 National Central Bank, Cherry Valley. W. H. BALDWIN, President. H. L. OLCOTT, Cashier. No. 1136. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve ageuts. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $227,442. 31 I Capital stock paid in. 50,000.66 I Surplus fund $100, 000. 00 ... I Undivided profits, less current exx^enses and taxes paid 2, 200. 00 { National-bank notes outstanding. 90, 265. 00 State-bank notes outstanding 5, 000. 00 18, 706. 71 I Due to other national banks...... 164.13 19,667.46 1,391.12 260. 00 108.33 8, 801. 25 7,654. 00 2,250. 00 433,910.31 Due to State banks and bankers. Dividends unpaid Individual deposits United States d eposits Deposits of U. S. disbursing officers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 20, 000.00 6, 810. 07 44, 900.00 607. 25 5G.05 99.00 246, 437.94 15,000.00 433, 910. 31 Chester National Bank, Chester. JOHN T. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total No. 1349. J . I). MILLSPAUGH, Cashier. $171, 792. 62 Capital stock paid in 1 019 64 90,000.00 Surplusfund 20, 000. 00 25, 000. 00 3, 800. 00 2, 900. 00 886.07 31,096.47 486. 23 Undivided i)rofits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid '•* Individual deposits United States deposits Deposits of U.S.disbursing officers . 245 00 323. 25 21 478 25 20, 020.00 Notes and bills rediscounted 4, 050.00 393, 097.53 Bills payable . Liabilities other than those above stated Total $125, 500.00 25,100. 00 24, 572.19 80, 895. 00 1*2, 929.97 172.50 123, 927. 87 393, 097. 53 REPORT OF THE C O M 3 * T R O L L M OF THE! CURRENCY. NEW 695 YORK. First National Bank, Clayton. A. i \ BARKER, President. No. 3797. H. W. MORSE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfi xtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Trea*. U. S. Due from Treasurer U. S $192, 242. 78 1,122.15 20, 000. 00 3,195. 00 300. 00 1,000. 00 950,00 32, 949. 71 217.14 14,941.30 312. 90 59.00 245. 87 4, 597. 25 6, 572.00 900. 00 279,605.10 Total . Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $50, 000.00 Due to other national banks Due to State banks aad bankers.. Dividends unpaid 4, 467.28 3,248.11 Individual deposit* United States deposits Deposits of U.S.disbursingofficers. 181, 345.62 Notes and bills rediscounted Bills payable Liabilities other than those abov» stated Total . 16, 000.00 4, 803.46 18,000.00 1, 745.63 279, 605.10 Briggs National Bank, Clyde. L. H. PALMER, President. J. W. HINMAN, Cashier. N o . 2468. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, an d fixtures Otherreal estate andmortg's owned Due from other national banks . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national uanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . $110, 837. 93 2,151.79 25,000. 00 6, 050.00 3,191. 00 13,143. 75 4, 000. 00 1, 716. 76 12, 865. 47 35, 378. 26 5.95 1, 402. 00 27.10 14, 368. 00 3, 000. 00 1,125.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 643. 99 Individual deposits United States deposits Deposits of U.S disbursing officers. 134, 818.69 10,000. 00 15, 300. 38 22, 500. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated -....* 234, 263. 01 Total . 234, 263. 01 First National Bank, Cobleskill. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation alTbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. C. Dow, Cashier. $100,000.00 Capital stock paid in Surplus fund 50, 000. 00 Undivided profits, less current 50, 593.68 expenses and taxes paid National-bank notes outstanding. 90, 000.00 State-bank notes outstanding No. 461. CHAS. H. SHAVER, President. $371,117.86 1, 982. 73 100, 000.00 152, 770.00 8, 000. 00 19,062.76 10,455.06 36, 512.85 1, 792.66 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ""i*256."66' United States deposits Deposits of U.S.disbursingofficers 16, 5, 20, 4, 301.49 000. 00 000. 00 500. 00 748, 745.41 172.00 457,979.73 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 748, 745.41 696 REPORT OF THE COMPTROLLER OF THE CURRENCY. N£ W YORK. National Bank, Cohoes. JOHN L. NEWMAN, President. Kesourees. Loans and discounts « Overdrafts ' U. S. bonds to secure circulation... IT. S. bonds to secure deposits U.S.bonds or hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U, S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S No. 1347. $655, 893. 81 1, 278. 76 150, 000.00 5, 000.00 20, 302.78 36, 800.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $250, COO. 00 100, 000.00 63,523.05 131, 300. 00 Due to other national banks 12,179.46 308.80 5, 943.29 Due to State banks and bankers.. 373.62 54, 988.43 Dividends unpaid 352. 60 3,427. 62 Individual deposits 2, 820. 00 I United States deposits 53.46 Deposits of U. S.disbursin g officers. 12,594.90 7,181.00 Notes and bills rediscounted. 200.00 406, 248.96 Bills payable 6,750.00 903,760. 27 Total. M U R R A Y HtJBBAfiD, Cashier. Liabilities. Liabilities other than those above stated Total. 963,760. 27 National Bank of Cold Spring on Hudson, Cold Spring. DANIEL BUTTKRFIELD, President. Loans and discounts ........... Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds... .... Stocks, securities, etc Bank'g house,furnituLe and fixtures Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4416. D. W. HARKNESS, Cashier* $79, 769.04 80.33 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less eurrent expenses and taxes paid 1,125. 00 National-bank notes outstanding. 28, 520. 26 State-bank notea outstanding $50,000,00 4, 700. WP 2; 247.27 10,940,00 1, 650. 00 5, 000. 00 9, 500. 00 18, 072; 26 46.83 9,173. 50 681. 00 562. 50 166, 680. 72 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits... Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 135, 98,657.77 Liabilities other than those above stated Total. 166,680.72: First National Bank, Cooperstown. C. K. MCHARG, President, Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premium 3 Oi U.S.bonds Stocks, securities, etc Bank'g house. furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie , Legal-tender notes IT. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 280. THEO. C: TURNER, Cashier.- $352,947.18 181.21 50, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid. 100.00 National-bank notes outstanding. 100, 995. 99 State-bank notes outstanding $150,000.00^ Due to other national banks. Due to State banks and bankers,. Dividends unpaid 302,63; 50, 000.00 23, 553.69 8,159.16 33, 562. 64 510.97 6,914.00 296. 00 37,383.55 2,145.00 1,080. 00 667, 829.39 30,000.00' 20,321.0244,300.00' 1, 701; 00 > Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 419,822.65"* . 1,382.09" 667,829.39? REPORT OF THE COMPTROLLER OF THE CURRENCY. 697 NE W Y O R K . Second National Bank, Cooperstown. G. POMEROY KEESE, President. G. M. JARVIS, Cashier. No. 223. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XL S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $468, 581. 08 4,611.73 100, 000.00 521., 713. 51 21, 000. 00 2, 260. 04 488. 92 21,122. 34 170.49 '3,386.00' 22.00 75, 203. 00 4,500. 00 Capital stock paid in . $200, 000. 00 Surplus fund Undivided profits ; less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. 788.50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted Bills payable 777,072.58; j , Liabilities other than those above j stated I Total 1, 223, 059.11 Total . 55,198. 03 90, 000. 00 •>• I 1, 223,059. Ill First National Bank, Corning. No. 2655. J . A. DRAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Dne from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $308,130.13 367. 83 12, 500.00 22, 000. 00 958. 76 % 138.14 2, 324. 99 62, 882. 09 384. 96 618. 00 30.85 16,025.30 16,182.00 562.50 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 70, 000.00 14,161.11 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 300, 694. 44 Notes and bills rediscounted Bills payable Liabilities other than those above stated 446,105. 55 Total . D. S. DRAKE, Cashier. Capital stock paid in . 446,105,55 Total. First National Bank, Cortland. E. KEATOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc-Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 226. ,, Cashier. Capital stock paid in 234,586.13 32, 000. 00 13, 200. 00 3, 755. 74 164.13 124, 433. 66 2,248.12 721. 00 122. 70 34, 768. 50 2, 050. 00 1, 406. 25 907, 607.88 j Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding.! j State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits j United States deposits I. Deposits of U.S. disbursing officers. I. $12j5,000.00 62, 500. Ofr 41,727.64 28,125.00 • 19, 476. 70 3, 603.20 627,175.34 Notes and bills rediscounted . Bills payable Liabilities other than those above stated I. Total . 907, 607. 88 698 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEW YORK. Second National Bank, Cortland. No. 2827. HECTOR COWAN, President. E. D. BARKER, Cashier** Kesources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ' $247, 001.13 3, 001. 63 25, 000. 00 7, 929. 07 31,845.56 1,860.00 2, 844. 56 1.270.31 22, 784.52 3, 310. 57 Capital stock paid in ! $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 468. 01 22, 500. 00 Due to other national banks Due to State banks and bankers.. 1, 707. 82 24.17 Dividends unpaid j 247,085.96 371,785.96 Total. Individ ual deposits | ~4,'556~ 66" United States deposits 388. 86 Depositsof U.S.disbursing officers 13,797.75 5, 077. 00 Notes and bills rediscounted j Bills payable j 1,125. 00 Liabilities other than those above stated 371, 785. 96 Total.. National Bank, Cortland. No. 2272. "WESLEY HOOKER, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture .and fixtu res Other real estate and mortg's owned Due from other national batiks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S I $467, 456. 90 3,024.85 31,250.00 1,700.00 6,115.02 20, 000. 00 100.00 12,617.89 2, 247. 83 164,586.20 3, G41.19 1,444.00 976. 89 24, 670.00 3, 000. 00 1,406.25 $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 44, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5,634.30 988.17 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 496,158. 72 44, 430. 83 28,125. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 744, 837. 02 Total. F. J . PECK, Cashier. Capital stock paid in. 744,837.02 National Bank, Coxsackie. PLATT COONLEY, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. i Checks and other cash items j Exchanges for clearing house !. Bills of other national banks ' Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 1398. $165, 227. 97 596. 41 50,000. 00 4,000. 00 6, 250.00 7, 000. 00 2, 700. 00 5, 914. 23 28,600. 40 370.13 285.66 76.77 7, 914. 80 6, 059. 00 2,250. 00 ALBERT PAEKER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes out-standing $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8,464. 01 74.48 Individual deposits United States deposits Deposits of U.S.disbursingofficers 20, 000.00 4, 857. 05 45, 000.00 32.50 108, 816.67 Notes and bills rediscounted Bills payable Liabilities other than those above 287, 244.71 stated Total. 287, 244. 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 699 NEW YORK. First National Bank, Cuba. No. 2451. GEO. H. ELDRIDGE, President. H. C. MORGAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S.bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg'sowned Due from other national bauks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 8. certificates of deposit Redemption fund with 'Ureas. U. S. Due from Treasurer U. S Total. $171, 347. 57 1,707.71 12, 500.00 4, 445. 07 7, 500. 00 658. 69 792.76 7,981.98 1, 454.94 104. 48 6,175. 00 3, 256.00 562.50 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits; less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Dae to other national banks Due to State banks and bankers.. 50, 000.00 6, 627. 55 11,250.00 4.75 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 100, 604.40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 218, 486. 70 , Total . 218, 486. 70 Cuba National Bank, Cuba. E. D. LOVERIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bondvi to secure deposits U. S. bonds on hand ] Premiums on U. S. bonds Stocks, securities, etc | Bank'ghouse, furniture, andfixtures j Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1143. $253, 650.85 442. 86 100, 000. 00 8, 000. 00 8,000.00 " " 484.90 3, 359. 23 23,131.15 1, 237. 97 185.00 13.83 9,503. 00 3,750.00 4, 500.00 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 50, 000. 00 9, 882. 73 90, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 153.42 Individual deposits Unite'd States deposits Depositsof U.S.disbursing officers. 166, 222.64 Notes and bills rediscounted Billa payable Liabilities other than those above stated 416,258.79 Total. CHARLES S. DAVIS, Cashier. Capital stock paid in. Total. 416, 258. 79 Merchants and Farmers' National Bank, Dansville. W. T. SPINNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4482. $97, 211.95 1,750. 58 12, 500. 00 900. 00 350. 00 2, 000. 00 21,100.45 254. 59 3 693. 25 1, 561. 29 900. 00 20.91 2, 984.00 1, 050.00 562.50 146,839. 52 D. O. BATTERSON, Cashier. Capital stock paid in. $50,000.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid , Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 3,500.00 1.58.33 11,247.50 243. 55 529. 55 150.00 53, 682. 29 23,428.25 3,900.00 146,839.52 700 ftEPOKT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Delaware National Bank, Delhi. GEO. H. MILLABD, President. No. 1323. WALTER G. EDGERTON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $274, 737. 26 2,519.40 50,000.00 32,270.00 5, 890. 00 5, 641. 50 371. 05 163. 04 22, 350. 77 4,892. 22 102. 50 10,901.00 10,794.00 2,250.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Notes and bills rediscounted. Bills payable 2,500.00 4,997. 02 44,900.00 124.00 260,361. 72 10,000.00 Liabilities other than those above stated Total. 422, 882.74 422,882.74 Deposit National Bank, Deposit. <C J . KNAPP, President. jLoans and discounts (Overdrafts 1U. S. bonds to secure circulation... T T S. bonds to secure deposits C. ID". S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ^Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. CHAS. P. KNAPP, Cashier. No. 472. $160,336.26 Capital stock paid in. $100, 000.00 5, 795.00 26,500. 00 Surplus fund 50,000.00 Undivided profits, less current 25,102.37 expenses and taxes paid 22, 020.00 National-bank notes outstanding. 22, 311. 90 State-bank notes outstanding 26,182. 75 18 988.00 Due to other national banks 2, 821.35 Due to State banks and bankers. 871.79 4,126. 68 1, 226.85 145.00 47.5G 8,008.00 7,054.00 1,192.50 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 86, 801. 63 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 284,795.79 284,795.79 Dover Plains National Bank, Dover Plains. G E O . W- KETCHAM, President. I^oans and discounts [ Overdrafts XL S IXWMIS to secure circulation... u X S. bonds to secure deposits L XL K. bonds on hand jPseaaiiims on U. S. bonds Stock** securities, etc Bauk'ghouse,, furniture, and fixtures Ot&er real estate andmortg's owned Djae fromotiher national banks Daie £mm State banks and bankers. Dg*efiromapproved reserve agents. Ohecks and other cash items.". Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 822. $85,941.31 " "56,666." 66" 146,225.00 6,00©. 00 1,729.19 2,869.41 15,123.13 492. 00 66.74 5,490. 00 2,350.00 R. P. KETCHAM, CasMer. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bask notes outstanding Due to other national banks Due tQ State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. $100,000.00 20,000.00 43,382, 01 45,000.00 9, 979. 01 450.00 99,725.76 Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 318,536.78 Total. 318,536. 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 701 NEW YORK. Dundee National Bank, Dundee. No. 2463. J A S . SPICER, President. G. S. SHATTUCK, Cashier* Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'8 owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Liabilities. $136,053.10 616.10 12, 500.00 1,282.16 8,194. 92 1, 732. 00 5, 560.12 825. 05 14,143. 79 83.73 60.00 137. 40 6, 097. 65 4, 820. 00 562.50 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding I I | | | I ' Due to other national banks \ Capital stock paid i n . . . Due to State banks and bankers.. \ 5; 500. 00) 10, 950. 00» ., Dividends unpaid 121, 218. 52; Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above 5, 000. 00 stated 192, 668.52 Total. $50, 000.00) Total . 192, 668. 52. Lake Shore National Bank, Dunkirk. No. 2916. M. L. HINMAN, President. Loans and discounts .. Overdrafts U. S. bonds to secure circulation... U. S. bonds t o secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurreucy, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $480. 315. 93 421.42 30, 000. 00 10, 000. 00 3,318.53 16,251.19 148, 376. 27 2,916.26 2, 355. 00 276.15 28,701.65 5, 450. 00 1, 350. 00 A. J . LUNT, Cashier. Capital stock paid in. $105,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 72, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 2, 368. 09 1, 906. 75 Individual deposits United States deposits Deposits of U.S.disbursingofficers 487, 849. 38 33. 583.18 27; 000. 00 25.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 729, 732.40 Total . 729, 732. 40 Merchants' National Bank, Dunkirk. C. D. MURRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 2619. $365, 710.13 265. 54 . 25, 000. 00 1,500. 00 4, 293.43 20, 000. 00 5, 652.19 9, 285.46 30,107. 56 711. 62 200. 00 92.91 11, 678. 65 6,425. 00 1,125. 00 482, 047. 49 P. J. MULHOLLAND, Cashier. Capital stock paid in I $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 Due to other national banks j Due to State banks and bankers.. Dividends unpaid 717.47 9,849.78. Individual deposits j United States deposits '. Deposits ofU.S.disbursing officers, i. 313, 876. 65 10, 803. 59 21, 800.00 Notes and bills rediscounted. Bills payable Liabilities other than those above j stated '•. Total. 482, 047.49 702 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Earlville. No. 4493. H. G. GREENE, President. GUY H. CLARK, Cashier. Resources, Loans and discounts ' Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, i Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $112,107.64 292.60 38, 500. 00 1, 500. 00 10, 600. 00 1,000.00 | 942.49 49.22 9,804. 70 10.00 33.08 3,150.00 4,067.00 372. 50 182,429.23 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding i State-bank notes outstanding ! Due to other national banks Due to State banks and bankers.. $50,000. 00 v 5, 000. 00 763.11 34, 650. 00 7,178. 29 337.88 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers.! 72, 275.91 Notes and bills rediscounted Bills payable Liabilities other than those above stated 12,100.00 Total 119.04 182,429.23 First National Bank, Edmeston. CALEB CLARK, President. Loans and discounts Overdrafts • . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total T, BOOTMAN, Cashier. No. 3681. $94, 321. 30 Capital stock paid in... $50, oooToo 483. 45 12, 500. 00 Surplus fund 5, 250. 00 Undivided profits, less current expenses and taxes paid 3, 290.81 1,100.00 National-bank notes outstanding. 10,950.00 18,350.17 State-bank notes outstanding 919 76 Due to other national banks 304.03 Due to State banks and bankers..! 7, 529. 49 Dividends unpaid. 445.00 1,432.95 Individual deposits ! 74,158. 02 l"l60. 00 United States deposits i 28.24 Deposits of U. S.disbursing officers .\ 4 080 00 ! : 1, 930. 00 Notes and bills rediscounted Bills payable | 562.50 i Liabilities other than those above I stated i 144, 397. 86 Total . 144,397.86 First National Bank, Ellenville. CHAS. Y E R NOOY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,and fixtures Other realestate and mortg's ovvnedj Due from other national banks Dae from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks Eractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S , Total. No. 45. M. E. CLARK, Cashier. 516. 76 Capital stock paid in $100, 000.00 248. 46 25, 000. 00 Surplus fund 26,000. 00 Undivided profits, less current expenses and taxes paid 5, 763. 36 National-bank notes outstanding. 22, 500.00 908. 50 State-bank notes outstanding 880. 00 7,328. 52 Due to other national banks 806. 57 Due to State banks and bankers.. 916. 41 600. 00 024.70 Dividends unpaid 324. 60 659.10 Individual deposits 135, 724. 78 985*66 United States deposits 5.38 Deposits of U.S.disbursing officers. 10, 043.20 755.00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above j stated !. '8, 557.67 Total. 298,557.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 703 NEW YORK. Home National Bank, Ellenville. J N O . MCELHONE, President. No. 2117. GEO. H. SMITH, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank:ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $183, 636. 66 265. 77 25, 000. 00 $100, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 4," 246! 74' State-bank notes outstanding 5, 200. 00 Due to other national banks 9, 479. 97 Due to State banks and bankers.. 56, 827. 44 1, 332.49 140.00 181. 90 17, 940. 00 433.00 l t 125.00 2.50 Dividends unpaid 20, 000. 00 16,144. 07 22,495. 00 19, 000.96 593. 36 420.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 127,158. 08 Notes and bills rediscounted Liabilities other than those above Total 305, 811.47 305,811.47 Second National Bank, Elmira. SEYMOUR DEXTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 149. $776,808.66 754. 52 50, 000.00 50,000. 00 11,000.00 94, 000. 00 40, 000. 00 103, 723. 54 10, 523.17 64, 217. 24 9, 266. 27 14, 575. 00 171.54 42,915.30 12, 000. 00 2, 250. 00 $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 90, 000. 00 25, 014.13 43, 900. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 104,415.56 85,437.98 Individual deposits United States deposits DepositsofU.S.disbursingofticers 589,180.53 30, 832. 00 13, 3b9.04 36.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1, 282, 205. 24 Total . D. M. PRATT, Cashier. Capital stock paid in. Total. 1, 282,205.24 First National Bank of Pishkill Landing, Fishkill. J. T. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 35. $319, 925. 61 729.76 25, 000. 00 85,038. 59 17,000.00 7, 230. 75 6,187. 09 78, 256. 39 3, 816. 78 3, 401. 00 1,078.29 16, 890. 20 11,976.00 1,125.66 577, 655. 46 M. E. CURTISS, Cashier. Capital stock paid in . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 32, 000. 00 Due to other national banks Due to State banks and bankers.. 49, 516.13 2, 068. 72 54, 255.05 21, 690. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted Bills payable 293,125.56 25, 000. 00 Liabilities other than those above stated Total. 577, 655.46 704 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 E W YORK. ¥ National Mohawk River Bank, Fonda. DANIEL S P ^ A K E R ) President. No. 1212. J. LEDLIE HEES, Cashier. Resources. L ' jans and discounts Overdrafts TJ. S. bonds to secure circulation... TT.S, bonds to secure deposits TJ.. S-. bonds on hand JPtfemiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate an d mortg' s owned I Due from other national banks Due from State banks anc bankers. Due from'approvec reservt agents. Check&and othei cash items Exchanges fo: clearinghouse Bills'erf other national banks Fractional curreney- nickels, cents. Specie Legal-tender notes 'U.S. certificates of deposit "Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $309, 280.16 3, 229. 52 50, 000. 00 Capital -stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState bank notes outstanding 21, 500. 00 10,778.12 43, 060. 00 5, 000. 00 3, 700. 00 Due to other national banks I 903.72 Due to State banks and bankers.. | 14, 854. 07 Dividends unpaid j 105. 90 i Individual deposits j G25. 00 United States deposits j 29.00 Deposits of U.S.disbursing officers. |. 14,106. 40 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 404, 083. 77 Total. 1, 691. 04 100.00 226, 954.61 404, 083. 77 First National Bank, Fort Edward. j . M. NOKTHUP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie .. Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3330. A. R. WING, Cashier. $348, 983. 05 Capital stock paid in. 1, 246. 01 40, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 33, 000. 00 State-bank notes outstanding 29, 402. 07 35,100.00 3, 000. 00 5, 684.10 55,168.47 9, 327. 09 1, 750. 00 70.00 32, 887. 94 5, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 283.43 j 180. 00 j Individual deposits I United States deposits | Deposits of U.S. disbursing officers. . . 378, 951.16 Notes and bills rediscounted. Bills payable 1,800.00 Liabilities other than those above j stated I. 537,916.66 i Total. 537, 916. 66 Fort Flain National Bank, Fort Plain. EDWIN "W. WOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherrealestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. C becks and other cash items. Exchanges for clearing house. Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. .certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2860. $669, 501. 66 2.03 50, 000.00 6, 000. 00 335, 260. 00 15, 000. CO 23, 204. 57 1,152.49 F. S. HASLETT, Cashier. Capital stock paid in. 202, 791. 03 45, 000. 00 Due to other national banks., Due to State banks and bankers.. 486,17 96,816. 64 Dividends unpaid 1, 045. 76 Individual deposits 2, 545. 00 United States deposits 188. 54 Deposits of U.S.disbursingofficers. 31, 377. 90 26,150. 00 Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 1, 260, 494.59 $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 40, 000. 00 772,217. 39 1,260,494.59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 705 NE W Y O R K . First National Bank, Frankfort. No. 3582. HENRY CHURCHILL, President. A. W. HASLEHURST, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S $143,960.16 Capital stock paid in \ 545.88 I 12,500.00 ! Surplus fund I Undivided profits, less current I expenses and taxes paid National bank notes outstanding. 3,990. 00 State-bank notes outstanding 5, 873. 50 Due to other national banks j 4, 482. 32 Due to State banks and bankers.. | 32. 47 27, 082. 07 Dividends unpaid. 210. 80 Individual deposits United States deposits 46.09 Deposits of U. S.disbursing officers. 8,188. 25 1,458. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above 208,932. 04 Total . stated Total . $50,000.00 5, 000.00 10, 756. 08 11,250.00 5, 633. 08 1, 353.38 124, 939.50 208, 932. 04 First National Bank, Franklin. No. 282. A. S.DOUGLAS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furmture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of othernationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes v U. S. certificates of deposit Redemption fund withTreas.U. S. Due from Treasurer U. S 226, 829. 97 Total. EDSON C. STEWART, Cashier. $122,394.66 Capital stock paid in. 208. 50 50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid 1, 550. 00 National-bank notes outstanding. 18, 655. 00 State-bank notes outstanding 3, 200. 00 Due to other national banks 77.98 Due to State banks and bankers. 20, 752. 68 i Dividends unpaid 1, 275. 55 Individual deposits 292. 00 United States deposits 39.85 Deposits of U.S.disbursingofiicers. 4, 528. 75 Notes and bills rediscounted. 1, 605.00 Bills payable 2, 250. 00 Liabilities other than those above stated Total . $50, 000. 00 18, 000. 00 2,907. 58 44, 667. 50 184.76 111, 070.13 226, 829. 97 First National Bank, Franklinville. THOMAS CASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. http://fraser.stlouisfed.org/ CUR, Federal Reserve Bank of St. Louis No. 2345. $181, 676. 85 1,039.77 15, 000. 00 6, 500. 00 4, 975.17 383.48 5, 011. 00 10, 222. 93 12.82 125. 00 48.47 11,190. 00 9, 780. 00 675.00 246, 640.49 J . D. CASE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $55, 000. 00 25, 000.00 2, 283.03 13, 500. 00 1, 226. 89 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 149, 630. 57 Notes and bills rediscounted Bills payable Liabilities other than those above stated i T»tal . 246,640.49 706 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Farmers' National Bank, Franklinville. JOHN NAPIER, President. No. 2755. KOYAL S. LITCHFIELD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $210, 392. 32 6,458. 06 15,000. 00 1, 900. 00 406. 27 6, 400. 00 1,620.00 4, 561. 57 8, 934.87 1, 676. 83 45.00 261. 44 9,316.50 6, 209.00 675.00 Capital stock paid in. $52,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 1, 398.17 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. Notes and bills rediscounted Bills payable 181,734.10 15,224.59 Liabilities other than those above stated Total . 273, 856.86 273, 856. 86 Fredonia National Bank, Fredonia. -, President. No. 841. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. j Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. R. GREEN, Cashier. $576,227.37 I Capital stock paid in . I 6, 009.10 25,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. 26, 250.00 State-bank notes outstanding 8, 000.00 28, 752. 99 Due to other national banks 1, 212. 83 Due to State banks and bankers. 10, 496.37 36,629.60 Dividends unpaid 616. 74 Individual deposits 350.00 United States deposits 253.42 Deposits ofU. S.disbursing officers. 7,186. 00 22, 971. 00 Notes and bills rediscounted Bills payable 625.00 Liabilities other than those above 750, 580.42 stated Total. $100,000. 00 42, 500.00 23, 550. 55 22, 500. 00 18, 415.16 9, 846.91 443, 078. 84 90, 688. 96 750,580.42 First National Bank, Friendship. W M . L. BOWLER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 265. $214,239. 78 1,317.15 20,000.00 13,749. 04 10, 4uO. 00 3,894. 77 2, 234.45 11, 262. 71 8, 054. 32 1, 016.49 20.00 378.08 8, 568. 35 5,123. 00 A. MINER TVELLMAN, Cashier. Capital stock paid i n . $75, 000.00 Surplus fund Undivided profits, less current expenses a n d taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 50, 000. 00 Due to other national b a n k s D u e to State b a n k s and b a n k e r s . . 1,388.12 1, 883.17 1, 890. 89 18,000.00 Dividends unpaid I n d i v i d u a l deposits United States deposits DepositsofU.S.disbursingofficers. 152, 675. 96 Notes and bills rediscounted. Bills payable 580.00 Liabilities other than those above stated 300, 838.14 Total . 300,838.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 707 NEW YORK. Citizens' National Bank, Friendship. No. 2632. S. M. NORTON, President. M. W. POTTER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghoude,furniture,and fixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $112,774.40 !! Capital stock paid in. 1,777.07 1 1 50,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid *... 2, 000. 00 National-bank notes outstanding. State-bank notes outstanding 8, 500. 00 Due to other national banks 5,034. 44 Due to State banks and bankers. 12,238. 44 Dividends unpaid 80.40 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 4, 483. 00 3, 305. 00 Notes and bills rediscounted. Bills payable $50, 000. 00 10,000.00 11, 763. 47 45, 000. 00 85, 768.36 2, 250.00 Liabilities other than those above stated 202,531.83 ij 202, 531. 83 Total. First National Bank, Fulton. No. 968. D. W. GARDNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agenta. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes ' TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $93, 357. 60 137.64 57,500. 00 1, 000. 00 AMOS YOUMANS, Cashier. Capital slock paid in. j $57,500.00 S urplus fund \ Undivided profits, less current jj expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000.00 3, 771. 77 50,750. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 622. 31 Individual deposits 2, 844. 00 United States deposits 116. 76 Deposits of U.S.disbursingofficers. 8, 338. 00 4, 075. 00 Notes and bills rediscounted. Bills payable 2, 587. 50 Liabilities other than those above stated 43, 830.09 1, 257.10 698.34 1, 984. 25 2, 577. 98 176, 474.17 176, 474.17 Total. Citizens' National Bank, Fulton. GEORGE M. CASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1178. GEORGE KELLOGG, Cashier. $255,364.61 ; Capital stock paid in. 252.25 I 166,100.00 I Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 000. 00 State-bank notes outstanding 2,900. 00 725.13 207. 05 8,975. 65 671. 88 *2,'892."6o' 16.12 7, 260. 00 3, 000. 00 '7,'474."5*6' 45, 000. 00 24, 835. 07 147, 985. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 345. 88 201. 52 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 77, 649. 73 Notes and bills rediscounted Bills payable Liabilities other than those above stated 470, 839.19 $166,100.00 Total. 5, 000. 00 721.99 470, 839.19 708 REPORT OF THE COMPTROLLER OF THE CURRENCY. ]VEW YORK. Pultonville National Bank, Pultonville. JOHN H. STARIN, President. No. 2869. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on liana* Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. LORENZO V. PEEK, Cashier. Liabilities. $187,810. 20 1,136.73 12, 500. 00 1, 000. 00 1,100. 00 220. 80 736. 06 37, 784. 48 264. 28 45.00 161. 77 9, 736. 25 3,146.00 $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 7, 400. 00 22, 463. 09 10,310.00 3,313.18 Dividends uupaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 162, 717. 80 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 256, 204. 07 Total. 256, 204.07 G-enesee Valley National Bank, Geneseo. JAMES W. WADSWORTH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 886. THEO. F. OLMSTEAD, Cashier. $234,041.31 Capital stock paid in. $150,000.00 272.45 148,150. 00 Surplus fund 50, 000. 00 Undivided profits, less current 500.00 expenses and taxes paid 16, 947. 68 133, 335.00 1, 232. 50 National-bank notes outstanding 1,000.00 State-bank notes outstanding 8, 742. 34 2,120. 78 Due to other national banks 84.94 1, 308. 39 Due to State banks and bankers.. 10, 000. 00 36, 229. 87 Dividends unpaid 115.00 12, 557. 90 126,636. 83 Individual deposits 2,169. 00 United States deposits 115. 04 Deposits of U.S. disbursing officers. 18, 201. 58 6, 666.75 500. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 480, 463. 68 480, 463.68 Total. First National Bank, Geneva. ALEXANDER L. CHEW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premium s on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 167. $289, 207. 67 171.84 25,000.00 10, 000. 00 12, 350. 00 20, 889. 97 72, 756. 46 382. 57 1,200. 00 174.00 29,190. 00 2,590.00 1,125.00 465,037.51 THOS. H. CHEW, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current $100, 000.00 40, 000.00 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 18, 022. 84 22, 500. 00 Due to other national banks Due to State banks and bankers Dividends unpaid 15, 615.18 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 268,899.49 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 465, 037.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 709 NEW YORK. Geneva National Bank, Geneva. S. H. YBR PLANCK, President. No. 949. M. S. SANDFORD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture,and fixtures Other real estate and mortg's owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.". Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. $483, 271. 98 29.97 37, 500. 00 32, 954. 89 29,500.00 848.47 25,466.11 92, 579.10 575. 06 15, 442. 00 1, 309. 83 68, 225.17 350.00 1, 687. 50 199. 40 Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000.00 Due to other national banks Due to State banks and bankers.. 2, 568. 76 3, 574. 91 25, 349. 01 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 499, 696. 80 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 789, 939.48 789, 939.48 First National Bank, Glens Falls. J. LAPHAM, President. No. 980. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. $846, 888. 67 407. 04 50, 000. 00 60, 000. 00 12,000. 00 29, 426. 722. 68, 000. 3, 903. 74 93 56 21 2,125. 00 108.91 33, 655. 00 4, 000. 00 20,000.00 2, 250. 00 Due from Treasurer U, S Total E. T. JOHNSON, Cashier. Capital stock paid in. $136, 400. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits | Deposits of U.S.disbursing officers. 35, 448. 00 121, 024. 76 45, 000. 00 9, 644. 61 1, 086. 27 784, 884.42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,133,488.06 1,133,488.06 Glens Falls National Bank, Glens Falls. J. W. FINCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency,nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1293. $839, 559. 48 734. 52 67, 000. 00 33, 500.00 12, OuO. 00 6, 607. 92 1, 037. 76 114,595.24 4, 519. 22 4, 891. 00 378. 77 8, 033. 95 10, 600. 00 35, 000.00 3, 015. 00 1,141,472.86 ¥ M . A. WAIT, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g D u e to other national b a n k s D u e to State b a n k s a n d b a n k e r s . . $112, 000.00 25,000. 00 115, 770. 33 37, 600. 00 4, 835. 00 14, 023. 06 Dividends u n p a i d I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S.disbursing officers. 832, 244.47 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,141,472.86 710 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK. Merchants' National Bank, Glens Falls. ¥ M . H. BOBBINS, President. No. 4846. F . F . PBUYN, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $327,292.05 100.66 28,000.00 3,618.75 '3*483."88' 9,886.56 51.00 20, 830.19 4,879. 50 Capital stock paid in. $100, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 23, 826, 71 22,260.00 Due to other national banks Due to State banks and bankers.. 2, 085.40 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 273, 664. 01 947.00 66.53 17,335.00 4, 085. 00 Notes and bills rediscounted. Bills payable 1, 260. 00 421,836.12 Liabilities other than those above stated Total. 421,836.12 Fulton County National Bank, Gloversville. JOHN M C N A B , President. No. 3312. Loans and discounts ! $1,012, 901.05 Overdrafts 222. 03 U. S. bonds to secure circulation... 37, 500.00 U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds 13, 000. 00 Stocks, securities, etc 19,000.00 Bank'g house, furniture, andfixtures 10,400. 00 Other real estate and mortg's owned 22, 453.46 Due from other national banks 4, 740. 21 Due from State banks and bankers. 143,110.05 Due from approved reserve agents. 6, 460. 05 Checks and other cash items Exchanges for clearing house 2*026." 00* Bills of other national banks 226. 60 Fractional currency, nickels, cents 48, 867. 00 Specie 8, 000. 00 Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. SI, 687. 50 Due from Treasurer U. S Total W. D. WEST, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 150,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7. 800. 25 Individual deposits United States deposits Deposits of U.S.disbursing officers. 957, 759. 67 31, 964. 03 33, 070.00 State-bank notes outstanding. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1,330, 593.95 1, 330, 593. 95 Goshen National Bank, Goshen. C. G-. ELLIOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1408. $95, 828. 33 5, 969.87 27, 500. 00 2,750. 00 25, 975. 00 8, 000. 00 23, 872. 49 25, 537. 44 1, 250.17 15,158. 00 463.12 J . W. HAYNB, Cashier. Capital stock paid in j $110,000.00 Surplus fund j Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.! State-bank notes outstanding !. 6, 628.11 23, 945.00 Due to other national banks ' Due to State banks and bankers. J. Dividends unpaid Individual deposits 470." 66" United States deposits 11.97 Deposi ts ofU. S .disbursing officers. 6, 074.20 10,945. 00 "i,237.*56' 251, 043.09 5,000.00 25, 056. 40 30.00 80, 383. 58 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 251,043. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 711 NEW YORK. National Bank of Orange County, Goshen. G. W . MURRAY, President. No. 1399. C. J . EVERETT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg s ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $299, 645.02 6,201.45 110,000.00 Capital stock paid in. 22,000.00 Due to other national banks 14, 066. 89 Due to State banks and bankers.. 80, 928.94 Dividends unpaid 1,957.74 Individual deposits " 2, 210.00 United States deposits 194.01 DepositsofU. S.disbursing officers. 26,789.90 6, 570. 00 Notes and bills rediscounted. Bills payable 4, 950. 00 Liabilities other than those above stated 44,169.19 12, 982.27 201,253.90 19,162.16 Total. 773, 930. 01 Total. $110, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 93, 949. 65 98, 250. 00 221. 25 392,357. 65 773, 930.01 First National Bank, Gouverneur. No. 2510. G-. M. GLEASON, President. Loans and discounts Overdrafts U.S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg18 owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banksFractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $173,601.97 31.38 25,000. 00 750. 00 4, 800. 00 9,000. 00 448. 44 180.92 59, 807. 08 90.44 3,475. 00 56.66 15,132. 90 5,000. 00 1,125. 00 $55, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18, 000. 00 2, 919. 94 22,500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU. S.disbursing officers - 200,079.85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 298,499.79 Total. A. L. WOODWORTH, Cashier. Capital stock paid in. Total. 298,499.79 Farmers' National Bank, Granville. JAMES E. GOODMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. D. TEMPLE, Cashier, No. 3154. $246, 026.46 784.15 12, 500. 00 2,200. 00 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6, 500. 00 2,400. 00 Due to other national banks 776.46 Due to State banks and bankers.. 27,590.40 Dividends unpaid 647. 88 Individual deposits 545.00 United States deposits 271.55 Deposits of U.S.disbursingofucers. 500.00 13,156. 00 Notes and bills rediacounted Bills payable 562.50 20.24 Liabilities other than those above stated 314,480.64 Total. $50, 000.00 15, 000. 00 3, 828.79 11, 250. 00 7,424.60 87.00 220,890.25 6,000.00 314,480.64 712 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Granville National Bank, Granville. D. D. WOODARD, President. No. 4985. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total F R E D . W. HEWITT, Cashier. Liabilities. $273, 707.55 442. 37 25, 000.00 2, 500. 00 6, 000.00 1, 578. 06 290. 20 23, 453.35 1,038.46 691.00 30.34 5, 360.00 9, 000.00 1,125.00 ' 350, 216. 33 $50,000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6,407.59 22, 500. 00 Due to other national banks Due to State banks and bankers.. 8, 948.20 11.16 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 240,782.75 21, 566. 63 350, 216.33 First National Bank, Greenport. G. H. CORWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items d Exchanges for clearing house Billa of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 334. Capital stock paid in. $130, 708. 20 451.69 50, 000.00 20,490. 00 2, 500. (JO E. B. HARRIS, Cashier. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 9, 372. 02 Due to State banks and bankers.. 3, 986. 79 42, 938. 55 Dividends unpaid 1,315.31 Individual deposits United States deposits 265. 78 Depositsof U.S.disbursingofficers. 3, 254. 00 4,628. 00 Notes and bills rediscounted. Bills payable ! 250.00 , Liabilities other than those above stated 272,160. 34 Total. 20,000.00 7,452.30 45, 000. 00 4,140.28 2,196. 75 143, 371. 01 272,160. 34 People's National Bank, Greenport. GEO. F . TUTHILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items." Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3232. $169, 370.00 Capital stock paid in. 46.81 12, 500.00 Surplus fund 1, 000.00 5, 000. 00 4, 500. 00 3,831.96 8, 960. 04 11, 651. 53 459. 31 500. 00 102.30 1, 883. 95 7, 835. 00 562. 50 226, 203.40 E. O. CORWIN, Cashier. Z77.TZ7^\ Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers- $5o7ooo.oo 18, 000.00 2,461.10 11,250.00 10,575.62 931.81 988.00 131,996.87 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 226,203.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 713 NEW YORK. First National Bank, Greenwich. No. 2517. A. B. COLE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer XJ. S $148, 860. 72 465.32 12, 500.00 Capital stock paid in. $50,000.00 Surplus fund 2,000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,094. 32 5, 238.13 Due to other national banks Due to State banks and bankers.. 14, 275. 89 1, 452. 05 Dividends unpaid 695. 00 89.60 6, 373. 00 11, 000. 00 562. 50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 7, 965. 50 11,250.00 1, 865. 70 142, 525. 39 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 213, 606. 59 Total . A. S. DAISY, Cashier. Liabilities. Total . 213, 606. 59 First National Bank, Groton. No. 1083. D. H. MARSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S H. G. MOE, Cashier. $100, 000. 00 Capital stock paid in. Surplus fund 20, 000. 00 Undivided profits, less current 35, 019. 74 expenses and taxes paid 7, 700. 00 National-bank notes outstanding. 90, 000. 00 11,042.69 State-bank notes outstanding $249,984. 96 5, 292. 45 100, 000. 00 12, 250. 00 23, 569. 59 16,157.44 21, 314.16 360. 00 54.05 6,195. 00 5,700.00 4, 500. 00 464,120. 34 Total. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 206.43 200, 494.17 18,400. 00 464,120. 34 National Hamilton Bank, Hamilton. WM. M. WEST, President. Loans and discounts Overdrafts X S. bonds to secure circulation-.. L U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1334. LE ROT FAIBCHILD, Cashier. $110, 000. 00 Capital stock paid in. 95, 000. 00 Surplus fund 22,000.00 Undivided profits, less current 27, 394.30 expenses and taxes paid 4,125. 00 National-bank notes outstanding 85, 300. 00 51,300.00 State-bank notes outstanding $247,051. 20 71.63 10, 888.75 1, 716.12 11,824.88 ], 205. 49 205. 00 25. 93 27, 946. 00 3,400. 00 4, 275. 00 459, 035. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 352.26 1,116.73 270. 00 212,601.71 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 459,035.00 714 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Haver straw. No. 2229. IRA M. HEDGES, President. GrEO. H. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of .deposit Redemption fund with Treas. U. S. Due from Treasurer. U. S $79,718.43 ""5O,'o66'6o 185,288. 92 9, 000. 00 753. 99 70, 730. 66 335. 70 916.00 88.19 550.00 9, 000. 00 Capital stock paid in. 12, 500.00 Due to other national banks j Due to State banks and bankers. Dividends unpaid . 3, 001. 26 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 88, 283.13 45, 000.00 209, 847. 50 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 408,631. 89 Total . $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 408, 631.89 First National Bank, Hempstead. No. 4880. AUGUST BELMONT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, andfixtures Other real estate andmortg's owned j Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 50,000.00 ( 7, 500.00 10, 500.00 14, 500. 00 14,134.58 14,484. 68 3, 383. 27 25, 220. 00 2, 250. 00 $50,000.00 Surplusfund j Undivided profits, less current ( expenses and taxes paid National-bank notes outstanding, j State-bank notes outstanding j Due to other national banks Due to State banks and bankers.. 10, 000. 00 7, 290. 84 45,000.00 676.14 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursingofficers. 311, 327. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 424, 293. 98 Total. C. F . NORTON, Cashier. $282, 321.45 [| Capital stock paid in. Total . 424, 293.98 First National Bank, Herkimer. HENRY CHURCHILL, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3183. $255, 035.08 779. 87 12,500. 00 6,200.00 ALEX. W. HASLEHURST, Cashier. Capital stock paid in . * Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 10, 000.00 20, 096. 50 11, 250.00 5, 000. 00 15, 286. 66 50.00 49,757. 74 1, 074. 64 1,025. 00 27.75 7, 731. 00 8, 765. 00 562.50 363, 795.24 Due to other national banks I Due to State banks and bankers..; I Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursingofficers. 9,118.02 401.88 262, 928.84 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 363, 795.24 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 715 YORK. National Bank, Hobart. No. 4497. J . R. COWAN, President. J . A. SCOTT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $88,106. 35 361.03 12,500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.| 16,185. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1, 684.18 Dividends unpaid 274. 48 Individual deposits United States deposits. 16.88 Deposits of U. S. disbursing officers. 3, 620. 00 1,169. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above 124, 479. 42 4, 000. 00 2,122.84 10, 950. 00 1, 444. 99 841. 50 55,120. 09 stated Total. 124, 479.42 First National Bank, Homer. No. 2398. P. C. KINGSBURY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U . S . b o n d s on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $105,476.13 188. 68 100, 000. 00 ( Surplusfund ! ! Undivided profits, less current j I expenses and taxes paid 12, 525. 00 j National-bank notes outstanding. 111,650. 00 State-bank notes outstanding 9, 621. 00 650. 00 Due to other national banks 1, 005. 61 Due to State banks and bankers.. 862.15 9, 568. 47 Dividends unpaid 48.95 Individual deposits ""i," 462." 66" United States deposits 48.93 Depositsof U.S. disbursing officers. 19, 613. 50 1, 500. 00 4, 500. 00 500. 00 $100,000.00 20,000.00 13, 740.89 89,100.00 155, 797. 62 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 379, 220.42 Total. W. H. CRANE, Cashier. Capital stock paid in Total. 379, 220.42 Homer National Bank, Homer. GEORGE "W. PHILLIPS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U . S . bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures ()thcr real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. | Specie ! Legal-tender notes ' U. S. certificates of deposit Redemption fund with Treas. U. S.! Due from Treasurer U. S Total. No. 3186. $125, 787. 96 272.68 75,000. 00 7, 400. 00 27, 988.19 11. 340. 00 237. 31 10, 946. 51 131.71 20.00 36.37 9, 569. 60 1,125.00 3, 375. 00 273, 330. 33 AUGUSTUS H. BENNETT, Cashier. Capital stock paid in. $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 500. 00 Due to other national banks Due to State banks and bankers.. 748.15 142.14 1, 904. 91 63, 840.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S disbursing officers. 116,195.13 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 273,330.33 716 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W Y O R K . First National Bank, Hoosick Falls. No. 2471. C. A. CHENEY, President. ADDISON GETTY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national T>anks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $375,506.91 610.85 15,000.00 26,789.76 Capital stock paid in. $60, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 21, 262.00 Dne to other national banks 4,404.16 Due to State banks and bankers. 67.19 55, 539.96 Dividends unpaid 123.40 Individual deposits 1,139.00 United States deposits 1,842. 40 Deposits of U. S.disbursing officers 29,553. 00 37,982.00 Notes and bills rediscounted. Bills payable 675.00 Liabilities other than those above stated Total. 550, 495.63 15, 000.00 87, 609. 92 13, 500. 00 8, 916. 62 573.76 50.37 364, 844. 96 550,495.63 First National Bank, Hornellsville. No. 262. M. ADSIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g h ouse,fu rniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total. $409,912.95 2, 088.25 100,000. 00 22,745.55 12, 000. 00 23,393.90 26,158.19 23, 038. 91 3, 038.17 CHARLES ADSIT, Cashier. Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits 1, 620. 00 United States deposits 304. 63 Deposits of U.S.disbursing officers. 36,587. 69 13, 750. 00 Notes and bills rediscounted Bills payable 4, 500.00 Liabilities other than those above stated 679,138. 24 Total. 20, 000.00 61, 261. 96 88,450. 00 9.44 408,956. 84 679,138.24 Citizens' National Bank, Hornellsville. CHARLES CADOGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2522. $238, 907. 67 2,017.42 30,000. 00 618. 75 10, 000. 00 19,897. 34 11,186. 52 145. 77 34, 027. 83 3, 928. 02 450. 00 12.46 9, 651. 00 10, 340. 00 1, 350.00 372,533. 38 J. E. B. SANTEE, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 20, 000. 00 5, 554. 20 27, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 1,402.10 485.11 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 218,081.97 10.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 372, 533.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 717 NEW YORK. First National Bank, Hudson. No. 396. R. B. BENEDICT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturea Other real estate and mortg's owned Due from other national banks Due from- State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 0". S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer TJ. S $376, 460.95 248.13 50, 000.00 Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 65,892.12 | State-bank notes outstanding 40, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 47, 575. 06 4, 096. 26 19, 367. 04 5, 834.47 53, 962.92 1.971. 58 Individual deposits 6, 778. 00 1 United States deposits j 156. 43 Deposits of U.S.disbursingomcers 11, 798. 34 10,122.00 Notes and bills rediscounted. Bills payable 2, 250.00 14, 845.16 45, 000.00 162.00 253,163. 50 Liabilities other than those above stated 604,841.98 Total . WM. SEYMOUR, Cashier. Liabilities. Total. 604, 841.98 Farmers' National Bank, Hudson. SMITH THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S No. 990. $587, 697. 74 1,721.91 50, 000.00 40, 925.82 30, 000.00 20,101.66 19,308.28 149, 017. 82 10,160. 30 989. 00 576. 09 26,168. 30 14,931.00 • 2, 250. 00 $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 33, 308. 66 44, 050. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 52, 777. 05 28, 668. 76 Individual deposits United States deposits Deposits of U.S.disbursingomcers. 554, 883. 45 160.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 953, 847. 92 i Total. F. C. HAVILAND, Cashier. Capital stock paid in. 953, 847. 92 National Hudson River Bank, Hudson. C. H. EVANS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund witb Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1091. $951, 010. 47 4, 551. 65 50, 000. 00 C. W. BOSTWICK, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 101,191. 62 State-bank notes outstanding 20, 000. 00 51,375.00 Due to other, national banks 24, 715. 65 5, 666. 72 Due to State banks and bankers.. 145, 385.17 4, 695. 48 Dividends unpaid 2, 263. 00 Individual deposits 462. 73 45,841.50 United States deposits 15, 500. 00 Deposits ofbills rediscounted. Notes and U.S.disbursingomcers Bills payable 2,250.00 $250, 000. 00 50, 000. 00 40, 577. 00 45, 000. 00 67, 922. 43 6, 873. 80 303. 00 964, 232. 76 Liabilities other than those above stated 1,424,908.99 Total. 1,424, 908.99 718 REPORT OP THE COMPTROLLER OF THE CURRENCY. NE W YO R K . Ilion National Bank, Ilion. No. 1670. CHARLES HARTER, President. D. LEWIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearin g house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $227,427. 36 547. 70 100, 000. 00 23, 000. 00 1, 531. 00 6, 690. 51 29,125.18 200. 00 "2,486" 00 620.48 13, 395. 00 19, 657. 00 4, 500.00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 20, 000. 00 19,215.47 89, 997. 50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5,435.31 1, 616. 27 Individual deposits United States deposits Deposits of U .S.disbursing officers. 192, 915. 08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 429,180. 23 429,180. 23 First National Bank, Ithaca. GEO. R. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds onhand Premiums on TJ. S. bonds Stocks, securities, etc Ba-nk'g house, furniture,and fixtures Otherreal estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 222. $297, 274. 75 5, 680. 58 50, 000. 00 """i6"666'66' 2, 200.00 189, 917. 84 HENRY B. LORD, Cashier. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $250,000.00 50, 000.00 29, 695.17 44, 300.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13, 307.18 344. 53 Individual deposits ""5,*456,"oo" United States deposits 681. 50 Deposits of U.S.disbursing officers. 50, 337.16 5, 469. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 399,157.44 39, 673.18 14, 082. 55 5, 345. 29 106,146. 74 2,295.73 Total . 786, 804. 32 786, 804. 32 Tompkins County National Bank, Ithaca. L. L. TREMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 1561. $192, 058.08 1, 369. 64 50, 000.00 H. L. HINCKLEY, Cashier. Capital stock paid in j $150, 000.00 Surplus fund j Undivided profits, less current I expenses and taxes paid j National-bank notes outstanding. I State-bank notes outstanding.. ' 29,144. 71 45, 000. 00 207,271.85 10, 000. 00 2,860. 00 Due to other national banks 4, 282. 78 Due to State banks and bankers.. 4,037.24 83,093.50 I Dividends unpaid 5, 342. 22 Individual deposits 650. 00 United States deposits 238.76 Deposits of U. S. disbursing officers. 24, 359. 35 12, 810. 00 Notes and bills rediscounted. Billspayable 2, 250. 00 Liabilities other than those above stated 600, 623.42 Total. 50, 000. 00 4, 314. 67 4,048.26 1,005.48 317,110. 30 600, 623.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W 719 YORK. First National Bank, Jamestown. FRANK E. GIFFORD, President. No. 548. EDWARD MORGAN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixturesi Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $548, 840. 67 1, 234.95 50, 000.00 Capital stock paid i n . $153, 300. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 82,242.72 State-bank notes outstanding 9, 900. 00 8,000.00 Due to other national banks 607. 86 Due to State banks and bankers.. 582. 31 114,487. 01 Dividends unpaid 4,125. 04 1, 849. 58 Individual deposits 1,150. 00 United States deposits 1, 454. 83 Deposits of U.S.disbursing officers. 21, 580. 00 18, 921. 00 Notes and bills rediscounted. Bills payable 2,250.00 867, 225. 97 I Liabilities other than those above stated Total. 30, 660. 00 115,184. 01 45, 000. 00 33.58 7,100. 32 515, 948. 06 867,225.97 Chautauqua County National Bank, Jamestown. DANIEL GRISWOLD, President. No. 1563. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fiirniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WILLIS O. BENEDICT, Cashier. $738,783.15 I Capital stock paid in. 392.86 ! 58,000.00 Surplus fund 3, 580.00 17, 574.40 15,500.00 45,026. 64 11,865. 05 36,104.40 65,544.33 2,121. 91 $200, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 1, 328. 00 United States deposits 188.13 Deposits of U.S. disbursing officers. 39, 940. 50 10, 300. 00 2, 610. 00 65, 000. 00 13, 378. 26 52, 200. 00 3, 580. 68 4, 246. 83 710, 453. 60 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated 1,048,859.37 Total ' 1,048,859.37 City National Bank, Jamestown. WILLIS TEW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels ; cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witb Treas. U. S. Due from Treasurer U. S Total. No. 938. $302,732.32 1,236.22 25, 000.00 2, 250. 00 2,406. 53 4, 728. 63 26, 411. 62 3, 852. 45 8, 882. 82 45,538. 96 3, 010. 75 M. M. SKIFF, Cashier, Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less ^current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers.. 246. 68 2.15 4, 819. 00 22, 500. 00 Dividends unpaid Individual deposits 2, 505. 0 0 United States deposits * 179.03 Deposits of U.S.disbursing officers. 18, 700. 00 10, 000.00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above 310,991.50 stated 458, 559.33 Total. 458,559. 33 720 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Jamestown National Bank, Jamestown. CHARLES M. DOW, President. No. 3846. E. F. DICKINSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank' g house, furniture, andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $566,577. 95 910. 06 25, 000. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100, 000. 00 4,195. 31 22, 500.00 6, 000. 00 Due to other national banks 3, 616.43 Due to State banks and bankers. 2, 000.10 47. 242. 03 Dividends unpaid 1, 962. 38 Individual deposits 400. 00 "United States deposits 36.79 Deposits of U. S. disbursing o fficers. 43, 823. 43 6, 005. 00 Notes and bills rediscounted. Bills payable 1,125.00 400. 00 Liabilities other than those above stated 705,099.17 Total. 3,441. 70 22, 695. 97 452,266.19 705, 099.17 Total . Keeseville National Bank, Keeseville. EDMUND K. BABER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer U. S . No. 1753. $204,528.44 194.61 100, 000. 00 10,000.00 44, 500. 00 6,200. 00 568.90 155. 93 27,131.17 332. 62 62.00 90.02 11, 784. 40 4,235. 00 4,500. 00 $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7,152. 57 4, 539. 68 89,300. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 680.50 Individual deposits United States deposits Deposits of U.S.disbursingofncers. 212, 610.34 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 414, 283. 09 Total . C. M. HOPKINS, Cashier. Capital stock paid in. 414, 283. 09 National Union Bank, Kinderhook. Gr. S. COLLIER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 929. $261, 251. 02 260. 81 110, 000.00 2,800.t)0 60,847. 50 7, 395. 00 2, 460. 00 19, 454.43 905. 69 73,319.16 435.45 1,815. 00 8, 637.18 11,172. 00 4,950.00 565,703. 24 W. H. RAINEY, Cashier. Capital stock p a i d i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. $200,000.00 40, 000.00 47, 947.43 97, 360. 60 4,837. 00 22, 303.62 782.87 1, 480. 00 150,992. 32 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 565, 703. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 721 WE W Y O R K . First National Bank of Rondout, Kingston. S. D. COYKENDALL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U.S.bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U, S. Due from Treasurer U, S Total No. 2493. FRANK D. DEWEY, Cashier. Liabilities. $818,187.71 965.44 252, 000. 00 11,050.00 35,000. 00 72, 972. 04 6, 278.17 44, 543.19 11,478. 22 8, 994.00 473.10 59, 200. 30 10, 700. 00 11,340.00 1, 343, 182.17 Capital stock paid in $400,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 100, 000. 00 17,574. 93 226, 800. 00 59,951. 41 150.68 126. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 505,418.45 33,160. 70 Liabilities other than those above stated Total 1, 343,182.17 Kingston National Bank, Kingston. R. BERNARD, President. No. 1149. Loans and discounts Overdrafts U. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $304,160. 81 428.46 50, 000. 00 1, 200.00 2, 000. 00 18, 400. 07 18,607.78 6, 024. 60 40,711.76 2,129.89 2, 908. 00 273.17 27, 808. 80 6,120. 00 2, 250. 00 1, 440. 00 $150, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 15, 806. 67 12, 741.05 30, 000. 00 12, 587. 50 42,497. 50 17.50 220, 813.12 Liabilities other than those above stated 484, 463. 34 Total. C.HUME, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 484,463. 34 Total. National Ulster County Bank, Kingston. C.D. BRUYN, President. No. 1050. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis $328, 089.81 1,332.74 110,000. 00 11,000.00 30, 448. 50 15, 000. 00 2, 500. 00 12, 820.11 2, 974.18 36, 781. 89 1, 697. 50 2, 245.00 270. 88 15, 514.00 6, 200. 00 4, 950. 00 581,824. 61 -46 H. GOULD SMITH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 23,638.91 30, 000. 00 22, 079. 98 98, 750.00 36.00 257, 319.72 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 581, 824. 61 722 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E W FORK. State of New York National Bank, Kingston. JESSE MYEB, President. No. 955. CHAS. "W. DEYO, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from otl er national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other casi' items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $345, 739. 71 1, 651.11 50, 000.00 5, 500. 1, 850. 18, 000. 950. 12, 892. 1, 368. 31, 706. 2, 528. 00 00 00 00 61 84 22 32 5,273. 00 377.09 26, 627. 00 3, 780. 00 2, 250.00 $150,000.00 Capital stock paid in 40,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 203. 0.1 45, 000.00 Due to other national banks Due to State banks and bankers.. 27, 918. 71 2, 073.82 27.50 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 240, 270. 86 Notes and bills rediscounted Bills payable Liabilities other than those above stated . . 510, 493. 90 Total Total 510, 493. 90 Sullivan County National Bank, Liberty. A. J . D. WEDEMEYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4925. $165, 862. 60 271. 56 12, 500. 00 FRANK BARBER, Cashier. $50, 000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding-.... 2, 000. 00 6,120. 78 11, 250. 00 1, 500. 00 2, 000. 00 533.28 33, 585.12 3, 277. 40 151. 77 2, 269. 20 7,123. 00 Due to other national banks Due to State banks and bankers . . 3, 383.78 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 156, 881.87 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 229, 636.43 Total. 229, 636.43 Little Falls National Bank, Little Falls. JAMES D. FEETER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 2406. $440, 003. 74 418. 65 25, 000. 00 5, 500. 00 3, 700. 00 17, 479. 85 2,542. 63 36, 883. 43 17, 033.45 1,153. 00 449. 06 21, 994. 50 4, 000. 00 L. O. BUCKLIN, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 20, 000. 00 35,158. 95 22, 500.00 22,327.36 1,034.92 Dividends unpaid Individual deposits United States deposits , Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable 355, 852. 05 20,410. 03 , 1,125. 00 Liabilities other than those above stated 577, 283. 31 Total. 577,283. 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 723 NEW YORK. National Herkimer County Bank, Little Falls. WM. G. MILLIGAN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S No. 2400. .,111,932.47 1,106.19 50, 000. 00 20 "666." 00 " i.7,66o.66 $250, 000.00 50, 000. 00 64,681.19 44,130. 00 5,000. 00 19,163.62 Due to other national banks 20, 734. 45 Due to State banks and bankers. 5,113. 89 76,501.67 |] Dividends unpaid 1,385.65 i| 1,140. 00 306. 43 60, 006. 40 3, 000. 00 2, 250. 00 1, 394, 640. 77 Total . ALBERT STORY, Cashier. Liabilities. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 24, 816.01 2,616. 74 Individual deposits United States deposits Deposits of U. S.disbursing officers. 854, 326. 83 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 104, 070.00 1, 394, 640. 77 National Exchange Bank, Lockport. T. E. ELLSWORTH, President. Loans and discounts. Overdrafts U . S . bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S N o . 1039. $460, 929.74 40.52 37, 500. 00 10, 000. 00 13, 446. 75 28,121. 87 80, 903. 66 537.30 2, 656. 00 215.10 22, 336.15 10, 250. 00 1, 687. 50 668, 624. 59 Total. WM. E. MCCOMB, Cashier. Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-banknotes outstanding. $150, 000.00 30,000.00 27, 648. 62 33, 750. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 292. 30 6, 357. 37 Individual deposits United States deposits Depositsof U.S.disbursing officers. 419, 576. 30 ISotes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 668, 624.59 Niagara County National Bank, Lockport. THOS. T. FLAGLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 639. 3, 625. 00 3, 500.00 15, 499. 84 63, 338. 70 4, 270. 05 520.00 241. 45 8, 038. 50 21,161. 00 JAMES R. COMPTON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks $150,000.00 34,000. 00 8, 676. 79 56, 700. 00 j Due to State banks and bankers.. j Dividends unpaid j Individual deposits 1 United States deposits I Deposits of U.S.disbursingofficers. 686. 01 4, 022. 84 271, 216. 98 Notes and bills rediscounted. Bills payable 2, 835.00 Liabilities other than those above 525, 927. 62 stated Total. 625.00 525,927.62 724 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Lowville. CHAS. 1). BOSHART, President. No. 348. E. H. BUSH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks. Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from. Treasurer U. S $201, 987. 95 369. 22 50,000.00 16, 700.00 13,192.22 1,037.87 305.19 57, 425. 97 249. 66 1, 229. 00 166.27 6, 950. 20 5, 000. 00 2, 250.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 103,669.70 44, 240.00 Due to other national banks j Due to State banks and bankers Dividends unpaid 1,857.8 Individual deposits United States deposits Deposits of'U.S.disbursing officers. 47, 095.99 Notes and bills rediscounted Bills payable Liabilities other than those above stated 356, 863. 55 Total. 10, 000.00 356, 863.55 Total. Black River National Bank, Lowville. CHARLES P. LEONARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S No. 2426. Total . 252, 094. 61 Total. FREDERICK S. EASTON, Cashier. $143, 009.48 1 Capital stock paid in 1 346.58 I! 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.) 18, 300. 00 State-bank notes outstanding-. 1,160.06 4, 979. 70 Due to other national banks 842.59 1, 506. 95 Due to State banks and bankers.. 36, 729. 71 Dividends unpaid 911.16 Individual deposits 1, 213. 00 United States deposits 332. 88 Deposits of U. S.disbursing officers. 19, 300. 00 10, 700. 00 Notes and bills rediscounted Bills payable 262.50 Liabilities other than those above stated , $50,000.00 10, 000. 00 41, 781. 77 5, 500.00 4, 915. 57 139, 897. 27 252, 094.61 Lyons National Bank, Lyons. D. S. CHAMBERLAIN, President. Loans and discounts \ Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U, S Total. No. 10a?. . $115,437. 84 3, 759. 58 60, 000. 00 55, 000. 00 6, 997. 50 11, 200. 00 5, 500. 00 134.53 10,300. 30 4, 569. 97 400. 00 17.41 13, 693. 00 2, 000. 00 2," 700." 00 291,710.13 GEORGE T. KENNEDY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ^ ocoToo 12, 000.00 510. 51 54, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 597.09 107.36 Individual deposits United States deposits Deposits of U. S.disbursing officers. 164, 495.17 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 291, 710.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 725 NEW YORK. Farmers' National Bank, Malone. No. 598. D. "W. LAWRENCE, President. F. F. FISK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and inortg's owned Due from other national banks D u e from State b a n k s and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . Liabilities. $490,272.81 1,289.26 37, 500. 00 2,100. 00 25, 846. 50 948. 60 3, 693. 70 39, 015. .>7 501.20 9,210.00 205. 46 36, 209. 00 3, 000. 00 Capital stock paid in . $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 50, 000. 00 12, 347. 03 33, 000. 00 Due to other national banks 5, 624. 88 1, 222. 04 Due to State banks and bankers . . 84.00 Dividends unp . d 199, 201.'65 Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated Total . 651, 479. 60 651,479. 60 People's National Bank, Malone. No. 3307. HOWARD E. KING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $480,247. 69 2,330.17 37, 500. 00 2, 000. 00 11, 449. 91 12, 000. 00 7,448. 86 7,516. 29 2, 430. 47 78. 053. 23 482. 44 7, 050. 00 537. 20 49, 322. 22 8, 250. 00 H. T. FRENCH, Cashier. I Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . . Dividends unpaid $150, 000. 00 30, 000.00 21, 902.06 33,750. 00 7, 487. 34 60.00 Individual deposits United States deposits Depositsof U.S.disbursingofiB cers. 465,106. 58 Notes and bills rediscounted. Bills payable 1, 687.50 Liabilities other than those above Total . 708, 305. 98 First National Bank, Marathon. JAS. H. TRIPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X S. certificates of deposit L Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3193. $91, 262. 97 104.96 20,000. 00 LYMAN ADAMS, Cashier. Capital stock paid in . Surplus fund Undivided profits, less $50, 000.00 5, 500. 00 current 1, 800. 00 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 617. 08 1, 500. 00 264.12 508. 75 9, 757.18 85.35 Due to other national banks Due to State banks and bankers .. Dividends unpaid 16.83 4, 487. 75 500.00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 4,653.98 17, 810.00 10.25 54, 830. 76 Notes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above stated 132,804.99 Total 132,804.99 726 REPORT OF THE COMPTROLLER OF THE CURRENCY. JVEW YORK. Matteawan National Bank, Matteawan. THEO. BRINCKERHOFF, President. No. 4914. DAVID GRAHAM, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.j Duo from Treasurer U. S Total. Liabilities. $105,506.28 434.13 25, 000. 00 3, 218. 75 69, 845. 54 1, 748. 35 355.00 46. 83 14, 400.10 112.15 561.00 143. 00 6,122.10 15,539. 00 1,125.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,118. 72 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 645.13 74.51 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 110, 818. 87 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 244,157. 23 Total . 244,157.23 First National Bank, Mechanicville. No. 3171. BEN. B. SMITH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $261,211.02 144. 03 12, 500.00 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 000.00 930.67 Due to other national banks 778. 07 Due to State banks and bankers.. 157. 82 38, 452. 92 Dividends unpaid 142. 68 Individual deposits 2, 985. d0 United States deposits 220.94 Deposits of U.S.disbursing officers. 14, 424. 05 3, 000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above 6, 548. 43 1,516.87 5, 248.00 35, 077. 78 11, 250. 00 6.00 224, 359. 22 stated 340,758. 30 Total. A. J . HARVEY, Cashier. Capital stock paid in. Total. 340, 758. 30 Medina National Bank, Medina. EARL "W". CARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U". S. Due from Treasurer U. S Total. No. 4986. $56, 259. 01 778.37 12,500. 00 1, 000. 00 2, 961. 96 12, 234.13 10, 627. 61 7, 246. 78 1, 484. 09 155.00 9.64 1, 851. 95 2, 865. 00 BURT D. TIMMERMAN, Cashier. Capital stock paid in . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding i0, 000.00 1,131.35 11, 050. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 560.45 544.30 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 45, 769.94 Notes and bills rediscounted. i Bills payable """82*50 ! Liabilities other than those above stated 110, 056. 04 Total. 110,056.04= REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W 727 YORK. First National Bank, Middleburg. DURYEA BBEKMAN, President. No. 2487. W. G. PUTNAM, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie L^gal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ S. Due from Treasurer TJ. S Liabilities. $144,090. 27 234. 89 25,000.00 11,000. 00 7, 302.50 2, 925. 00 5, 218.26 788. 00 41.35 3, 344. 50 3, 200. 00 1,125. 00 2.50 Capital stock paid in 10,000.00 10,115. 58 22, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 101, 251. 89 10, 275. 00 122.80 Liabilities other than those above stated 204, 272. 27 Total $50,000.00 Surplus fund "Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Total 204, 272. 27 First National Bank, Middletown. C. MACABDELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaLbanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ.S. Due from Treasurer U, S Total. No. 523. $311,017.72 3,738. 23 60, 000. 00 10, 000. 00 30,553.77 5, 281. 62 7, 550. 00 33, 077. 82 163. 56 9,310.09 13,674. 37 275. 00 65.66 27, 833.10 4, 350.00 SEYMOUR D E W I T T , Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 23,000.00 5,673.41 54, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 51, 747. 54 2,456. 90 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 271,033.83 Notes and bills rediscounted. Bills payable 11, 679. 26 2, 700.00 Liabilities other than those above stated Total. 519, 590. 94 519,590. 94 Merchants and Manufacturers' National Bank, Middletown. ISAAC K. CLEMENTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. No. 3333. $220,267. 49 147. 02 50, 000.00 N. M. HALLOCK, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 6, 500. 00 National-bank notes outstanding. 124, 446. 23 State-bank notes outstanding 20, 600.00 Due to other national banks 19,448. 69 Due to State banks and bankers. 23,691.95 4,459.64 445. 00 138.81 31, 320. 60 8,190.00 2, 250.00 511,905.43 Dividends unpaid Individual deposits United States deposits Deposits ofU. S. disbursing officers $160,000.00 18,250.00 6, 763. 76 44,000.00 13,171.06 42.63 363.00 269, 314.98 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 51L 905. 43 728 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Millerton National Bank, Millerton. FRANK A. HOTCHKISS, President. No. 2661. B. S. KEEPER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other realestate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other- cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. $142, 909.24 2, 640. 96 30,000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,987. 50 National-bank notes outstanding. 24,596. 56 State-bank notes outstanding 11. 000. 00 39,102. 57 Due to other national banks 4, 735.15 Due to State banks and bankers.. 5, 667.10 Dividends unpaid 692.63 Individual deposits 65.00 United States deposits 50.07 Depositsof U.S. disbursing officers. 1,872. 85 5,945.00 Notes and bills rediscounted Bills payable 1,350.00 Liabilities other than those above stated Total. 273, 614.63 20, 000. 00 7, 592. 60 26,995.00 6,314. 67 772.66 130.00 77,135. 56 23, 874.14 10, 800. 00 273, 614. 63 National Mohawk Valley Bank, Mohawk. J . DIEFENDORF, President. No. 1130. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other realestateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $357, 440. 02 1,546.07 40, 000. 00 8, 914. 89 1, 500.00 5,145. 60 25,494. 55 873. 95 1, 798. 00 302.82 22, 574. 50 6, 000. 00 1, 800. 00 H. D. ALEXANDER, Cashier. Capital stock paid in. $150: 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19, 855.46 1, 262. 81 Individual deposits United States deposits Deposits of U. S.disbursing officers - 233, 754.41 2, 962. 22 35,440. 00 115. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 473,390.40 Total. 473, 390.40 National Union Bank, Monticello. GrEO. E . BENNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankeio. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1503. $148, 458.62 438.14 12, 500. 00 15,000. 00 50, 758.75 2,000.00 4, 595.16 54, 970. 78 85.21 2,040. 00 18.05 15, 592. 60 14, 875. 00 562. 50 321, 894.81 E. H. STRONG, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 25,000.00 21, 312.30 11,240. 00 7,572.21 Dividends unpaid Individual deposits United States deposits f 206,770.30 officers. Notes and bills rediscounted. Bills payable , Liabilities other than those above stated Total. 321,894.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 729 NEW YORK, First National Bank, Moravia. No. 99. TERRY EVERSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on band. .• Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. J. H. PARKER, Cashier. Liabilities. $225,537. 77 186. 65 20,000. 00 12, 000. 00 2,167.50 38,100. 00 8. 000. 00 5, 291. 89 1,910.52 24, 586. 25 1, 769. 70 200. 00 273.47 17, 000. 50 1,000.00 900. 00 358, 924. 25 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits , Deposits of U.S.disbursingofficers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . $80, 000. 00 30, 000. 00 10, 323. 95 18, 000. 00 3,409.10 211,191.20 6, 000. 00 358, 924. 25 Moravia National Bank, Moravia. No. 2353. S. EDWIN DAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea9. U. S. Due from Treasurer U, S $203, 260. 37 1, 549.73 12, 500. 00 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 656. 25 9, 812. 50 4, 517.19 11, 759.18 Due to other national banks 1, 232. 33 Due to State banks and bankers. 416. 91 16,149. 56 Dividends unpaid 119.25 Individual deposits 115. 00 United States deposits 47.04 Deposi ts of U. S.disbursing officers. 8, 886. 00 365.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above 271,948. 81 Total. J. A. THOMAS, Cashier. Capital stock paid in stated Total. 18, 000.00 4, 365. 40 10, 950. 00 179,037. 85 9, 595. 56 271, 948. 81 First National Bank, Morris. J . P . EJENYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4870. GEORGE WHITMAN, Cashier. $67,068.55 || Capital stock paid in. 98. 93 27, 500.00 Surplusfund ': Undivided profits, less current | j expenses and taxes paid 2,000. 00 jj National-bank notes outstanding. 47, 585. 50 ! I State-bank notes outstanding $50, 000. 00 1, 300.00 927. 34 24,750.00 1,502.99 Due to other national banks I Due to State banks and bankers. i 5, 012. 89 Dividends unpaid 478.28 70.94 3, 596.00 3, 006. 00 Individual deposits ' United States deposits Deposits of U.S.disbursing officers. j . Notes and bills rediscounted. Bills payable 72,180.24 10,000. 00 1, 237. 50 Liabilities other than those above stated 159,157. 58 Total. 159,157. 58 730 REPORT OF THE COMPTROLLER OF THE CURRENCY. KEW YORK. First National Bank, Morrisville. No. 245. A. M. HOLMES, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges LOT clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $129,274. 95 31.21 75,000. 00 Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 7, 500. 00 National-bank notes outstanding. 43,050. 00 State-bank notes outstanding 5, 000. 00 1,200. 00 Due to other national banks 70.97 Due to State banks and bankers.. 90.55 0,171. 63 Dividends unpaid 169. 70 Individual deposits 020. 00 United Stat es deposits 56.12 Deposits of U. S. dis bursing officers. 12, 540.00 5,000. 00 Notes and bills rediscounted. Bills payable 1, 075. 00 Liabilities other than those above stated Total . 291,250.13 Total. B. TOMPKINS, Cashier. Liabilities. 20, 000.00 30, 035.36 64, 900. 00 4,862.42 71, 452.35 291, 250.13 Genesee River National Bank, Mount Morris. H. P . MILLS, President. No. 1416. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on (J. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national j>anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $115, 801. 69 2, 039. 77 12, 500. 00 8, 224. 92 10,000. 00 2,125. 00 592.33 H. E. BROWN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 6, 781. 63 Dividends unpaid 1, 844. 81 Individual deposits j 1 I 166. 00 1 United States deposits-. 669.37 Deposits of U.S. disbursing officers J 15, 843. 00 j 2, 610.00 Notes and bills rediscounted Bills payable j 562.50 Liabilities other than those above stated Total. 179, 761. 02 3,200. 00 2, 087. 52 11, 250. 00 5,992.61 94, 730. 89 12,500.00 179, 761.02 First National Bank, Newark. FLETCHER WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks securities etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total E. T. GRANT, Cashier No. 349. $104,462,03 2, 776.05 50, 000. 00 4, 300. 00 4, 000. 00 3, 826. 99 429.46 881. 00 318. 24 4, 021.10 3,0U0. 00 2, 250. 00 180, 264. 87 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. $50, 000 00 10, 000 Of 2, 625. 52 45,000.00 1, 067. 92 .71,571.43 Notes and bills rediscounted Billspayable Liabilities other than those above Total 180,264. 87 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 731 YORK. First National Bank, New Berlin. CHAS. B. WILLIAMS, President. No. 151. JOHN T. WHITE, Cashier. Resources. Loans and discounts , Overdrafts U. S. bonds to secure circulation .. X S. bonds to secure deposits L U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixture! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total. Liabilities. $223,958.07 780.99 100, 000. 00 100. 00 97,"845. 98 767.54 399. 67 19, 561. 69 481. 69 859.00 126.18 19,194. 90 1, 645. 00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 25, 000. 00 8, 767. 00 90, 000.00 Due to other national banks Due to State banks and bankers. 152. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 246, 301. 71 Notes and bills rediscounted. Bills payable 4,500. 00 Liabilities other than those above stated Total. 470,220. 71 470,220.71 First National Bank of Staten Island, New Brighton. C. H. INGALLS, President. No. 3444. ~ Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,!*urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. H. SPEATT, Cashier. $442,468.73 ;i Capital stock paid in. $100,000.00 112.01 25,000. 00 i Surplusfund Undivided profits, less current i! expenses and taxes* paid National-bank notes outstanding. 8,300. 00 State-bank notes outstanding 11,500.00 39, 355. 71 71, 620.49 1, 052. 55 Due to other national banks i Due to State banks and bankers.. J Dividends unpaid Individual deposits United States deposits 481. 21 Deposits of U.S.disbursing officers 13,549. 25 10,000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated Total. 624, 564.95 45,000.00 16, 050. 03 22,000.00 54.02 201.00 441,259.90 624, 564. 95 Highland National Bank, Newburg. A. DENNISTON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg s owned Due from other national banks . . . Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national oanks. Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. M. G. Mum, Cashier. No. 1106. $584,259.87 644.34 50,000. 00 4,000. 00 10, 375. 00 29, 450.00 14,137. 80 27, 092. 93 2, 377. 70 64, 984. 35 2, 698. 62 556. 00 592. 40 44,170. 50 8,455.00 Capital stock paid in. $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 44,780.04 17, 387. 74 Individual deposits United States deposits Deposits of U .S .disbursingofficers. 352,592.88 27, 093. 85 44,190.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 846,044.51 Total . 846, 044. 51 732 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Newburg. No. 468. JNO. J . S. MCCROSKERY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand . Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other realestate and mortg' s o wned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer V. S $757,970. 21 9.60 400, 000.00 20,000. 00 1, 000.00 26, 000.00 65, 000. 00 38,600. 00 15, 732.26 69.19 75, 782. 00 5,407. 26 7,190.00 295. 68 109, 006.20 3,380. 00 18, 000.00 7, 000.00 1, 550, 442.40 Total. Liabilities. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand •. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $449, 780. 57 80, 000. 00 90, 307. 96 349,800.00 83,313. 57 8, 638. 64 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 538, 382.23 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 550,442. 40 J. N. DICKEY, Cashier. Capital stock paid in j "366*666." 66" I Surplus fund 139, 72, 20, 20, 507. 95 222. 00 206. 71 691.43 360. 76 208,344. 95 12, 256.19 4, 062.00 18.90 80, 266. 00 5, 000. 00 13,500. 00 1, 326, 217.46 Total. $400,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Quassaick National Bank, Newburg. No. 1213. J. N. WEED, President. C. L. C. KERR, Cashier. $300,000.00 60, 000.00 I Undivided profits, less current ! expenses and taxes paid I National-bank notes outstanding. I State-bank notes outstanding 93, 561, 79 263,420. 00 j Due to other national banks Due to State banks and bankers.. Dividends unpaid 65,207.01 1, 774.70 Individual deposits United States deposits Depositsof U.S. disbursing officers. 542, 253.96 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 1,326,217.46 Huguenot National Bank, New Paltz. JACOB LEFEVER, President Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures| Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house...... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1186. $206,394. 24 788. 51 50,000. 00 JACOB DEYO, Cashier. Capital stock paid i n [ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding $100,000.00 25,000.00 23, 091. 92 45, 000.00 7, 000. 00 3, 695. 43 123,707. 03 1, 637. 28 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 920.00 253. 72 11,160. 00 3,830. 00 2, 250. 00 411, 636.21 United States deposits Depositsof U.S.disbursingofficers.! 18, 799.01 443. 50 199, 301.78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 411, 636.21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 733 NEW YORK. National Bank, Newport. No. 1655. GEO. H. THOMAS, President. J . T. WOOSTER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand ] Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalibanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S-j Due from Treasurer TJ. S ! $96, 515.41 138. 34 32, 000. 00 36, 263. 24 6, 000. 00 3, 200. 00 1, 781. 37 1,018.30 15,156.45 943. 00 17.30 5,400. 50 4, 000. 00 1, 440. 00 Capital stock paid in. Due to other national banks Due to State banks and bankers. - 10, 000.00 29, 473. 07 28, 800. 00 2, 585.58 2, 761. 38 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 80, 253. 88 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 203, 873. 91 Total. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 203, 873. 91 Total. First National Bank, New York. No. 29. GEO. F. BAKER, President. $11,075,521.64 Loans and discounts 11, 511. 26 Overdrafts 100. 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits 50, 750. 00 U. S. bonds on hand 17,450. 78 Premiums on U. S. bonds 12, 685, 659. 80 Stocks, securities, etc 600,000.00 Bank'g house, furniture, and fixtures Other real estate and mortg's owned 803, 743. 25 Due from other national banks 85, 929.16 Due from State banks and bankers. Due from approved reserve agents. 21,120. 50 Checks and other cash items 2,260, 832. 78 Exchanges for clearing house 5, 232. 00 Bills of other national banks 101. 58 Fractional currency, nickels, cents. 637, 244. 00 Specie 1, 642, 806. 00 Legal-tender notes 2,540,000.00 U. S. certificates of deposit 4, 500. 00 Redemption fund with Treas. U. S 7, 635. 00 Due from Treasurer U. S $500,000. 00 5, 000, 000. 00 2,181, 089.15 83, 400. 00 14,134, 975. 37 Due to other national banks 3, 323, 935.79 Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted i Bills payable - - -! 7,124, 035. 68 202, 601. 76 Liabilities other than those above stated 32, 550, 037.75 Total . E. SOOFIELD, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 32, 550, 037.75 Total. Second National Bank, New York. CHAS. B. FOSDICK, President. No. 2668. $4, 920,150. 07 Loans and discounts 938. 39 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 5, 500. 00 Premiums on U. S. bonds 108,881. 50 Stocks, securities, etc 5, 000. 00 Bank'ghouse,furniture and fixtures Other real estate and mortg's owned 147, 066. 38 Due from other national banks 13, 217. 65 Due from State banks and bankers. Due from approved reserve agents56,140. 75 Checks and other cash items 106, 938. 06 Exchanges for clearing house 8, 208. 00 Bills of other national banks cents. 1,426. 64 Fractional currency, nickels, 968, 229. 00 Specie 609,053.00 Legal-tender notes 270, 000. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 7, 272,999.44 JOSEPH S. CASE, Cashier. Capitalstock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 550, 000. 00 70, 643. 87 39, 360. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 6,292, 272.38 20, 723.19 Liabilities other than those above stated Total. 7,272,999.44 734 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Third National Bank, New York. A. B. HEPBURN, President. No. 87. HENRY CHAPIN, JR., Cashiei. Resources. Liabilities. $9, 521,117. 30 Loans and discounts 6, 539.46 Overdrafts 55,000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits 50," 666! 00 U. S. bonds on hand 2, 678. 75 Premiums on U. S. bonds 269,172. 50 Stocks, securities, etc Bank'ghouse,furniture, and fixtures 53,949.19 Other realestate and mortg's owned 1, 327, 428. 89 Due from other national banks 85, 898.12 Due from State banks and bankers . Due from approved reserve agents. 8, 353.88 Checks and other cash items 357, 984.46 Exchanges for clearing house 9, 323. 00 Bills of other national banks 35.32 Fractional currency, nickels, cents. 2, 037, 929.50 Specie 1, 360, 000. 00 Legal-tender notes U. S. certificates of deposit 2,475. 00 Redemption fund with Treas. U. S. 8, 000.00 Due from Treasurer U. S Capital stock paid in , $1, 000, 000. 00 Surplus fund 200, 000.00 Undivided profits, less current expenses and taxes paid 55, 027. 78 46, 420.00 National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,950,829.44 216,751.46 Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 15,155,885.37 Total 9,185, 491.22 1,493,365.47 8,000.00 15,1557885. 37 Total. Fourth National Bank, New York. No. 290. J . EDWARD SIMMONS, President. $18,837.831.96 Loans and discounts 19, 444. 86 Overdrafts 700, 000. 00 U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand 103, 891.47 Premiums on U. S. bonds 140,900. 00 Stocks, securities, etc 600,000. 00 Bank'ghouse, furniture, andfixtures Other realestate and mortg's owned 1, 009, 610. 86 Due from other national banks 72,535.12 Due from State banks and bankers. Due from approved reserve agents. 41, 728. 89 Checks and other cash items. 1,407,454.50 Exchanges for clearing house 10, 055. 00 Bills of other n ational banks 12.96 Fractional currency, nickels, cents. 839,777.00 Specie 131,000.00 Legal-tender notes 3, 230, 000. 00 U . S . certificates of deposit 31, 500. 00 Redemption fund with Treas. U. S. Due from Treasurer U, S ] $3, 200, 000.00 Surplus fund. | 1, 800,000.00 Undivided profits, less current | expenses and taxes paid 238,464.57 National-bank notes outstanding. 623, 570.00 State-bank notes outstanding Due to other national banks ! 9, 255, 990. 03 1,636,040. 36 Due to State banks and bankers.. I 23, 307. 35 Dividends unpaid ! 9, 971, 708. 00 Individual deposits 356,662. 31 Certified checks United States deposits Deposits ofU.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 50, 000. 00 27,155, 742. 62 Total. CHAS.H.PATTERSON, Cashier. Capital stock paid in 27,ll557742. 62 Total. Fifth National Bank, New York. No. 341. RICHARD KELLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $881,391.13 132. 25 200, 000.00 150,000. 00 546, 100, 30, 129, 2, 627. 39 000. 00 000. 00 014. 46 811. 93 6, 878. 03 140, 597. 36 4, 785.00 289. 30 276,686. 00 84, 009. 00 130, 000. 00 9, 000. 00 A. THOMPSON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. ! $200,000.00 50, 000. 00 262, 919.59 173, 770.00 193,184.51 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable 1,802, 964. 88 9, 382. 87 Liabilities other than those above stated 2, 692, 221. 85 Total 2,692,221.85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 735 NEW I ORK. Sixth National Bank, New York. No. 254. A. H. STEVENS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $710,192.18 308.35 200,000.00 885, 843. 75 122,419.08 1, 052.97 4, 759.18 92,166. 95 2, 665. 00 275.10 217, 614.25 28, 670. 00 100,000.00 6, 250. 00 1, 000. 00 2, 373,216.81 Total. A. E. COLSON, Cashier. Liabilities. Capital stock paid in $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200, 000.00 128, 748.13 175, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursingofficers 1, 666,095. 74 3, 372. 94 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 2, 373, 216. 81 Seventh National Bank, New York. JOHN MCANERNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g lioiiae,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 998. , 528, 411.23 33.51 50, 000.00 3, 000.00 5,491.25 267, 565. 30 15, 000.00 34, 000.00 145, 063. 42 23,057. 76 3,214.21 70, 893.33 1, 500. 00 291.29 271, 214. 08 199, 758. 00 2, 250. 00 2, 404.20 GEO. W. ADAMS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000.00 Due to other national banks Due to State banks and bankers.. 48, 094. 95 23, 755. 05 100, 000. 00 7, 087. 06 45, 000. 00 690. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers . 2, 070, 603.80 27, 916. 72 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2, 623,147.58 Total 2,623,147.58 Ninth National Bank, N e w York. JOHN K. CILLEY, President. No. 387. H. H. NAZEO, Cashier. Loans and discounts $3, 691, 222.81 Capital stock paid in 115. 60 Overdrafts 50, 000.00 Surplus fund TJ. S. bonds to secure circulation Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid TJ. S. bonds on hand National-bank notes outstanding. Premiums on U. S. bonds State-bank notes outstanding 108,018. 00 Stocks securities, etc Bank'g house,furniture,and fixtures 450, 000. 00 Due to other national banks Other real estate andmortg's owned Due from other national banks 357, 416. 04 Due to State banks and bankers.. Due from State banks and bankers. 26, 873.54 Dividends unpaid Due from approved reserve agents. 9, 500.83 Checks and other cash items 204, 904. 67 Individual deposits Exchanges for clearing house 3,800. 00 Certified checks Bills of other nationaljbanks 730. 48 United States deposits Fractional currency, nickels, cents. 500, 346. 00 Deposits of U. S.disbursingofficers. Specie 137,865.00 Notes and bills rediscounted. Legal-tender notes 340, 000.00 Bills payable U S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities other than those above stated 5,883,042.97 Total. Total. $750,000.00 250, 000.00 130,176.27 45, 000.00 1,849, 580. 97 473,472. 83 303.00 2,358,507.12 17, 502. 78 8, 500. 00 5, 883,042. 97 736 REPORT OF THE COMPTROLLER OF THE CURRENCY. HEW YORK. American Exchange National Bank, New York. DUMONT CLARKE, President. No. 1394. EDWARD BURNS, Cashier. Resources. Liabilities. Loans and discounts $18, 242, 974. 98 75,791.71 Overdrafts 4,450,000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits 50, 000. 00 U. S. bonds on band 555, G39. 85 Premiums on U. S. bonds 1,414, 059. 25 Stocks, securities, etc 300, 000.00 Bank'ghouse,furniture,andfixtures 34, 510. 00 Other real estate and mortg's owned 2, 330, 676.97 Due from otber national banks 484,106.75 Due from State banks and bankers. Due from approved reserve agents 405, 887. 23 Checks and other casli itemi 2, 653,966. 62 Exchanges for clearing house 5, 000. 00 Bills of other national banks Fractional currency, nickels,cents. 478,103.19 Specie 1, 671, 963.00 Legal-tender notes 480, 000. 00 U. S. certificates of deposit 200, 250. 00 Eedemption fund with Treas.U. S. 154, 000. 00 Due from Treasurer U. S Total. $5,000, 000.00 Capital stock paid in Surplus fund 2, 000,000. 00 Undivided profits, less current expenses and taxes paid 446, 592. 71 National-bank notes outstanding. 3, 981,480. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 4,766,476.49 2, 637,073.31 6, 413. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S .dis bursin g officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 33, 986,929. 55 14, 833,025. 87 258,173. 20 57,694.97 33, 986, 929. 55 Bank of New York National Banking Association, New York. E. S. MASON, President. No. 1393. Loans and discounts $13, 747, 339. 87 Overdrafts 2, 056.97 U. S. bonds to secure circulation... 50, 000.00 U. S. bonds to secure deposits TJ. S. bonds on hand 50, 000. 00 Premiums on U. S. bonds Stocks, securities, etc 859, 663.13 Bank'g house, furniture, and fixtures 250, 000. 00 Other real estate andmortg's owned Due from other national banks 593,436. 61 Due from State banks and bankers. 128, 675. 30 Due from approved reserve agents. Checks and other cash items Exchanges for clearing house 2, 345,893. 41 Bills of other national banks 2, 000. 00 Fractional currency,nickels, cents. 65.84 Specie 1, 440,100. 00 Legal-tender notes 1,138, 500. 00 U. S. certificates of deposit 760,000. 00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total . CHARLES OLNEY, Cashier. I Capital stock paid in $2,000,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 000, 000.00 Due to other national banks Due to State banks and bankers.. 3, 059, 588.01 2, 557,539. 62 959, 723.71 45,000. 00 1, 225. 00 Dividends unpaid 10,587,030. 96 Individual deposits 1,129,873.83 Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 21, 369, 981.13 30, 000. 00 21, 369,981.13 Central National Bank, New York. No. Loans and discounts $8,495, 670. 51 Overdrafts 1,133. 08 U. S. bonds to secure circulation... 400,000. 00 U. S. bonds to secure deposits 60, 000.00 U. S. bonds on hand 155,600. 00 Premiums on U.S. bonds 54,513. 00 Stocks, securities, etc 88, 807.60 Bank'g house,furniture,and fixtures 800, 000. 00 Other real estate and mortg's owned 189, 679. 00 Due from other national banks 1,118, 716.40 Due from State banks and bankers. 157, 401. 69 Due from approved reserve agents. Checks and other cash items 49, 801. 34 Exchanges for clearing house 574, 042.19 Bills of other national banks 18,062. 00 Fractional currency, nickels, cents. 5,410.12 Specie 732, 987. 50 Legal-tender notes 807, 913. 00 U. S. certificates of deposit 980, 000. 00 Redemption fund with Treas. U. S. 18,000. 00 Due from Treasurer U. S 30, 000. 00 EDWIN LANGDON, President. Total , 14,737,737.43 376. C. S. YOUNG, Cashier. | $2,000, 000.00 Capital stock paid in Surplusfund 400, 000. 00 Undivided profits, less current expenses and taxes paid 132, 643. 06 National-bank notes outstanding. 356, 050.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 554, 890.47 1, 047, 064.42 Individual deposits Certified checks , United States deposits Deposits of U.S.disbursingofficers. 7,145,191.71 40, 239.86 4,119.66 57,538.25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 14,737,737.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 737 NEW YORK. Chase National Bank, New York. H. W. CANNON, President. No. 2370. J. T. MILLS, J R . , Cashier. Resources. Liabilities. Loans and discounts $14, 954, 408. 80 Overdrafts 4, 683. 41 TJ. S. bonds to secure circulation... 50, 000. 00 U. 8. bonds to secure deposits 200, 000. 00 U. S. bonds on band 167, 350. 00 Premiums on U. S. bonds 26, 782. 06 Stocks, securities, etc 2, 882,266.11 Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned; Due from other national banks 759, 750. 57 Due from State banks and bankers. 239,149. 84 Due from approved reserve agents. 5, 855. 93 Checks and other cash items 375, 878.15 Exchanges for clearing house 45, 250. 00 Bills of other national banks 262.13 Fractional currency, nickels, cents. 739, 586. 00 Specie 883, 838. 00 Legal-tender notes 4, 020, 000.00 U . S . certificates of deposit 2, 250. 00 Redemption fund with Treas. U. SDue from Treasurer TJ. S Capital stock paid in | $500, 000.00 Surplus fund | 1, 000, 000. 00 Undivided profits, less current expenses and taxes paid 284, 769. 70 National-bank notes outstanding. 45,000.00 State-bank notes outstanding Total Due to other national banks Due to State banks and bankers. Dividends unpaid 9,309,113. 60 9, 312, 523. 30 Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. 4,641,779.71 153, 674. 33 110, 450. 3 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 25,357,311.00 25,357, 311. 00 Total. Chatham National Bank, New York. GEO. M. HARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1375. H. P. DOREMUS, Cashier. ., 452, 975. 78 Capital stock paid in $450,000.00 5, 460. 82 800, 000. 00 50,000. 00 Surplus fund Undivided profits, less current 208,413. 64 expenses and taxes paid 150, 000. 00 44, 700.00 20, 000. 00 National-bank notes outstanding. 193, 650. 00 State-bank notes outstanding 1, 009,125. 95 "*49,'506.50" Due to other national banks 268, 833. 84 488, 519. 56 Due to State banks and bankers.. 39, 071. 75 92.00 Dividends unpaid 5, 506,643.59 "*36,"23L93" 1 42, 631.15 274,135.18 Individual deposits 550. 00 Certified checks 2, 030.15 United States deposits 911,290.50 Deposits of U.S. disbursing officers 454, 768. 00 Notes and bills rediscounted. 200, 000. 00 Bills payable 2, 250.00 Liabilities other than those above stated , 8, 330, 440.17 8, 330,440.17 Total. Chemical National Bank, New York. GEO. G. WILLIAMS, President. No. 1499. $23,115, 802.19 Loans and discounts 17,110. 90 Overdrafts. 50, 000. 00 TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 1, 742,084. 60 Bank ghouse,furniture,andfixtures 250, 000. 00 Other real estate and mortg's owned 39, 640. 25 Due from other national banks 1,231,579.13 804,127.92 Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items 152,751.01 Exchanges for clearing house 1, 358, 684. 02 50,500. 00 Bills of other national banks 10,180. 00 Fractional currency, nickels, cents. 3, 245, 349. 64 Specie 4, 890, 693. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 38, 238.9 Total CUR, http://fraser.stlouisfed.org/ PT 2Federal Reserve Bank of St. Louis 36, 996, 741. 64 WILLIAM J . QUINLAN, J R . , Cashier. Capital stock paid in Su rplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofiicers. Notes and bills rediscounted. Bills payable $300, 000.00 6, 000,000. 00 1, 395, 442.57 10,874. 66 3,751,858.96 1, 670,402. 76 375. 00 23, 796, 890. 91 70, 897.44 Liabilities other than those above stated Total 36,996,741.64 738 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Continental National Bank, New York. EDMUND D. RANDOLPH, President. No. 1389. ALF. H. TIMPSON, Cashier. Resources. Liabilities. Loans and discounts $4, 378, 067.42 Overdrafts 17.90 U.S. bonds to secure circulation 50,000.00 U. S. bonds to secu re deposits U. S. bondson hand 406,100. 00 Premiums on U. S. bonds 69, 937. 50 Stocks, securities, etc 340, 640. 84 Bank'ghouse,furniture,andfixture-i 385, 000. 00 Other real estato and mortg's owned 200, 000. 00 Due from other national banks 194,591.47 Dae from State banks and bankers. 81, 872.45 Due from approved reserve agents. Checks and other cash items 6, 802.84 Exchanges for clearing house 154,239.94 Bills of othernational banks 8,133. 00 Fractionalcurrency,nicke]s, cents. 550.96 Specie 1,043, 817. 75 217, 000. 00 Legal-tendernotes 580,000.00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S $1,000,000.00 Capital stock paid in Surplus fund 200, 000.00 Undivided profits, less current 10,419.85 expenses and taxes paid 31,637.50 National-bank notes outstanding. State-bank notes outstanding 2, 250, 288.07 Due to other national banks 680, 537.89 Due to State banks and bankers.. Total. 8,448.42 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable 3, 910, 739. 72 26, 950. 62 Liabilities other than those above stated 8,119, 022.07 Total. 8,119,022.07 East River National Bank, New York. CHARLES JENKINS, President. Loans and discounts O ve rdrafts U. S. bonds to secure circulation... U. S. bond s to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,andfixtures Other real est ate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Z. E. NEWELL, Cashier. No. 1105. $729,423.47 2, 063. 04 250, 000.00 10, 000.00 26, 682. 00 151. 812. 68 100,000. 00 58, 560. 53 1,456. 66 10, 630.10 26, 722.17 1,312.00 586.11 164, 737. 50 58, 022. 00 40, 000. 00 11, 250. 00 Capital stockpaidin Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 50, 000.00 91,406.49 223,650.00 5, 082.44 Dividends unpaid Individual deposits.'. Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Billspayable Liabilities other than those above stated Total. 1, 643, 258.26 $250,000.00 1,009,173.13 9,750.20 4,196. 00 1, 643, 253. 26 Franklin National Bank, New York. ELLIS H. ROBERTS, President. Loans and discounts O v er d r aft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U, S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4855. $445, 923. 80 1,152. 94 50, 000.00 6,000. 00 21, 713. 08 4, 501.88 83,805.45 570. 85 292.20 36,523.61 1,131. 00 90.48 43, 543.00 26,110. 00 2, 250.00 723, 608.29 NATHAN D. DABOLL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers... $200,000. 00 40, 000. 00 2, 827. 28 43, 980. 00 30,490.08 Dividends unpaid Individual deposits Certified checks United States deposits Deposits ofU.S.disbursing officers. Notes and bills rediscounted. Billspayable 386, 231.51 5,079.42 15, 000.00 Liabilities other than those above stated Total. 723,608.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 739 NEW YORK. Gallatin National Bank, New York. FREDK. D. TAPPBN, President. A. W. SHERMAN, Cashier. No. 1324. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,f nrniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $1, 000, 000. 00 $4, 549, 338.21 Capital stock paid in 4, 990.00 1,000,000.00 1, 000, 000. 00 Surplus fund Undivided profits, less current 684, 424. 79 expenses and taxes paid 60, 000. 00 884. 540. 00 95,053. JO National-bank notes outstanding. 990,462. 88 State-bank notes outstanding 500, 000. 00 Due to other national banks 1, 563, 081. 87 21,900.00 452, 664.12 231,829.88 Due to State banks and bankers.. 8,754.46 777. 00 Dividends unpaid 4, 698,467. 99 5. 011. 49 Individual deposits 300, «31. 04 ,120,868.00 42. 800. 00 Certified checks 266. 79 United States deposits 518, 632. 00 Deposits of U.S.disbursingofficers. 459, 880. 00 Notes and bills rediscounted. 930,000. 00 Bills payable 45, 000. 00 Liabilities other than those above stated Total . 10, 584, 786. 81 10, 584, 786. 81 Garfield National Bank, New York. W . H. GELSHENEN, President. No. 259 Loans and discounts I $4,000, 765.47 492.70 Overdrafts 200,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 22, 000. 00 Premiums on U. S. bonds 104, 700. 00 Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned 199, 583. 50 Due from other national banks 24, 071. 88 Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items 15,478. 62 Exchanges for clearing house 161,935.58 Bills of other national banks 12,400. 00 Fractional currency, nickels, cents. 9,913.12 787,565. 00 Specie Legal-tender notes 297, 639. 00 U. S. certificates of deposit 590, 000. 00 Redemption fund with Treas. U. S. 9, 000. 00 Due from Treasurer U. S Total . R. \V. POOR, Cashier. Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid.-. National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 6,435, 544.87 $200,000.00 500, 000. 00 123, 437.10 178,460. 00 385, 047. 32 459,122. 41 4,545, 605.55 38, 767. 37 5,105.12 6, 435,544.87 Hanover National Bank, New York. JAS. T. WOODWARD, President. No. 1352. Loans and discounts $13,107,954.11 Overdrafts 2,196. 88 U. S. bonds to secure circulation... 550,000. 00 U. S. bonds to secure deposits 200, 000. 00 U. S. bonds on hand 500,000. 00 Premiums on U. S. bonds 154,280. 44 Stock, securities, etc 35, 918. 25 Bank'g bouse,furniture and fixtures 1,350,000.00 Other real estate and mortg's owned 12,800. 00 Due from other national banks 808, 665.48 Due from State banks and bankers. 364,229. 93 Due from approved reserve agents . Checks and other cash items 27, 603.18 Exchanges for clearing house. 1,061,621.35 Bills of other national banks 20, 400. 00 Fractional currency, nickels, cents. 33.41 Specie 3, 817, 559. 00 Legal-tender notes 723, 235. 00 U. S. certificates of deposit 1, 060,000. 00 Redemption fund with Treas. U. S. 24, 750.00 Due from Treasurer U. S Total. 23,821,247.03 V M . HALLS, JR., Cashier, $1,000,000.00 Capital stock paid in Surplusfund 1, 800, 000. 00 Undivided profits, less current expenses and taxes paid 152, 357. 35 National-bank notes outstanding. 495, 000.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted. Bills payable 8, 905, 253.83 4, 541, 757.08 3,121. 00 6, 244, 927. 47 80,150. 30 180, 000. 00 Liabilities other than those above stated Total . 418, 680. 00 23, 821, 247. 03 740 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Hide and Leather National Bank, New York. D. S. EAMSAY, President. ' No. 4567. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... D S. bonds to secure deposits D. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. 50,000. 00 32,025. 00 168, 000. 58 10,000. 00 550,609. 84 52,188. 44 14, 289. 34 141,734.17 40,000.00 104. 45 144,869.00 117, 375. 00 6, 750. 00 CLARENCE FOOTE, Acting Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable $500, 000. 00 50,000. 00 60, 331. 75 133, 560. 00 625, 429.88 130, 666.19 1, 349, 527.00 6, 807.05 Liabilities other than those above stated 2, 856,321.87 Total. 2, 856,321.87 Importers and Traders' National Bank, New York. E. H. PERKINS, J R . , President. No. 1231. Loans and discounts $21, 862, 503.52 Overdrafts 46.03 XT. S. bonds to secure circulation... 50, 000.00 TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds ! Stocks, securities, etc Bank'g house,furniture,and fixtures) 200,000. 00 Other real estate and mortg's owned Due from other national banks 1, 231, 285.45 Due from State banks and bankers. 56, 376. 81 Due from approved reserve agents. Checks and other cash items 144, 471. 74 Exchanges for clearing house 1, 296, 239. 77 Bills of other national banks 74, 683. 00 Fractional currency, nickels, cents. 650. 00 Specie 3, 697, 000.00 Legal-tender notes 931, 089.00 TJ. S. certificates of deposit 1, 590, 000. 00 Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer TJ. S 2, 000. 00 Total 31,138,595.32 EDWARD TOWNSEND, Cashier. $1,500,000.00 Capital stock paid in Surplus fund 5, 000, 000.00 TJndivided profits, less current 521, 646. 92 expenses and taxes paid National-bank notes outstanding. 42,480. 00 State-bank notes outstanding 5, 682. 00 Due to other national banks 8,109, 864. 50 Due to State banks and bankers. . 3,432,260.16 Dividends unpaid 7, 962. 00 Individual dep •sits. 12,474, 500.48 44,199. 26 Certified check United States deposits Deposits oi'U. S.disbursing officers - Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total 31,138, 595.32 Irving National Bank, New York. C. H. FANCHER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. G. E. SOUPER, Cashier. No. 1357. !, 472, 453. 65 Capital stock paid in. $500, 000.00 155. 99 100, 000.00 250, 000. 00 Surplus fund Undivided profits, less current 242, 791. 53 expenses and taxes paid 222,720.00 29, 375. 00 National-bank notes outstanding. 352, 973.09 State-bank notes outstanding 100,000. 00 Due to other national banks 314, 296. 22 23, 800. 00 511, 980.57 430, 426. 76 Due to State banks and bankers.. 59,816. 83 186.00 Dividends unpaid 2, 758, 683.31 13,573.59 Individual deposits 44, 249. 66 166. 643.17 12,500.00 Certified checks 746.41 . United States deposits 277, 775. 00 | Deposits ofU. S.disbursing officers. 373,094.00 Notes and bills rediscounted. 100, 000. 00 j Bills payable 11,250.00 20, 323. 80 Liabilities other than those above 4, 694, 907. 29 stated Total . 4, 694, 907.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 741 NEW YORK. Leather Manufacturers' National Bank, New York. JOHN T. WILLETS, President. No. 1196. ISAAC H. WALKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds on hand J Premiums on U. S. bonds Stocks, securities, etc Eank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Liabilities. $1,388,688.15 1,356.43 500, 000.00 56,195. 93 1,186, 629.15 207,000. 00 276,018. 82 23, 757.09 16, 048. 72 112,694.07 12,180. 00 160. 16 303, 483. 34 227, 765.00 1,180, 000. 00 22, 500. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $600, 000. 00 Due to other national banks Due to State banks and bankers.. 419,139.15 393, 591. 31 Dividends unpaid 80, 699. 80 424, 740.00 4, 239. 87 Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. 3,169, 022. 82 23, 043.91 Notes and bills rediscounted Bills payable Liabilities other than those above stated 5,514,476. 86 Total 400, 000. 00 Total 5, 514, 476. 86 Liberty National Bank, New York. HENRY C. TINKER, President. No. 4645. Loan and discounts $1,854, 720. 98 Overdrafts 25.67 500, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 50,000.00 Premiums on U. S. bonds 64, 243. 29 Stocks, securities, etc 189 661.12 Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks 160,163. 72 6, 969. 77 Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items 2, 045. 43 Exchanges for clearing house 109, 697. 84 Bills of other national banks 11,000.00 Fractional currency, nickels, cents. 63.03 82,185. 45 Specie 258, 528.00 Legal-tender notes 160,000. 00 U. S. certificates of deposit 22, 500. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. HENRY P . DAVISON, Cashier. Capital stock paid in I Surplus fund I Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingoflicers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 3,471,804.30 Total. $500,000.00 148, 609.11 446; 100.00 493, 743. 89 173, 826. 89 1, 701, 987. 20 7, 537. 21 3,471,804. 30 Lincoln National Bank, N e w York. THOMAS L. JAMES, President. No. 2608. Loans and discounts $3, 826,263. 01 Overdrafts 710.13 U. S. bonds to secure circulation... 250,000.00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 10,500.00 Stocks, securities, etc 1, 480,178.13 Bank'ghouse, furniture, and fixtures 4, 500. 00 Other real estate and mortg's owned Due from other national banks 411,014.08 Duefrom State banks and bankers. 71,356. 43 Due from approved reserve agents. Checks and other cash items 96,124. 26 Exchanges for clearing house 170, 428. 51 Bills of other national banks 31, 395. 00 Fractional currency, nickels, cents. 508. 09 Specie 1, 373, 242.20 Legal-tender notes 513, 921. 00 U.S. certificates of deposit 2,240, 000.00 Redemption fund with Treas. U. S. 11, 250. 00 Due from Treasurer U. S. Total. 10,491, 390. 84 W. T. CORNELL, Cashier. Capital stock paid in $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding 550, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 149, 830.13 707, 778. 06 367. 50 Individual deposits Certitiedi;h ecks United States deposits Deposits of U.S.disbursing officers 8, 499, 501. 06 45, 401. 81 17, 252. 28 221, 260.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 10,491, 390.84 742 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W YORK. Market and Fulton National Bank, New York. KOBERT BAYLES, President. No. 964. ALEXANDER GILBERT, Cashier. Resources. Liabilities. Loans and discounts $3,977,401.02 281.11 Overdrafts 50, 000.00 U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 4, 500.00 Premiums on U. S. bonds 31, 355.33 Stocks, securities, etc 500, 230.00 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned 476, 436. 34 Due from other national banks 21, 592.16 Due from State banks and bankers. Due from approved reserve agents. 128, 854. 95 Checks and other cash items 239, 322. 34 Exchanges for clearing house 83, 639. 00 Bills of other national banks Fractional currency, nickels, cents. 390,488. 97 Specie 383,418. 00 Legal-tender notes 600, 000.00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. TL S. Due from Treasurer TJ. S Total . Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursingofficers. Notes and bills rediscounted. Bills payable $750, 000.00 750, 000.00 97,101.10 45, 000.00 273, 763. 61 282, 764.44 715.00 4, 666,128. 92 24, 296.15 Liabilities other than those above stated Total . 6, 889,769.22 6,889,769.22 Mechanics' National Bank, New York. H. E. GARTH, President. No. 1250. $9, 009, 284. 21 Loans and discounts .38 Overdrafts U. S. bonds to secure circulation... 50,000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 97, 693. 80 Stocks, securities, etc 545, 796. 92 Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned 639,823. 34 Due from other national banks 86,123. 03 Due from State banks and bankers. Due from approved reserve agents. 115,299.91 Checks and other cash items 847,078.25 Exchanges for clearing house 15,000. 00 Bills of other national banks 545. 57 Fractional currency, nickels, cents1, 091,168. 50 Specie 239, 980. 00 Legal-tender notes 2, 030, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total GRANVILLE W. GARTH, Cashier. Capital stock paid in } $2, 000, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1,157, 963.14 2, 610, 8C3. 44 1,114, 574.26 6, 693. 50 Dividends unpaid Indi vidual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 14, 767, 793. 91 1,000,000.00 Total. 6, 751, 019. 26 126, 740.31 14, 767, 793. 91 Mercantile National Bank, New York. WM. P . ST. JOHN, President. No. 1067. $6, 805, 017.74 Loans and discounts 405. 90 Overdrafts 228,500.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds ou hand Premiums on U. S. bonds 61,382.62 Stocks, securities, etc 200, 000. 00 Bank'g house,furniture, and fixtures Other real estate and mortg's owned 630, 037. 91 Due from other national banks 43, 093.81 Due from State banks and bankers. Due from approved reserve agents. 15, 830. 79 Checks and other cash items Exchanges for clearing house # 632,037.01 6, 932.00 Bills of other national banks Fractional currency, nickels, cents. 1, 554, 457. 93 Specie 323, 300. 00 Legal-tender notes 565, 000.00 U. S. certificates of deposit 10,121.85 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 11,076,117.56 F . B. SCHENCK, Cashier. Capital stock paid in $1, 000, 000. 00 Surplus fund 900, 000.00 Undivided profits, less current expenses and taxes paid 59, 585.20 National-bank notes outstanding. 45, 000.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers-. 3,689,921.06 1, 364,675. 99 Dividends unpaid Individual deposits Certified checks United States deposits Deposi ts of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 3, 948, 354.06 59, 656. 25 8,925.00 I 11,076Tll7T56 REPORT OF THE COMPTROLLER OF THE CURRENCY. IVEW 743 YORK. Merchants' Exchange National Bank, New York. PHINEAS C. LOUNSBURY, President. No. 1080. A . S. APGAR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, e t c . . . . , Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing; house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. !, 865,134. 79 Capital stock paid in 527. 23 50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid 5,000. 00 National-bank notes outstanding. State-bank notes outstanding 82, 775.00 Due to other national banks 288, 653. 69 Due to State banks and bankers.. 25, 029. 52 Dividends unpaid 45,129. 88 151,192. 93 Individual deposits 6, 242. 00 Certified checks 3, 079. 80 United States deposits 786, 538. 55 DepositsofU.S.disbursingofficers. 120, 400. 00 Notes and bills rediscounted . 340, 000. 00 Bills payable 2, 250. 00 Liabilities other than those above stated Total. 5, 771, 953.39 $600, 000.00 72, 500.00 88, 786. 58 43, 997. 50 1, 740, 905. 23 774,138. 27 3, 969.52 2, 443, 651. 60 4, 004.69 5, 771,953. 39 Merchants' National Bank, New York. R. M« GALLAWAY, President. No. 1370. $10,386, 218. 53 Loans and discounts 12.02 Overdrafts U. S. bonds to secure circulation... 50, 000.00 U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc 320, 678. 87 Bank'g house,f urniture,and fixtures 870, 000.00 Other real estate and mortg's owned Due from other national b a n k s . . . . 818, 990. 84 Due from State banks and bankers. 133,517.62 Due from approved reserve agents. 20, 466. 32 Checks and other cash items Exchanges for clearing house 294,614.11 Bills of other national panks 18,962. 00 Fractional currency, nickels, cents. 440.08 1, 412, 276. 60 Specie 820, 500. 00 Legal-tender notes 280, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total C. V. BANTA, Cashier. Capital stock paid in $2, 000, 000.00 Surplusfund 500,000.00 Undivided profits, less current expenses and taxes paid 454, 915.11 National-bank notes outstanding. 2, 624. 00 State-bank notes outstanding Due to other national banks 3,231,771.07 4, 473, 728. 53 Due to State banks and bankers.. 5,120.50 Dividends unpaid 4, 635, 856.21 Individual deposits 99, 661.57 Certified checks United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted . Bills payable Liabilities other than those above stated 15,426,676.99 Total. 23, 000.00 15,426, 676. 99 National Bank of Commerce, New York. W. W. SHERMAN, President. No. 733. Loans and discounts $15,061,663. 93 Overdrafts 2,534,000. 00 U. S. bonds to secure circulation... 300, 000. 00 U. S. bonds to secure deposits 1, 000, 000. 00 U.S. bonds on hand Premiums on U. S. bonds 339,270. 00 1,882,525.30 Stocks, securities, etc 810,000 00 Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned 87, 600. 00 Due from other national banks 1, 382, 860. 62 Due from State banks and bankers. 166,409. 30 Due from approved reserve agents. Checks and other cash items 42, 557. 62 Exchanges for clearing house 2.485,903. 44 Bills of other national banks 70,175. 00 Fractional currency, nickels, cents. 2,110.40 Specie 676,384. 00 Legal-tender notes 2, 724, 635.00 U. S. certificates of deposit 300, 000. 00 Redemption fund with Treas. U. S. 114, 030. 00 Due from Treasurer U, S 8, 590. 00 Total 29,988,714. 61 W. C. DUVALL, Cashier. Capital stock paidin $5,000,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 000,000. 00 Due to other national banks Due to State banks and bankers.. 3, 234,561. 24 4, 882,135. 26 Dividends unpaid 1, 562,824. 98 1, 655, 970.00 5, 672. 00 Individual deposits 10,969,715.81 Certified checks 407, 835. 32 United States deposits 246,872. 89 Deposits of U.S. disbursing officers. 23,127.11 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 29,988,714.61 744 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank of North America, New York. "WARNER V A N NORDEN, President. No. 4581. ALVAH TROWBRIDGE, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Liabilities. $5, 534, 269. 78 6, 544. 32 r «0. 000. 00 5, 000. 00 197, 639. 96 4, 500. 00 430,920. 37 156, 818.14 10, 364. 26 151, 279. 22 4, 805. 00 132.46 775,728. 75 363,528. 00 130, 000. 00 2, 250. 00 300. 00 Capital stock paid in Surplusfand ^ Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $700, 000.00 500, 000. 00 Due to other national banks Due to State banks and bankers.. 1,293,277.34 898, 037.67 3, 336.90 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 4, 267, 363.83 22, 668. 48 Liabilities other than those above stated 7,824, 080. 26 Total. 94, 396.04 45, 000. 00 Total. 7,824,080. 26 National Bank of the Republic, New York. OLIVER S. CARTER, President. No. 1000. CHARLES H. STOUT, Cashier. $11,591,760.60 j Capital stock paid in , $1, 500, 000. 00 Loans and discounts 2,955.41 I Overdrafts 500, 000. 00 950,000.00 ! Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid 412,168.93 U. S. bonds on hand 770, 860. 00 115,000.00 National-banknotes outstanding. Premiums on U. S. bonds 422, 093. 82 State-bank notes outstanding Stocks, securities, etc 637,684.16 Due to other national banks Bank'ghouse,furniture,andfixtures 9, 919,173.73 7, 500. 00 Other real estate and mortg's owned 1, 671,460. 85 Due to State banks and bankers.. 3,174,889.71 Due from other national banks 221, 703. 82 Due from State banks and bankers. 21,156. 00 Dividends unpaid Due from approved reserve agents. 7, 041. 58 3, 935, 420. 84 Checks and other cash items Individual deposits 764,705.48 Exchanges for clearing house 34, 824.20 24, 966. 00 Certified checks Bills of other national banks 110.69 United States deposits Fractional currency, nickels, cents. 1, 363, 913. 00 Deposits of U.S.disbursingofficers. Specie 512,428. 00 Notes and bills rediscounted Legal-tender notes 1, 930, 000. 00 Bills payable U. S. certificates of deposit 42, 750. 00 Redemption fund with Treas. U. S. 2, 420. 00 Liabilities other than those above Due from Treasurer U. S stated , Total Total 20, 268,493.41 20, 268,493. 41 National Broadway Bank, New York. FRANCIS A. PALMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . A. T . J . R I C E , Cashier, No. 687. $6, 396, 347.49 63. 95 50, 000. 00 4, 900. 00 170,533.34 450, 000.00 283,114.74 19, 375. 20 $1,000, 000. 00 Capital stock paid in Surplus fund 1, 000, 000. 00 Undivided profits, less current expenses and taxes paid 618, 482.11 National-bank notes outstanding. 45,000, 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 59, 414. 06 113, 954.49 Individual deposits Certified checks 509.37 United States deposits 1, 003,317.15 Deposits ofU.S.disbursing officers. 260,855. 00 Notes and bills rediscounted . 500, 000. 00 Bills payable 2, 250. 00 600. 00 Liabilities other than those above stated 9, 315, 234. 79 Total 1, 246, 488. 21 38, 900. 50 681.00 5, 356,116.37 19,566. 60 9,315,234.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 745 NEW YORK. National Butchers and Drovers' Bank, New York. G-. Gr. BRINCKERHOFF, President. W M . H. CHASE, Cashier. No. 1261. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. , 134, 547. 22 4.45 50, 000. 00 5, 584. 50 357,142. 27 80, 000. 00 146,630.92 5,431.65 10, 400. 08 26,318.51 55. 00 1,457.05 153, 831. 50 141, 690. 00 70, 000. 00 2, 250. 00 Capital stock paid in Surplus fund Undivided proiits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 200, 000. 00 1 24, 887. 77 42, 920. 00 105, 822.41 1,541.95 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 2,185, 349.15 $300, 000. 00 1,495, 440. 05 9, 963. 37 4, 773. 60 2,185,349.15 National Citizens' Bank, New York. W. H. OAKLEY, President. No. 1290. $2, 787, 733. 78 Loans and discounts 5.66 Overdrafts 200, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds 25, 500. 00 Stocks, securities, etc j 276, 600. 00 Bank'ghouse,furniture,andfixturesi Other real estate and mortg's owned 9, 000. 00 222, 469. 39 Due from other national banks 24.173. 99 Due from State banks and bankers. Due from approved reserve agents. 41,167.54 Checks and other cash items 100, 243. 69 Exchanges for clearing house 4, 517. 00 Bills of other national banks 877.90 Fractional currency, nickels, cents. 565,126. 00 Specie 80, 000. 00 Legal-tender notes 170, 000. 00 U.S. certificates of deposit 9, 000. 00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. D. C. TIEBOUT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $600, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 8, 275. 44 127, 874. 30 1, 260. 83 3,195, 321. 62 14,194. 04 Liabilities other than those above stated 4, 516, 414. 95 Total. 120,000. 00 259, 488. 72 180, 000.00 10,000.00 4, 516, 414.95 National City Bank, New York. JAMES STILLMAN, President. No. 1461. Loans and discounts $21, 689,129. 83 0 rerdrafts 4, 088. 88 900, 000. 00 U. S. bonds to secure circulation... 200, 000. 00 U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc 546,174.19 Bank'ghouse,furniture,andfixtures 200, 000. 00 Other real estate and mortg's owned Due from other national banks 2,311,474.36 Due from State banks and bankers . 62, 393. 07 Due from approved reserve agents. Checks and other cash items 152, 482. 83 Exchanges for clearing house 3,053,701.38 Bills of other national banks 15, 025. G O Fractional currency, nickels, cents. 300. 71 Specie 7, 931, 920. 00 Legal-tender notes 459, 000. 00 U. S. certificates of deposit 5, 295, 000. 00 Redemption fund with Treas. U. S. 40, 500. 00 Due from Treasurer U. S 42,446. 73 Total 42, 903, 636. 98 GEORGE D. MEEKER, Cashier. Capital stock paid in $1, 000, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 000, 000. 00 Due to other national banks Due to State banks and bankers.. 3, 308, 264. 00 1,499,913.34 2, 209,576.03 804, 000. 00 Dividends unpaid 560. 00 Individual deposits 32, 610, 475. 26 Certified checks 290, 848. 35 United States deposits 180, 000. 00 Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 42, 903, 636. 98 746 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W YORK. National Park Bank, New York. EDWARD E. POOR, President. No. 891. GEORGE S. HICKOK, Cashier. Resources. Liabilities. Loans and discounts $26,481,166.90 747. 70 Overdrafts 50, 000.00 U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds 533,164. 97 Stocks, securities, etc Bank'g house, furniture,and fixtures 1, 064, 250. 00 Other real estate and mortg's owned 100. 00 Due from other national banks 820, 986. 74 Due from State banks and bankers. 178,038.26 Due from approved reserve agents. 18, 332. 45 Checks and other cash items 2, 505, 298. 20 Exchanges for clearing house 5, 260. 00 Bills of other national banks Fractional currency, nickels, cents. 2, 508,18 Specie 2, 384, 717.10 4, 078,125. 00 Legal-tender notes U. S. certificates of deposit 2, 585, 000. 00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 64, 000. 00 Total Capital stock paid in $2, 000, 000. 00 Surplus fund 2, 500, 000. 00 Undivided profits, less current i expenses and taxes paid 645, 016. 29 National-bank notes outstanding. 44,300.00 State-bank notes outstanding I Due to other national banks 10, 719, 285.36 Due to State banks and bankers..| 3, 981, 627.41 Dividends unpaid 1, 245.00 Individual deposits 20,485, 675. 22 Certified checks 396, 796. 22 United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated 40,773,945.50 Total. 40, 773, 945. 50 National Shoe and Leather Bank, New York. JOHN M. CRANE, President. No. 917. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S. Due from TreasurerU. S Total. 1,141,109. 31 243. 47 300,000. 00 44, 577. 02 82, 900. 00 500, 000. 00 JOHN I. COLE, Cashier. Capital stock paid in j $1, 000, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 32, 330. 85 267, 277. 50 Due to other national banks 578, 426. 01 292, 314. 62 331, 591. 94 43, 287.23 Due to State banks and bankers.. 13, 790.43 176, 858.85 6,705. 00 1, 732. 81 372, 845. 00 358, 469. 00 30, 000. 00 13, 500. 00 Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers, j Notes and bills rediscounted | Bills payable Dividends unpaid 3, 239,252. 20 8, 008. 88 Liabilities other than those above stated 5,417, 610.06 5, 417, 610.06 Total . National Union Bank, New York. J o s . C. HENDRIX, President. No. 4898. $10, 001,193.05 Loans and discounts Overdrafts 200," 66o! 00* U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand 8, 400. 00 Premiums on U. S. bonds 310,328.35 Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned 212,313.77 Due from other national banks 47,159.06 Due from State banks and bankers. Due from approved reserve agents. 5,931. 00 Checks and other ca,sh items 337,060. 20 Exchanges for clearing house Bills of other national banks 415.80 Fractional currency, nickels, cents. 585, 840. 00 Specie 239, 605. 00 Legal-tender notes 2,400, 000. 00 U. S. certificates of deposit 9, 000. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 14, 357,246. 23 EDWARD O. LEECH, Cashier. Capital stock paid in > $1, 200,000.00 Surplusfund | Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding J Due to other national banks 300,000. 00 115,475.02 175,335.00 | 2,237, 283.83 Due to State banks and bankers . . i 571, 490.15 Dividends unpaid j Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable I 8,996, 560. 60 ! 745,101. 63 ! | ] Liabilities other than those above stated Total 16,000.00 ! 14, 357, 246.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 747 NEW YORK. New York County National Bank, New York. FRANCIS L. LELAND, President. No. 1116. F . M. BREESE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banksDue from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $1,350 087.26 '641.17 50,000 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 1. 636, 705. 84 State-bank notes outstanding 60, 000. 00 32,102.14 Due to other national banks 167, 668. 85 Due to State banks and bankers.. 40, 000.00 434,199. 52 45, 000.00 32, 043.10 Dividends unpaid 14,075. 21 158, 346 03 20, 277. 00 5,047 66 597, 725. 00 125, 765. 00 2,250. 00 302. 50 Individual deposits Certified checks United States deposits Deposits of U. S disbursing officers. Notes and bills rediscounted. Bills payable 3,441,580.19 28,170.85 Liabilities other than those above stated 4, 220,993. 66 Total. $200, 000.00 4,220,993. 66 Total New York National Exchange Bank, N e w York. D. B. HALSTEAD, President. No. 345. ISAAC HOWLAND, Cashier. Loans and discounts $1,184, 625.87 Capital stock paid in $300,000. 00 Overdrafts 267.51 60, 000.00 U. S. bonds to secure circulation... 100, 000. 00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits 23, 019.17 expenses and taxes paid U S bonds on hand 90, 000. 00 7, 500. 00 National-bank notes outstanding. Premiums on U. S. bonds 161, 368. C9 State-bank notes outstanding Stocks, securities, etc 57, 396. 48 Bank'g house, furniture,and fixtures 41, 713. 53 10,000. 00 Due to other national banks Other real estate and mortg's owned 64, 509. 91 213,300.90 Due to State banks and bankers.. Due from other national banks 12, 528. 62 .Dividends unpaid Due from State banks and bankers. 1,974. 09 Due from approved reserve agents. Checks and other cash items 36, 582.10 Individual deposits 1, 413, 363.45 Exchanges for clearing house 44,135. 81 Certified checks 10, 700.05 Bills of other national banks 5,101.00 United States deposits Fractional currency, nickels, cents. 340.42 Deposits of U. S .disbursin g officers. Specie 155,403. 50 Legal-tender notes 86, 679. 00 Notes and bills rediscounted U. S. certificates of deposit 20, 000. 00 Bills payable 100, 000.00 Redemption fund with Treas. U. S4, 500. 00 Due from Treasurer U. S 5, 550. 00 Liabilities other than those above stated 2,105, 280. 20 Total Total 2,105, 280. 20 Phenix National Bank, N e w York. DUNCAN D. PARMLY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furciture,and fixtures Other real estate «nd mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash ite*ns Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1374. $3, 954, 214.19 323. 06 50, 000. 00 2, 350.00 5,377. 08 470, 423. 00 595, 936. 04 23, 811.73 14,311.38 409, 353. 53 32, 972. 00 74.02 443, 246. 00 378, 099. 00 310, 000. 00 2, 250.00 580.00 6, 693, 321.03 ALFRED M. BULL, Cashier. Capital stock paid in $1, 000, 000. 00 Surplus fund 400,000. 00 Undivided profits, less current expenses and taxes paid 12, 913. 80 National-bank notes outstanding. 32, 490.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits. Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 953,481.14 146, 379. 36 500.40 3,105,163.10 31, 393. 23 11, 000. 00 6, 693,321.03 748 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK. Seaboard National Bank, New York. No. 3415. S. G. BAYNE, President. J. F. THOMPSON, Cashier. Resources. Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer 0". S Total. Liabilities. $4, 567,557. 01 1, 051. 22 90, 000. 00 50, 000. 00 54, 350. 00 21.923.75 534, 813. 64 888, 951. 87 96, 523. 46 8, 750. 86 469, 985. 51 39,115. 00 800. 43 758,613. 85 551,030. 00 370, 000. 00 4, 050.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State bank notes outstanding $500, 000. 00 Due to other national banks Due to State banks and bankers.. 2, 729. 282. 81 2,360, 986. 30 150, 000. 00 82, 848. 38 49, 950. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 2, 478, 565. 91 115,883.20 40, 000. 00 Liabilities other than those above stated 1, 507, 516. 60 8, 507, 516. 60 Total. Southern National Bank, New York. ISAAC ROSENWALD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3359. JOHN H. CARR, Acting Cashier. ;, 108, 655. 45 Capital stock paid i n . . 444. 40 450, 000.00 Surplus fund Undivided profits, less current expenses and tax es paid 32, 743.18 National-bank notes outstanding. 211, 367. 46 State-bank notes outstanding 2, 625. 00 384, 034. 82 33, 300. 00 Due to other national banks 573,108. 04 265, 406. 04 Due to State banks and bankers.. 69, 484.12 340. 00 Dividends unpaid 4, 458. 72 2, 668,113. 35 254,961.49 Individual deposits 50,182. 66 5, 000. 00 Certified checks 247.63 United States deposits 182, 687. 55 Deposits of U.S.disbursing officers. 528,715.00 Notes and bills rediscounted. Bills payable 14,240. 00 Liabilities other than those above stated 8, 000. 00 5,164,336. 04 Total 5,164, 336. 04 Standard National Bank, New York. MARVELLE W. COOPER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 5003. $350, 339. 32 2,548.40 50, 000.00 6, 000. 00 6, 4i2.49 39, 701. 95 1,955.98 1,021.39 17,146.80 129.95 17, 877. 50 20,000.00 1, 050. 00 514,183. 78 FLOYD S. PATTERSON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $200, 000. 00 25, 000.00 1,884,47 44, 500. 00 673.56 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted. Bills payable 227, 481. 79 14, 643. 96 Liabilities other than those above stated Total. 514,183. 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 749 NEW YORK. Tradesmen's National Bank, New York. JAMES MACNAUGHTAN, President. No. 905. JAMES W. CLAWSON, Cashier. Resources. Liabilities. $1, 743, 630. 42 Loans and discounts 150. 24 Overdrafts 190,000.00 U.S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds 16, 600. 00 Stocks, securities, etc 400, 000. 00 Bank'g house,furniture, and fixtures 33, 400. 00 Other real estate and mortg's owned 211, 357. 32 Due from other nati ^nal banks 28, 306.14 Due from State banks and bankers. Due from approved reserve agents. 18, 853. 98 Checks and other cash items 88,057. 51 Exchanges for clearing house 3,361.00 Bills of other national banks 1, 206. 47 Fractional currency, nickels, cents. 173,103.28 Specie 131, 805. 00 Legal-tender notes 180, 000. 00 IT. S. certificates of deposit 9, 000. 00 Redemption fund with Treas. IT. S. 3, 080. 00 Due from Treasurer U. S Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $750,000.00 Due to other national banks Due to State banks and bankers.. 708, 078. 77 170, 343.46 1,300.00 Dividends unpaid Individual deposits ; Certified checks United States deposits DepositsofU.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 3,231,911.36 Total. 18, 753.46 55, 490. 53 175, 940. 00 1,329,525.85 14, 958.87 7, 520.42 3, 231, 911. 36 United States National Bank, New York. JAMES H, PARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 2507. $6,193, 708. 94 5,831.08 250, 000.00 25, 818. 46 186, 415. 80 580, 085. 93 5, 250. 00 338,488. 46 73,124. 91 3, 528.14 231, 378. 52 9, 275. 00 36.37 959, 580. 00 225, 615. 00 210, 000. 00 11,250.00 1,220.00 $500, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits. Certified checks .. United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 3, 665. 852. 36 1, 626, 615. 22 500, 000.00 54, 261.41 223, 750. 00 2, 715, 567.15 24, 560.47 Liabilities other than those above stated , 9, 310, 606. 6 ? Total. H£NRY C. HOPKINS, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid , National bank notes outstanding. State-bank notes outstanding Total . 9, 310, 606. 61 Western National Bank, New York. BRAYTON IVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortgs owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3700. $8, 364, 307.91 66.44 50, 000. 00 200, 000. 00 ""32,850.00 1, 367, 538. 62 603,"6ii."83" 372,120. 35 49, 660.98 4, 225. 00 595, 603. 66 7, 930. 00 51.30 873, 812. 50 1, 645, 731. 00 1,100,000.00 2, 250. 00 20, 000. 00 15,289,759.59 H. A. SMITH, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividendsunpaid Individual deposits Certified checks United States deposits Eepositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable $2,100, 000. 00 50, 000. 00 235, 015. 33 44, 620. 00 3, 089, 228. 81 1, 488, 787.66 4, 644. 72 8, 069,' 470. 99 22,105.18 185,886. 90 Liabilities other than those above stated Total 15,289,759.59 750 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Niagara Falls. No. 4899. D. PHILLIPS, President. HENRY DURK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U, S. bonds to secure deposits. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $227, 737. 20 543. 76 25, 000. 00 3, 548. 60 11,478.10 9,132. 67 18, 800. 74 2, 233. 36 905. 00 27.59 8, 230.00 4, 887. 00 1,125.00 Capital stock paid in. 12, 429. 37 22,060. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 000. 00 6, 419. 58 Individual deposits United States deposits Deposits of U. S.disbursing officers. 167, 671.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 313, 649. 02 Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 313,649. 02 North Granville National Bank, North Granville. ISAAC V. BAKER, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from appnwed reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. | Specie Legal-tender notes U. S. certificates of deposit | Redemption fund with Treas. U. S. j Due from Treasurer U. S ! Total. No. 1348. $96, 564.14 843.15 65,000. 00 23, 323. 54 2, 000. 00 9, 875. 98 4, 944. 57 3, 677. 78 373.61 1.655.00 20.00 5. 309. 00 G-EO. B. CULVER, Cashier. Capital stock paid in. $85, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 3,911.57 57, 500. 00 Due to other national banks Due to State banks and bankers.. ;o.6i 17, 000.00 Dividends unpaid Individual deposits I United States deposits Deposits of U.S.disbursingofficers. I 52, 419. 59 Notes and bills rediscounted . . Bills payable 2, 925. 00 Liabilities other than those above stated Total. 216, 511. 77 216, 511. 77 Chenango National Bank, Norwich. CYRUS B. MARTIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasarer U. S Total. No. 3011. $193,068.91 12.50 100, 000. 00 10, 000. 00 125,355.61 4,900. 00 700.00 2, 334. 30 1, 313. 94 6, 665. 79 1, 043.00 2, 220.00 211.08 38,452.00 9, 550. 00 4, 500. 00 500, 327.13 G-EO. T. DUNHAM, Cashier. ~$100, 000. 00 Capital stock paid in. Surplus fund 25, 000.00 Undivided profits, less current 21, 374.70 expenses and taxes paid National-bank notes outstanding. 88, 800. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2,616.41 392. 63 262,143. 39 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 500, 327.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 751 NE W Y O R K . National Bank, Norwich. No. 1354. T. DE WITT MILLER, President. HOWARD D. NEWTON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on X S. bonds L Stocks, securities, etc Bank'g house,furniture,and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $155,106. 66 1, 924. 87 125,000. 00 Capital stock paid in. 71, 550. 00 2, 500. 00 121, 400. 00 10, 000. 00 9, lOIi. 85 Due to other national banks 736.60 Due to State banks and bankers. 4,272. 97 Dividends unpaid 7,108. 03 Individual deposits 115. 00 United States deposits 37.71 Deposits of U.S.disbursing officers. 26, 707. 00 460. 00 Notes and bills rediscounted. Bills payable 2, 375. 00 Liabilities other than those above stated Total. 538, 397. 69 Total. $125, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 125,000.00 7.214. 23 109, 250. 00 171, 933. 46 538, 397. 69 Nyack National Bank, Nyack. No. 2378. C. A. CHAPMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $263, 607.13 948.90 12, 500.00 21, 800. 00 9, 000. 00 1,294.85 22.66 109, 795.12 639.22 473.00 49.69 4, 791.70 11, 900. 00 562.50 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000. 00 Due to other national banks Due to State banks and bankers.. Dividends un paid 35, 226.76 4, 910. 68 Individual deposits United States deposits Deposits ofU. S.disbursing officers 25, 887. 76 10,850. 00 290,509.57 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 437, 384. 77 Total. JNO. M. GESNER, Cashier. Capital stock paid in. 437,384. 77 Total . National Bank, Ogdensburg. J. R. BILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2446. $294, 667. 70 3, 353. 47 25, 000. 00 2, 855. 00 1, 000. 00 7, 225.92 1,914.46 31, 299. 20 5, 580. 53 5, 015. 00 371. 32 32, 570. 95 4,000. 00 1,125. 00 1.00 415, 979.55 R. J. DONAHUE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 20, 000. 00 16, 023.45 22,180.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 188. 97 Individual deposits United States deposits Deposits of [J.S.disbursing officers 257, 587.13 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 415, 979. 55 752 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Olean. No. 1887. J . E. DUSENBURY, President. A. T. EATON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $464,129. 79 2, 876.19 50, 000. 00 39, 900. 00 12, 790. 34 2, 246. 9, 828. 66, 075. 1, 503. 01 36 37 45 950. 00 257. 34 35, 372. 65 5, 550. 00 2, 250. 00 Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8 ; 360.69 9.80 28, 753. 60 45,000.00 1, 370. 00 Individual deposits | United States deposits !. Deposits of U.S.disbursingofficers. |. 410,235.41 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 693, 729. 50 Total . 693, 729. 50 Exchange National Bank, Olean. No. 2376. F . L. BARTLETT, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... i U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on TJ. S. bonds ;1,005,408. 70 3,110.65 31,250.00 i Stocks, securities, etc I Bank'ghouse,furniture,and.fixtures Other real estate and mortg's owned! Due from other national banks 1 Due from State banks and bankers.) Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie .' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S A . I . W I L L I A M S , Cashier. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 300, 000. 00 29, 172. 26 28,125. 00 32, 000. 00 1, 884. 00 Due to other national banks 1,930.16 Due to State banks and bankers.32, 607. 49 116, 699.18 Dividends unpaid 1, 235. 23 Individual deposits 1,065.00 United States deposits I. 99.95 Deposits of U. S.disbursing officers.!. 26, 623. 95 35, 772.00 Notes and bills rediscounted. Bills payable 1,406.00 Liabilities other than those above ! stated I . Total Total . $125, 000. 00 1, 205. 70 23, 548.77 10.00 784, 030. 58 1,291,092.31 National State Bank, Oneida. S. H. FARNAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of dep< Redemption fund with Treas. U. S. Due from Treasurer U, S Total . AUSTIN B. FRENCH, Cashier. No. 2401. $130,821.36 Capital stock paid in. $60,000. 00 17.75 60,000.00 Surplus fund 12, 000. 00 Undivided profits, less current 9, 240. 63 expenses and taxes paid 54, 000. 00 National-bank notes outstanding. 461.31 State-bank notes outstanding... 10, 740. 50 17, 475. 96 250.13 114.25 4, 075. 07 265. 29 ""i" 836." 66" 237.05 6, 864.36 2,200.00 ""2," 700." 66' Due to other national banks Due to State banks and bankers.. 2,950. 66 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 99, 867. 74 ! Liabilities other than those above { stated | 238,059.03 Total . 238, 059. 03 REPORT OF THE COMPTROLLER OP THE CURRENCY. NEW 753 YORK. Oneida Valley National Bank, Oneida. D. G. DORRANCE, President. No. 1090. T. F . HAND, J R . , Cashier. Liabilities. Eesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture, and-fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. $148, 643. 99 2.28 70, 000. 00 13,000. 00 3, 700. 00 87, 052. 50 9, 000. 00 10, 000. 00 3, 896. 44 430. 85 67,716.27 1, 037. 61 3,326. 00 96.05 12, 735. 00 4,500. 00 3,150. 00 Capital stock paid in. $105, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 21, 000. 00 2, 459. 65 63, 000. 00 6, 244. 58 1,720.60 238,862.16 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 438, 286. 99 First National Bank, Oneonta. RANSOM MITCHELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 420. $276, 304. 93 2, 982. 68 50, 000. 00 30, 250. 00 50, 678. 80 22, 500. 00 17,586.41 4,505. 02 2,955. 42 22, 240. 09 1, 864. 25 201. 45 17, 059. 00 14, 404.00 2, 250. 00 M. L. KEYES, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 25, 000. 00 27,300.40 45, 000. 00 8,132. 35 5,488.94 354,860. 36 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 515, 782.05 Total. 515,782. 05 Wilber National Bank, Oneonta. GEO. I. W I L B E R , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds \ Stocks, securities, etc j Bank'g touse, furniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.i Due from Treasurer U. S Total. CUR, http://fraser.stlouisfed.org/ PT 2 Federal Reserve Bank of St. Louis No. 2151. . E. A. SCRAMLING, Cashier. $419,810.03 Capital stock paid in 2, 268.18 100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 458, 087.50 State-bank notes outstanding 2, 000. 00 Due to other national banks 8,113.14 Due to State banks and bankers.. 1, 583. 07 116,416.92 Dividends unpaid 6, 750. 22 Individual deposits 500.00 United States deposits 128.66 Depositsof U.S.disbursingofficers. 75, 556. 76 14,985.00 Notes and bills rediscounted. Bills payable $100,000.00 200, 000.00 26,313.32 88, 397. 50 23, 877.15 1,474.26 770, 637.25 4, 500. 00 Liabilities other than those above stated 1, 210, 699.48 Total 1,210,699.48 754 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Oswego. No. 255. JOHN T. MOTT, President. J. D. W. CASE, Cashier- Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture. and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of othernationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total $289,138.13 1,867. 82 200, 000. 00 50, 000. 00 9,000.00 279,508.85 14, 000. 00 21, 672. 88 2, 628. 04 79, 057. 48 827.37 5,004. 00 171.64 61,191.10 19, 000. 00 Capital stock paid in $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 81, 808. 84 177, 220. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 697. 58 3, 753.40 Individual deposits United States deposits Depositsof U.S.disbursingomcers. 480, 049. 00 30, 573. 95 10,964. 54 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above stated Total. 1,042,067.31 1,042,067.31 Second National Bank, Oswego. No. 296. GEO. B. SLOAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousefurniture.andfixture? Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $188, 531.43 1, 370. 84 25, 000.00 3, 000. 00 40, 640. 80 32, 500. 00 ""6," 598." 79" 693. 39 75,077.48 2, 730. 79 1, 744.00 304.49 17, 944. 00 5, 000. 00 1*125. 00 H. R. CARRIER, Cathier. Capital stock paid in. $100,000.00 Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30,000.00 24, 494.14 22,500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 225, 266.87 Notes and bills rediscounted Bills payable Liabilities other than those above \ stated !. Total. 402, 261. 01 402,261. 01 First National Bank, Owego. GEORGE TRUMAN, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1019. $229, 064. 89 10, 801. 00 50,000. 00 30,000.00 5, 000. 00 "W. S. TRUMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 17, 254. 79 Due to State banks and bankers.. 25.00 83, 643. 90 Dividends unpaid 397. 54 Individual deposits 274. 00 United States deposits 60.17 Deposits of U.S.disbursing officers. 22, 676. 00 1, 700. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 453,147. 29 Total. $100,000.00 20, 000. 00 14, 795. 66 45, 000.00 1, 219.26 1,040.03 271,092.34 453,147. 29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 755 NEW YORK. Owego National Bank, Owego. No. 2996. D. M. PITCHER, President. E. 0. ELDREDGE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts II. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $161,576. 68 3, 408. 00 12, 500. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and bankers.. 343. 31 Dividends unpaid 171. 00 4,555. 85 11, 250. 00 6,000.00 I 3, 081. 07 202. 51 27, 564. 74 301. 21 250.00 20. 56 8,475.45 4, 079. 00 '562. 50 Individual deposits United States deposits Deposits of'U.S.disbursingofficers. 151,701.56 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 228, 021. 72 228, 021. 72 Total . Tioga National Bank, Owego. No. 862. THOS. C. PLATT, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg' s own ed Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemx^tion fund with Treas. U. S. Due from Treasurer U. S Total. $190, 566. 32 568.40 50, 000. 00 402. 37 9,000.00 5,814.76 506. 35 31, 949. 74 2, 937. 12 253." 00 79. 38 24, 510. 00 690.00 2, 250. 00 F. E. PLATT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ., United States deposits DepositsofU.S.disbursingofficers. $100, 000. 00 20, 000.00 12, 212.13 44, 450. 00 185. 43 367.45 245. 00 142, 067. 43 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 319, 527.44 319, 527. 44 Total . First National Bank, Oxford. J. R. VAN WAGENEN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 273. $186, 216. 85 21.13 100, 000. 00 10,000.00 8, 200. 00 109, 655. 00 28,119. 57 8. 015. 35 567. 00 3,167.50 28, 297. 89 1,460.50 JARED C. ESTELOW, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks $100,000.00 50,000.00 47, 631.94 88, 820.00 1,155. 86 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted '4,5o6."o6 Bills payable Liabilities other than those above stated 503,724.96 | Total 56.00 216, 061.16 458.00 99. 22 8. 906. 95 6, 040. 00 503,724.96 756 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Palmyra. No. 295. PLINY T. SEXTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate andmortg's ownedj ! Due from, other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . R. M. SMITH, Cashier. Liabilities. $780,134.18 i Capital stock paid in 7, 207.10 j 1, 000, 000. 00 ! Surplus fund | $1, 000, 000.00 Undivided profits, less current I 30*000.00" expenses and taxes paid 96,000.00 ! National-bank notes outstanding. 53, 000.00 1, 844. 65 823, 620.00 State-bank notes outstanding 8, 403. 02 1, 000.00 456. 57 18, 895. 00 1, 900. 00 45, 665.'00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 110,531.22 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,988,995.87 Total 1,988,995.87 National Bank, Pawling. J. B. DUTOHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ™ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1269. $91, 681.12 66.90 175, 000. 00 GEO. "W. CHASE, Cashier. Capital stock paid in. $175,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 4, 950. 00 272, 015. 55 15, 800. 00 6, 200. 00 j Due to other national banks 4, 979. 20 I Due to State banks and bankers.. 5, 375. 77 I 5, 950. 30 Dividends unpaid 310. 50 Individual deposits 50." 66' United States deposits 195. 03 Deposits of U.S.disbursing ofiicers. 14, 451. 00 265. 00 Notes and bills rediscounted. Bills payable 7, 875. 00 Liabilities other than those above 605,165.37 stated Total. 100, 000.00 37, 273.91 153,450.00 13,919.92 6,606.03 104.00 118,811. 51 605,165.37 "WestChester County National Bank, Peekskill. CYEUS FROST, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse, furn iture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1422. $446,169.91 8.31 100, 000. 00 25, 000.00 4,750.00 70,000.00 14, 000. 00 1, 307. 24 91,571.63 1, 235.00 115.13 17,157.65 6, 280. 00 C. A. PUGSLEY, Cashier. Capital stock paid in Surplus f and Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofticers. $100, 000. 00 20, 000. 00 89, 952.43 88, 560. 00 71,620. 56 5, 215. 58 244.50 406,501.80 Notes and bills rediscounted **4,*566"o6" Bills payable Liabilities other than those above stated 782, 094.87 Total. 782,094.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 757 NE W YORK. First National Bank, Penn Yan. No. 358. GEO. H. LAPHAM, President. A. W. KENDALL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. 8. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $119,592.89 2,104. 85 12,500.00 2, 833. 88 12, 051. 98 36, 363. 91 312.11 507.11 5, 696. 72 1,167.47 45.00 180. 04 13, 746. 00 562.50 Capital stockpaidin. 15, 000.00 1, 973. 35 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Billspayable Liabilities other than those above stated 207, 664.46 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 111,786.11 17, 655. 00 207,664.46 Total. Yates County National Bank, Penn Yan. HANFORD STRUBLE, President. No. 2405. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State bank sand banker s. Due from approved reserve agents. Checks and other cash item Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $168,430.10 877.73 13, 000. 00 2, 000. 00 50, 939. 89 2,838. 00 10,310.30 1, 547. 86 904. 67 15,604. 77 536. 37 98.35 4, 315. 50 5, 989. 00 585.66 277, 977.54 Total. FRANK S. TOWER, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 216.45 Individual deposits United States deposits ,. Deposits of U.S.diabursing officers. 151, 463. 64 Notes and bills rediscounted Billspayable Liabilities other than those above 18,680.06 28, 000.00 stated Total. 917. 39 11, 700. 00 277, 977.54 First National Bank, Perry. ELTZA D. PAGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other realestateand mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. N o . 4519. $83,166. 31 15. 72 12, 500. 00 1, 684. 50 4, 000. 00 12, 000. 00 WILLIAM D. PAGE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 1, 203. 73 473. 95 Due to State banks and bankers.. 5, 649.15 Dividends unpaid 18.23 81.00 Individual deposits 145. 00 United States deposits 104.13 DepositsofU.S.disbursingofficers 1, 366. 00 1,906. 00 Notes and bills rediscounted 562. *50 124, 876.22 Bills payable Liabilities other than those above stated Total. $50, 000. 00 4, 250.00 969. 51 11,250. 00 34.70 55, 372.01 •6, 000. 00 124,876. 22 758 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Stissing National Bank, Pine Plains. W. S. ENO, President. No. 981. W. BOSTWICK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TL S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S $257,311.67 949. 39 23, 000.00 700. 00 5, 500. 66 2, 021. 83 2,411.61 17,420. 62 293. 25 " " 670.66" 9.84 232. 50 9, 200. 00 1,035. 00 400.00 Capital stock paid in. 25, 000. 00 28, 584. 80 20, 700.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 236. 71 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 131,323. 20 Notes and bills rediscounted Bills payable 391. 50 12,419. 50 7,500. 00 Liabilities other than those above stated 321,155. 71 Total. $90,000. 00 Surplusfnnd Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 321,155.71 First National Bank, Plattsburg. MERRITT SOWLES, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 266. C. S. JOHNSON, Cashier. ;884. 099. 99 | Capital stock paid in j $100, 000. 00 15, 609. 36 25, 000.00 Surplus fund 20, 000.00 Undivided profits, less current 10, 000. 00 expenses and taxes paid 59, 774. 70 1. 225. 00 National-bank notes outstanding. 22, 500. 00 7, 000. 00 State-bank notes outstanding 7, 386. 81 Due to other national banks 445. 41 Due to State banks and bankers.. 1,274.93 156, 918. 99 Dividends unpaid 5, 111. 82 Individual deposits j 2, 203. 00 United States deposits I 181.41 Deposits of U.S. disbursing officer? 42, 766. 00 i 20, 210.00 Notes and bills rediscounted-.. Bills payable 1,125.00 Liabilities other than those above stated 1,180, 617. 72 Total. Total. 12,766. 84 965, 576.18 1,180, 617. 72 Iron National Bank, Plattsburg. JNO. H. MYERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2534. $483,086. 22 7, 219. 62 100, 000. 00 11, 000.00 150, 281. 54 2, 000. 00 19, 397. 00 5.132.13 739.11 120, 702. 91 810. 06 451*66" 205. 83 15,844. 20 17,947. 00 4, 500.00 939,316.62 JAMES SHAW. Cashier. Capital stock paid in j| Surplus fund i Undivided profits, less current j expenses and taxes paid [ National-bank notes outstanding.) State-bank notes outstanding j. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. $100,000.00 18, 000. 00 11,438. 24 90,000. 00 2,909. 29 3,168. 83 120.00 713, 680. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated". Total. 939,316.62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 759 WE W A. GUIBORD, President. YORK . Merchants' National Bank, Plattsburg. No. 3174. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank1 ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer TJ. S Total. $1,053,200.87 1,701.27 50, 000. 00 6,000. 00 4, 000. 00 1, 500. 00 2,151. f 77,466. 04 934.12 769 00 26.12 10, 900. 00 89, 500. 00 2, 250. 00 1,300.399.11 J. M. WEVER, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid , National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 1100,000. 00 40, 000.00 6. 422. 37 45, 000. 00 5,446. 91 1,103, 529 83 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 300, 399.11 Vilas National Bank, Plattsburg. D . F . DOBIE, No. 321. Preaident. $224, 577. 69 13.74 25,000.00 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 38,134.16 2, 000.00 5, 348. 00 14, 035. 26 2, 091. 54 995.00 104.41 14, 300. 00 7, 000. 00 Total. M. A. BLUE, President. 334, 724.80 Total Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $114,769.44 3, 982. 62 30,000.00 3, 000.00 21, 000. 00 1,250. 00 759.88 4, 500. 00 2,179. 24 22, 500. 00 1, 603. 26 Individual deposits United States deposits Deposits of U.S.disbursing officers- 203,942. 30 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 334,724. 80 FRANK J. C. STEBER, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10. 670. 59 26,500. 00 Due to other national banks Due to state banks and bankers.. 5, 656. 83 769. 78 5, 729. 14 Dividends unpaid 1,152. 00 Individual deposits United States deposits 40.23 Deposits of U.S. disbursingofficers. 5,310.50 2, 096. 00 Notes and bills rediscounted Bills payable 1, 350.00 Liabilities other than those above stated 190,439.81 $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid National Bank, Poland. No. 4223. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S bonds on hand . Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and oortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S H. A. NEWTON, Cashier. Capital stock paid An. Total 3,000. 00 330.00 93, 512. (il 190, 439. 81 760 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK. First National Bank, Port Chester. R. H. BURDSALL, President. No. 402. JOSIAH N. WILCOX, Cashier. Resources. Loans and discounts Dverdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $431,401.14 396. 02 100. 000. 00 25, 000. 00 102, 500. 00 45, 000. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 6, 460. 36 Due to State banks and bankers.. 9, 957. 91 181,151.18 Dividends unpaid 1, 264. 63 Individual deposits 300. 00 United States deposits 237 69 Deposits of U.S.disbursing officers . 14 339 00 31,186.00 Notes and bills rediscounted Bills payable 4, 500.00 Liabilities other than those aboAre stated 953, 693. 93 Total 20,000.00 94,067. 52 87 990 00 24, 374. 20 1, 857.98 575. 00 624, 829. 23 953, 693. 93 First National Bank, Port Henry. No. 1697. G. R. SHERMAN, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation... | U. S. bonds to secure deposits | U. S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc ! Bank'ghouse furniture, and fixtures I Other real estate andmortg's ownedl Due from other national banks j Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $173, 686.40 65.00 100, 000. 00 F . S. ATWELL, Cashier. Capital stock paid in •. j Surplus fund Undivided profits, less current expenses and taxes paid 10,000.00 National-bank notes outstanding. 117, 904. 80 State-bank notes outstanding. 9,500.00 850. 00 Due to other national banks 1, 625. 63 Due to State banks and bankers. 60, 391. 47 Dividends unpaid 492. 83 Individual deposits 397.00 United States deposits 287.83 Deposits ofTJ.S.disbursing officers. 10, 922.35 3, 457. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated Total. 494, 080. 31 $100,000.00 20, 000. 00 43, 429. 55 87, 900. 00 242, 750. 76 494, 080. 31 Citizens' National Bank, Port Henry. -, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U.S. bonds on hand.Premiums on U. S. bonds Stocks, securities, etc • Bank'g house, furniture,and fixtures Other real estate and mortg's owned' Due from other national banks | Due from State banks and bankers. | Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U . S . certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U,S Total. No. 4858. $101, 821.84 2.71 12, 500. 00 EUGENE WYMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1,500.00 National-bank notes outstanding. 1, 000. 00 State-bank notes outstanding 2, 200. 00 Due to other national banks Due to State banks and bankers.. 5, 476. 28 Dividends unpaid $50,000.00 5, 649.07 10, 750. 00 215.42 212.00 185. 00 25.74 4, 637. 80 4,110. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 67,619.38 Notes and bills rediscounted. Bills payable 562, 50 Liabilities other than those above stated 134,233.87 Total. 134,233.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 761 NEW YORK. First National Bank, Port Jervis. No. 94. M. C. EVEEITT, President. Resources. Loans and discounts C. F . VAN INWEGBN, Cashier. Liabilities. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $381,726. 53 659. 55 100, 000. 00 12,043.75 98, 407. 98 8, 000. 00 19, 547. 00 12,104. 82 655.12 105, 743. 88 1,350. 25 12, 707. 156. 51, 309. 15, 000. 00 30 66 00 4, 500. 00 823, 911.84 Capital stock paid in - $100. 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 68, 071. 86 89, 460. 00 Due to other national banks Due to State banks and bankers.. 37, 220. 49 1, 620.32 20,000. 00 Dividends unpaidIndividual deposits United States deposits Deposits of U.S.disbursingofficers. 507, 539.17 Notes and bills rediscounted. Bills payable Liabilities other than those above stated i Total . 823, 911.84 National Bank, Port Jervis. No. 1363. FRANCIS MARVIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S $402,151.81 1, 892.19 35, 000. 00 3,500.00 62, 200. 00 3, 000. 00 89, 779. 04 1, 327. 89 $130, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35, 000. 00 58, 670.80 31, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 24, 037. 81 2, 291. 39 Individual deposits 3,990. 00 United States deposits 87.37 Deposits of U.S.disbursmgofficers. 49, 337. 50 . 9,200. 00 Notes and bills rediscounted Bills payable "l, 575."66 520.00 Liabilities other than those above stated 475, 504. 23 90, 078.43 3, 697. 79 Total . 757, 337.02 Total. W. E. SCOTT, Cashier. Capital stock paid in - 332. 79 757, 337.02 National Bank, Potsdam. LUKE USHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 868. $502, 717.83 2, 638.45 50, 000. 00 43, 548. 79 12, 569. 81 15, 012.15 1,086. 50 3.177.12 50,515. 07 13, 710. 60 3oo. 66 18.69 10, 700. 00 3,763. 00 2, 250. 00 712,008. 01 W M . USHER, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000.00 Due to other national banks Due to State banks and bankers.. 4,992. 67 8, 804, 67 44, 995. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers Notes and bills rediscounted Bills payable 365,334. 89 47,880. 78 Liabilities other than those above stated T/otal . 712, 008.01 762 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Poughkeepsie. No. 465. JACOB CORLIES, President. F . E. WHIPPLE, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XT. SDue from. Treasurer XT. S Liabilities. $169,129.34 363.57 100,000. 00 113,672.19 1, 000.00 2, 000.00 433.67 36.53 14,184.90 1,660.59 1,250. 00 112.26 14,690.00 5, 600. 00 4, 500. 00 Capital stock p a i d m . 20, 000.00 25, 696.11 88,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 16, 424.60 Individual deposits United States deposits Deposits of U.S.disbursing officers. 171,012.34 Notes and bills rediscounted. Bills payable 7, 500.00 Liabilities other than those above stated 428, 633. 05 Total. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 428,633.05 Total. City National Bank, Poughkeepsie, HUDSON TAYLOR, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouse, fu rniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1305. $237,868. 69 310. 20 75, 000.00 23, 062.50 17, 500.00 29, 410. 24 17,576. 22 2,167. 91 25, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 12, 069. 55 Individual deposits "" 2,"666' 00' United States deposits 1, 047.07 Deposits of U.S.disbursing officers. 26, 376. 50 6, 542. 00 $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 730. 74 66,150. 00 1,108.00 225,133.04 Notes and bills rediscounted. Bills payable 3, 330. 00 Liabilities other than those above stated Total . 442,191.33 Total. H. L. TAYLOR, Cashier. Capital stock paid i n . 442,191. 33 Fallkill National Bank, Poughkeepsie. EDWARD ELS WORTH, President. Loans and discounts Overdrafts X . S. bonds to secure circulation... T U. S. bonds to secure deposits X . S bonds on hand T Premiums on X S. bonds L Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X . S. certificates of deposit T Redemption fund with Treas. U. S. Due from Treasurer X . S T Total. No. 659. $644,113.95 2, 476. 72 150, 000. 00 19,280. 00 119,412.77 35,000. 00 2, 000. 00 24,117. 37 WILLIAM SCHICKLE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 126, 449. 93 Dividends unpaid 9, 420. 61 Individual deposits 1, 250. 00 United States deposits 167. 68 Deposits of U.S.disbursing officers. 32, 050. 75 14, 000. 00 Notes and bills rediscounted. Bills payable 6,750.00 Liabilities other than those above stated 1,186, 489. 78 Total $200, 000. 00 80, 000.00 37,163.06 133, 710.00 53, 952. 69 13, 212.07 705.00 667, 746. 96 1,186,489.78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 763 NEW YORK. Farmers and Manufacturers' National Bank, Poughkeepsie. EDWABD S. ATWATER, President. No. 1312. G. H. SHERMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $448, 319. 24 1, 674.00 200, 000.00 16, 375. 00 168, 740. 70 45,000.00 36, 015. 50 6, 470. 02 164, 203. 01 11,414.05 5,000. 00 139. 04 22, 055. 90 10,371. 00 • 9, 000. 00 Capital stock paid in $200, 000.00 Surplus fund Undivided profits, Jess current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 27,422. 84 176, 820. 00 Due to other national banks Due to State banks and bankers.. 19,108.88 3, 212. 24 Dividends unpaid 60, 000. 00 854. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 657, 359. 50 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,144, 777.46 Total 1,144, 777.46 Merchants' National Bank, Poughkeepsie. W. C. ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I Premiums on U. S. bonds ' Stocks, securities, etc | Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national b a n k s . . , . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1380. W. C. FONDA, Cashier. $694,725.14 Capital stock paid in. $175,000.00 596. 42 120, 600. 00 Surplus fund 125, 000. 00 Undivided profits, less current expenses and taxes paid 33, 071. 00 10, 000. 00 100, 840. 00 National-bank notes outstanding 5,223. 65 State-bank notes outstanding 50, 000. 00 495,001.58 Dae to other national banks 234, 349. 84 Due to State banks and bankers. 73, 091. 77 4, 562. 46 464, 422. 20 Dividends unpaid 792. 50 Individual deposits 671, 787.14 10, 628. 00 United States deposits 476. 93 Depositsof U.S.disbursing officers 42, 832. 35 29,155. 00 Notes and bills rediscounted. Bills payable 5, 427. 00 Liabilities other than those above stated 1, 673, 791. 49 Total. Total. 1, 673, 791. 49 Poughkeepsie National Bank, Poughkeepsie. S. G-. GUERNSEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks. ... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1306. $327,128. 70 1,418.94 38, 000. 00 2, 500. 00 38, 509. 75 30, 000. 00 22, 716. 87 28, 258.14 272. 21 65, 098.32 2,157.56 17.00 26, 854. 00 6, 291. 00 1,710.00 590, 932.49 J . V. DEYO, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000.00 50,000.00 12,218.19 34,200. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 62, 469. 35 Individual deposits United States deposits Deposits ofU.S.disbursing officers- 282, 044.95 Notes and bills rediscounted-. Bills payable Liabilities other than those above stated Total. 590,932.49 7G4 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK, Pulaski National Bank, Pulaski. No. 149G. ELLAM. CLARK, President. Louis J". CLARK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, ce.its. Specie Legal-tender notes IT. S. certificates of deposit.. Redemption fund with Treas. U . S . Due from Treasurer U. S Liabilities. $57, 977.17 Capital stock paid in. 775. 80 13, 000. 00 j Surplus fund I Undivided profits, less current i expenses and taxes paid j 800. 00 National-bank notes outstanding.! 22, 300. 00 State bank notes outstanding i 16, 700.00 Due to other national banks 2.97 Due to State banks and bankers. 258. 91 20, 287. 39 Dividends unpaid 5, 000. 00 181. 98 11,700. 00 26.76 194.57 Individual deposits io9.'oo United States deposits 70.38 Deposits of U.S.disbursingofficers. 6, 858. 00 2, 325. 00 Notes and billsrediscounted. Bills payable 905. 00 Liabilities other than those above stated 142,564.19 Total. $50, 000. 00 Total . 75, 650. 45 5.00 142,564.19 First National Bank, Red Hook. E. L. MASSONNEAU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 752. $107,164.17 j 450.18 I 142,500.00 I 130,000.00 6,658.79 I CLARENCE SHOOK, Cashier. Capital stock paid in $150, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 2,116. 60 Due to Statelbanks and bankers.. 1.25 35,389.85 I Dividends unpaid 2,379.34 Individual deposits 4,454.00 | United States deposits 33.39 ! Deposits of U.S.disbursing officers. 11,242.50 | 8,540.00 Notes and bills rediscounted. Bills paj'able 6,412.50 Liabilities other than those above stated 457, 342. 57 Total. 30, 000. 00 48,177.78 125, 480. 00 15,464.9 436. 50 85, 836. 73 1,946.57 457, 342. 57 First National Bank, Rhinebeck. JOHN D. JUDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furni ture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. • Checks and other cash items.". Exchanges lor clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 1157. $115, 641. 95 127.42 60, 000. 00 10, 000. 00 1, 653.13 109.196. 49 9,000. 00 320. 32 108. 41 28, 388.17 4,994. 00 306. 73 9,301,50 4,000.00 "W. H. SCHALL, Cashier. Capital stock paid in . 5125, 000.00 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18, 853.18 53, 370.00 Due to other national banks Due to State banks and bankers.. 17,107.48 26.96 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 96.00 116, 224. 50 Notes and bills rediscounted. Bills payable 2,700. 00 Liabilities other than those above stated 355, 738.12 Total. 355, 738.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 765 NEW YORK. First National Bank, Richfield Springs. N. GETMAN, President. No. 2651. MYRON A. M C K B E , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . Liabilities. 5289, 736.11 127.35 30, 000. 00 53»977.42 13, 000. 00 4, 000. 00 473. 40 17.70 22,802.18 751.17 11.10 7, 976.50 17,199. 00 1,350.00 Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 20, 000. 00 11,590, 92 26,185. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 670.11 16.74 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 282, 959.16 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 441,421.93 Total . 441, 421.93 Suffolk County National Bank, Riverhead. GEORGE W. COOPEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estateand-mortg'sownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S No. 4230. 12, 500. 00 100.00 512. 00 16, 056. 92 1, 000. 00 163. 50 4, 954.80 63, 746.05 3,447. 31 75.40 9, 679. 70 3, 000. 00 562.50 $50, 000. 00 Surpl us fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15,000. 00 2, 304.75 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,119.56 43. 94 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 240, 324. 96 Notes and bills rodiscounted Bills payable Liabilities other than those above stated 3, 000. 00 324,106.21 Total. H. P. TERRY, Cashier. $208,308.03 || Capital stock paid in. 63. 00 324,106.21 Total . Flour City National Bank, Rochester. C. C. W O O D WORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer V, S Total. No. 1362. ,511,209.77 1,428. 52 150, 000.00 75, 000. 00 10, 000. 00 9,100.00 64, 672. 00 202,032.83 91, 922. 70 22, 073.16 191,556.47 206.11 8,109. 38 13, 589.00 915. 75 30, 560. 99 65, 975. 00 6,750. 00 2,455,101.( W M . A U G . WATERS, Cashier. Capital stock paid inSurplus fund Undivided profits, less $300,000.00 current 200,000. 00 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 31,524.50 135,000. 00 Due to other national banks j Due to State banks and bankers..! Dividends unpaid 303,520.50 27, 623.92 Individual deposits United States deposits Deposits of U.S.disbursingofficers 1, 249, 395.94 65,812.21 625. 37 Notes and bills rediscounted Bills payable Liabilities other than those above stated 141,599.19 Total 2,455,101. 766 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Traders' National Bank, Rochester. S. L. BKEWSTER, President. No. 1104. CHARLES H. PALMER, Cashier. Kesources. Liabilities. $2,859,445.61 Loans and discounts 16, 297. 04 Overdrafts 250, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 23, 000. 00 Premiums on U. S. bonds 30, 300. 00 Stocks, securities, etc Bank'g house, furniture,andfi xtures 127,414. 69 Other realestate and mortg's owned 65,375. 20 Due from other national banks 14,106. 72 Due from State banks and bankers. 182, 537. 34 Due from approved reserve agents. 1,441.09 Checks and other cash items 22, 784. 43 Exchanges for clearing house 16,125. 00 Bills of other national banks 426. 54 Fractional currency, nickels, cents. 66, 972. 50 Specie 84, 945.00 Legal-tender notes U. S. certificates of deposit 11, 250. 00 Redemption fund with Treas. U. S. 3, 350. 00 Due from Treasurer U.S Total. Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State bank notes outstanding Due to other national banks Due to State banks and bankers.. 650, 000. 00 72, 656. 32 225, 000. 00 288, 774. 49 82, 653. 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S.disbursing officers. 2, 206, 687. 35 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 3, 775, 771.16 Total . 3, 775, 771.16 First National Bank, Rome. J . G-. BISSELL, President. No. 1414. Loans and discounts ! Overdrafts ! U. S.bonds t o secure circulation... | U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $208. 877.10 367.14 25, 000.00 I 297, 396. 80 Total . 2,100. 00 12, 463.14 7, 900. 00 1, 070.17 667.12 23,154. 91 650. 89 140. 00 87.83 9, 422. 50 4, 371. 00 F R E D M. SHELLEY, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . . $100,000.00 20, 000.00 7, 842. 47 22, 500. 0 U 1.144. 05 43.03 Dividends unpaid Individual deposits United States deposits Deposits of U.S disbursing officers. 145, 867. 25 Notes and bills rediscoimted. Bills payable 1,125.00 Liabilities other than those above stated Total . 297,396.80 Farmers' National Bank, Rome. "W. J . P . KINGSLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U.S Total. SAMUEL WARDWELL, Cashier. No. 2410. $321,641.44 Capital stock paid in. $100, 000. 00 787. 68 100, 000. 00 Surplus fund 20, 000.00 Undivided profits, less current 500. 00 expenses and taxes paid. 18 245. 74 10, 655. 00 National-bank notes outstanding. 87, 837.50 63,768. 00 State-bank notes outstanding 13,450.00 Due to other national banks 589. 45 8, 677.11 Due to State banks and bankers.. 232.68 1,733. 58 37, 350. 46 Dividends unpaid 688. 00 9,270. 81 Individual deposits 343,427. 31 1,763.00 United States deposits 17.10 Deposits of U.S.disbursing officers. 17, 206.50 4, 700. 00 Notes and bills rediscounted. Bills payable 25,000.00 4, 500.00 Liabilities other than those above stated 596,020.68 Total. 596,020.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 7 6 7 NEW YORK. Fort Stanwix National Bank, Rome. No. 1410. H. G.TTTLEY, President. GEO. BARNARD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furnituie, and fixtures Other realestateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of ether national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. Sv certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total $792, 359.45 640. 42 150, 000. 00 3,360.00 5,500.00 2,857. 44 5, 704. 96 44,889.06 3,123.21 Capital stock paid in $150, 000. 00 Surplus fund ., Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 136, 874.48 132, 620. 00 Due to other national banks Due to State banks and bankers.. 28, 066. 76 714. 62 Dividends unpaid 303.00 Individual deposits 432.00 United States deposits 214.24 i Depositsof U.S.disbursingomcers. 22,400.00 19,095.00 Notes and bills rediscounted Bills payable 6, 750. 00 Liabilities other than those above stated 1, 057, 325. 78 30, 000. 00 Total 506,173.85 47, 573.07 25,000. 00 1, 057, 325. 78 National Bank, Rondout. W M . HUTTON, President. A. HASBROUCK, Cashier. No. 1120. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds — Stocks, securities, etc Bank'g Louse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $295, 431. 66 2, 050.79 50, 000. 00 5, 500.00 16,400. 00 6, 000. 00 28, 500. 00 20,962. 24 1, 273.13 12, 408. 80 5, 313. 74 861. 00 14. 25 16, 490. 00 4, 210. 00 Capital stock paid in. 40, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6, 056. 79 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 173, 448. 32 3, 660. 50 44, 500. 00 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 467, 665. 61 Total. S200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 467, 665.61 First National Bank, Saint Johnsville. A. SALTSMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. O. W. Fox, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund 8, 000. 00 Undivided profits, less current expenses and taxes paid 7, 437.48 National-bank notes outstanding. 45,000.00 State-bank notes outstanding No. 375. $138, 267.68 176.50 50, 000.00 8,000.00 * 3," 775.'38' 30, 230. 69 440. 06 760. 00 83.45 7, 983. 00 7, 084.00 1, 860. 00 248, 660. 76 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13,284. 33 240.50 Individual deposits United States deposits Deposi ts of U. S. disbursing officers. 122,721.54 576.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1,400.91 248,660. 76 768 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Salamanca. No. 2472. H. O. WAIT, President. E. F. HOY, Cashier. Resources. Liabilities. Loans and discounts •Overdrafts TJ. S. bonds to secure circulation... TL S. bonds to secure deposits I U. S. bonds on hand Premiums on U. S. bonds $178, 733. 59 90. 51 50, 000. 00 j Stocks, securities, etc J Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie ". Legal-tender notes TJ. S. certificates of deposit.... Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . 4, 900. 00 12, 039. 50 10,110. 08 25,328.94 31, 644. 09 791. 39 1,965. 00 52.58 21,488.00 1,570.00 2,250.00 340, 963.68 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000. 00 7,147. 29 43, 900.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 219,916.39 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 340,963.68 Salamanca National Bank, Salamanca. E. B. VREELAND, President. No. 2610. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie » ,. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $170, 603.16 135.15 15, 000. 00 1, 250.68 8, 500. 00 419. 85 133.25 17, 923.90 141.47 1,490. 00 220.70 8, 691.15 8, 824. 00 HIRAM FOSDICK, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 2, 687.18 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursingofficers. 157, 821.13 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above 234, 008.31 stated Total. 234,008.31 First National Bank, Salem. M. L. SHELDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3309. $207, 247. 73 200.00 50, 000. 00 20, 000. 00 7,850.00 25, 875. 00 5, 000. 00 11,224.28 1, 823. 37 9, 000. 00 26, 889. 48 1, 333. 98 264.21 17, 366.90 C. A. BEATTIE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid In dividual deposits United States deposits Deposits of U. S. disbursing officers. $50, 000.00 20,000.00 8, 249. 64 45, 000. 00 8, 854. 03 98.00 254,123.28 Notes and bills rediscounted. Bills payable 2, 250. 00 386,324. 95 Liabilities other than those above stated Total . 386, 324.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 769 YORK. People's National Bank, Salem. W A R R E N KENYON, No. 3245. President. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtureOther real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $100.117. 47 '372. 95 18, 000. 00 1,620.00 6,342.10 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 33.67 Due to State banks and bankers.. 194.02 16, 562. 51 Dividends unpaid 628.80 Individual deposits 800. 00 United States deposits 68. 32 Deposits of U.S.disbursing officers. 11,411.25 6, 660. 00 Notes and bills rediscounted Bills payable 810. 00 Liabilities other than those above stated Total . 163, 621. 09 Total. R. M. STEVENSON, Cashier, Liabilities. 10. 02 88, 091. 00 163,621.09 National Bank, Sandy Hill. L. W. CRONKHITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 746, 589. 79 Total . CHARLES T. BEACH, Cashier. No. 2838. $517, 062. 89 J Capital stock paid in 395.75 j 12,500.00 Surplusfund I Undivided profits, less current expenses and taxes paid 1, 200. 00 National-bank notes outstanding. 77, 650. 00 State-bank notes outstanding 7,500 00 2, 023. 50 Due to other national banks 1, 866. 68 Due to State banks and bankers.. 86, 098. 75 Dividends unpaid 2, 081. 93 Individual deposits 281."66" United States deposits 170. 99 Deposits of U.S.disbursing officers. 7, 245. 80 9, 950. 00 Notes and bills rediscounted 20, 000. 00 Bills payable 562. 50 Liabilities other than those above stated Total . $50, 000. 00 10, 000. 00 26, 876. 53 10, 950. 00 610, 694. 6 27,169. 47 746, 589.79 People's National Bank, Sandy Hill. CHAS. STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3244. $253,510. 85 27.77 12, 500. 00 1, 437. 50 47, 500. 00 10, 000. 00 "3," 474.'78" 23, 757. 89 1, 054. 66 2, 370. 203. 20. 855. 3, 8«5. 00 35 55 00 562. 50 W. J. TOWNSEND, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. 13, 782. 69 1, 240. 90 8, 671. 06 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 286,195. 20 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 381,139.85 Total . 381,139. 85 770 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW \ O IMi . First National Bank, Saratoga Springs. J. M. MARVIN, President. No. 893. WM. HAY BOCKES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc ! Ban k'gliouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from Statebanksand bankers.' Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $650,662.80 1,270.95 100, 000. 00 Capital stock paid in. $125, 000. 00 Surplus fund , j Undivided profits, less current expenses and taxes paid 12, 000. 00 j National-bank notes outstanding. 29, 339.74 State-bank notes outstanding.. 40, 000. 00 53, 009.10 Due to other national banks 21,108. 37 Due to State banks and bankers.. 1, 768. 21 27,100.87 Dividends unpaid 997. 07 2, 641. 23 Individual deposits 3, 085. 00 United States deposits 292. 48 Deposit s of U. S. di sbursing officers. 29, 506. 35 82,149.00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 125,000.00 t Total 1,059, 431.17 26, 593. 64 90,000. 00 11,540.41 1, 290. 41 680, 006. 71 1,059,431.17 Citizens' National Bank, Saratoga Springs. JOHN FOLEY, President. No. 2615. Loans and discounts | Overdrafts { TJ. S. bonds to secure circulation... I TJ. S. bonds to secure deposits j TJ. S. bonds on hand Premiums on V S. bonds $627,667.31 1, 656. 26 50,000.00 ! • fetocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Duo from other national banks Due from Statebanksand bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit I Redemption fund with Treas. U.S.! Due from Treasurer U. S i Total. 21, 356. 25 22,155. 80 465.19 760. 90 36,586.62 3,025.65 1, 788. 73 1,456. 00 420. 37 31, 572. 59 29,175.00 1,130. 00 829, 216. 67 J . H. D E RIDDER, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banlv notes outstanding 20, 799. 09 44, 400. 00 Due to other national banks Due to State banks and bankers.. 7.186. 00 458.00 Dividends unpaid Individual deposits United States deposits j Deposits of U.S.disbursingofficers. 30, 000.00 45.00 626, 328. 58 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total. 829,216. 67 First National Bank, Saugerties. R. A. SNYDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds ou hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' ghouse,furniture, and fixtures Other real estate andmortg's owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1040. W M . H. ECKERT, Cashier. $311, 403. 44 jCapital stock paid in . | $200, 000.00 4,553.99 50, 000. 00 Surplus fund 40, 000. 00 Undivided profits, less current 3, 548.16 expenses and taxes paid 5, 000. 00 National-bank notes outstanding. 44, 600. 00 8, 275. 00 State-bank notes outstanding 14. 000. 00 37, 741.03 Due to other national banks 2, 655. 22 28,108. 75 Due to State banks and bankers. 97,004. 33 2, 312.26 Dividends unpaid 1,037.10 Individual deposits 10,028.00 | United States deposits 305.97 | Deposits of U.S. disbursing officers. 12,787.75 ! 6,850.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 526,150. 80 ( Total. 144, 840. 60 15, 000.00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 771 NE W YORK. Mohawk National Bank, Schenectady. H . S. EDWARDS, President. No. 1226. JOHN G. L. ACKERMAN, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Othe* real estate and mortg's owned' Due from other national banks 1 Due from State banks and bankers.! Due from approved reserve agents Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie •Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities $458,0i5.05 2, 625. 51 100, 000.00 11, 000. 00 49, 500. 00 16,000.00 2.621.33 132,045.52 2, 508. 94 5, 612. 00 347.51 29, 669. 75 9, 000. 00 4, 500. 00 Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.l State-bank notes outstanding.. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 20,000. 00 106, 814. 76 86, 500. 00 7,973. 08 7, 029.12 1,166. 39 493, 962. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 823, 445. 61 Total . 823, 445. 61 Union National Bank, Schenectady. "WILLIS T.HANSON, President. Loans and discounts j Overdrafts | U. S. bonds to secure circulation.. J U. S. bond s to secure deposits ! U. S. bonds on hand [ Premiums on U. S. bonds j Stocks, securities, etc i Bank'ghoiise,furniture,andfixtures; Other real estate and ruortg s owned Due from other national banks j Due from State banks and bankers, i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . E . VAN EPS, Cashier. No. 4711. $222,169. 59 151.59 25, 000. 00 2, 250. 00 "is,666"oo " i ,752.14 50, 889. 86 558.75 3, 835. 00 145.27 8, 300. 00 5,000. 00 1,125. 00 Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 20, 000. 00 20,331.21 21, 920. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 18, 772. 43 Individual deposits United States deposits Deposits of U.S.disbursing officers. 158,153. 56 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 339,177. 20 339,177. 20 Total . Schenevus National Bank, Schenevus. SIMON B. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.., U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4962. $40, 023. 44 39.71 12, 500.00 2, 296. 87 39, 855. 00 5,146.10 156.24 36.86 5, 813. 79 748. 00 90.00 12.82 3, 261. 22 550. 00 562. 50 111, 092. 55 GEORGE LOVELL, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers. Dividends unpaid 454. 98 11, 250. 00 45.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 1, 000.00 48,342.62 j. Liabilities other than those above stated Total . Ill, 092. 55 772 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W Y O R K . National Bank, Schuylerville. D. A. BULLARD, President. No. 1298. CHARLES E. BRISBIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned .Due from other national banks Due from State banks andbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer TJ, S Total. Liabilities. $189, 663. 29 i Capital stock paid in 651.00 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 700.00 State-bank notes outstanding 7, 000." GO" 13,365.37 174.97 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 5.00 i United States deposits 64.40 | DepositsofU.S.disbnrsingofncers 6,229.80 i 1,562.00 | Notes and bills rediscounted . Bills payable 562. 50 Liabilities other than those above $50, 000. 00 40,000. 00 2, 458. 48 11, 250. 00 11,75(7.32 560. 74 122, 458. 79 stated 238, 478. 33 238, 478.33 Total. Exchange National Bank, Seneca Falls. JAMES H. GOULD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3329. 1389, 411.42 574.29 25, 000. 00 42, 764. 32 15, 000. 00 NORMAN H. BECKER, Cashier. $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 28, 966. 24 22, 500. 00 Due to other national banks Due to State banks and bankers..! Dividends unpaid 4, 455. 88 15, 480. 35 } Individual deposits 299. 00 1 j United States deposits 82.65 I i Deposits of U.S.disbursingofficers . 16, 790.50 10. 215. 00 Notes and bills rediscounted. Bills payable 1,125.00 I Liabilities other than those above stated 344, 214. 70 7, 642. 02 13,178.85 53, 359. 92 174.20 575, 617.17 575, 617.17 Total. Sherburne National Bank, Sherburne. JOSHUA PRATT, President. Leans and discounts Overdrafts f U. S bonds to secure circulation... U. S. bond? to secure deposits U. S. bondp on hand Premiums on U. S. bonds Stocks, securities etc Bank'g house,furniture,andfixtures| Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U, S Total. No. 1166. M. D. BOTSFORD, Cashier. $100, 000.00 $108,885.23 || Capital stock paid in. 468.83 ' 20, 000.00 100, 000. 00 Surplus fund Undivided profits, less current 67, 096. 97 expenses and taxes paid 85, 800.00 2, 337. 50 National-bank notes outstanding. 121, 800. 00 State-bank notes outstanding 8,000. 00 Due to other national banks 157.76 Due to State banks and bankers. 1 1 821. 29 27, 089. 37 Dividends unpaid | 181. 84 119,716.14 Individual deposits 1, 600. 00 United States deposits 39.94 Depositsof U. S.disbursingofncers 14, 531. 35 2, 200. 00 4, 500. 00 392,613.11 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 392,613.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 773 J¥E W Sidney National Bank, Sidney. N o . 3822. JOHN A. CURK, President. J A S . L. CLARK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer TJ. S Total. $180,238.30 Capital stock paid in. 847. 21 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 705. 26 National-bank notes outstanding. 9, 030. 35 State-bank notes outstanding 833.50 1, 686. 57 899.95 28,174. 55 157.43 105. 10 12,645.00 4, 910. 00 "2,'250'00 $50, 000. 00 46, 000. 00 2, 007. 41 45, 000. 00 Duo to other national banks Due to State banks and bankers.. Dividends unpaid 570.07 Individual deposits United States deposits Deposits of U .S.disbursing officers. 152, 905. 74 Notes and bills rediscounted Bills payable Liabilities other than those above stated 296, 483.22 Total. 296, 483. 22 First National. Bank, Sing Sing. No. 471. HENRY C. NELSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash i?ems Exchanges for clearing house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $300, 970.88 2, 676. 21 25, 000. 00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 11, 653. 00 21, 000. 00 $100, 000. 00 20, 000. 00 78, 462. 80 10, 000. 00 81, 335. 85 Due to other national banks ! 8, 599. 75 9,189. 77 Due to State banks and bankers..I 76, 073. 65 Dividends unpaid. 428. 98 Individual deposits '"i,'327.'ob" United States deposits ! 6.32 DepositsofU.S.disbursingorlicers-j. 77, 368. 44 22,190. 00 65, 621. 67 10, 472. 30 333, 261. 30 Notes and bills rediscounted — Bills payable 1,125. 00 Liabilities other than those above stated 1, 935.50 Total. 630, £ Total. ISAAC B. NOXON, Cashier. Capital stock paid in 630, 849. 21 Farmers and Drovers' National Bank, Somers. W. H. WRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items... Exchanges for clearing ho vise Bills of other national banks Eractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1304. $173, 683. 67 111.34 65, 000. 00 H. B. THACKER, Cashier. Capital stock paid in $100, 000. 00 2, 600. 00 11, 848. 71 Surplus fund Undivided profits, less current expenses and taxes paid ! National-bank notes outstanding-1 State-bank notes outstanding !. i Due to other national banks J Due to State banks and bankers. J . 55, 981. 20 Dividends unpaid 138. 700. 00 900.00 131. 04 6, 690.00 9,400.00 2, 925. 00 1, 300. 00 469, 270.96 100, 000. 00 31, 364. 25 57, 650. 00 494.02 • Individual deposits ! United States deposits \ Depositsof U.S.disbursingofiicers- 1 179,762. 69 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total. 469, 270, 96 774 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W ¥ O R K . First National Bank, Springville. No. 2892. W. O. LELAND, President. ELMER O. LELAND, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonus to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Otber real estate and mortg' s owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Cbecks and otber cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. :283, 300. 91 | Capital stock paid in 20. 58 j 20, 000. 00 J Surplus fund Undivided profits, less current expenses and taxes paid 1,800.00; National-bank notes outstanding. State-bank notes outstanding 9. 943. 59 3j 625. 00 Due to other national banks 2, 694. 91 Due to State banks and bankers.. 1, 970. 32 24, 887. 21 Dividends unpaid 898. 30 Individual deposits 90." 66* United States deposits 76. 72 Deposits otU. S. disbursing officers 10,110.00 2, GOO. 00 " " 9 6 6 ."66" 362, 917. 54 Notes and bills rediscounted Bills payable $50, 000. 00 25, 000. 00 16, 886.97 18,000.00 2, 073.29 9, 738. 06 229, 219.22 12,000.00 Liabilities other than those above stated Total. 362, 917.54 National Bank, Stamford. J. H. MEKCHANT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand :... Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks . . . . { Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2602. G. W. KENDALL, Cashier. $169,223.26 Capital stock paid in $75, 000.00 367.19 75, 000. 00 Surplus fund 13, 500. 00 Undivided profits, less current exjienses and taxes paid 1,139.19 67, 500. 00 5, 500. 00 National-bank notes outstanding. State-bank notes outstanding 5, 700. 00 2, 000. 00 Due to other national banks 489.18 Due to State banks and bankers.. 7, 681. 28 Dividends unpaid 1,152. 00 294.33 Individual deposits 117,542.93 United States deposits 53.00 Deposits of U.S.disbursing officers. 6,109. 24 2, 000. 00 Notes and bills rediscounted. Bills payable 2, 395. 00 Liabilities other than those above stated 276, 323. 30 Total. 276,323. 30 First National Bank, Syracuse. Gr. B. LEONARD, Cashier. No. 6. | $250, 000. 00 Loans and discounts | $2, 046, 299. 91 Capital stock paid in Overdrafts 364.44 50,000. 00 Surplus fund U. S. bonds to secure circulation... 250, 000. 00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand 50,771. 77 expenses and taxes paid Premiums on U. S. bonds 45, 000. 00 National-bank notes outstanding. Stocks, securities, etc 128, 787. 08 State-bank notes outstanding Bank'ghouse, furniture, and fixtures 104,069. 82 Other real estate and mortg's owned Due to other national banks Due from other national banks 1, 744.71 125, 046.17 Due to State banks and bankers.. Due from State banks and bankers. 57,180.17 Due from approved reserve agents. 416, 441. 43 Dividends unpaid Checks and other cash item; 2,275, 226.64 Exchanges for clearing house 23,719.02 Individual deposits Bills of other national banks 4,600. 00 United States deposits Deposits ofU.S.disbursing officers. Fractional currency, nickels, cents. 85, 084. 72 Specie 35, 400. 00 Notes and bills rediacounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 1, 640. 00 Liabilities other than those above Due from Treasurer U. S stated E. B. JUDSON, President. Total 2,976,812.94 Total J 2, 976,812.94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 775 NEW YORK. Third National Bank, Syracuse. No. 159. HENRY LACY, President. L. H. GROESBKCK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums 011 U. S. bonds ; Stocks, securities, etc | Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total ! $794,128. 96 Capital stock paid in. 88.34 350, 000. 00 |! Surplus fund 50 000.00 !! Undivided profits, less current I expenses and taxes paid I National-bank notes outstanding. 515. 00 jI State-bank notes outstanding. 25, 000. 00 ; Due to other national banks ~37," 265." 60" Due to State banks and bankers . 4, 951. 50 94, 899.13 Dividends unpaid 6, 535. 53 6, 635.18 Individual deposits 9. 350. 00 United States deposits 83.59 ! Deposits of U. S. disbursing officers. 47, 476. 50 5,000.00 Notes and bills rediscounted. Bills payable 15, 750. 00 2, 400.00 Liabilities other than those above stated 1,450,079.33 Total . $400, 000. 00 70, 000. 00 67, 221. 94 315, 000. 00 60, 680. 77 7, 697. 29 484, 321. 54 44, 962. 57 195.22 1, 450, 079. 33 Merchants' National Bank, Syracuse. GEO. N. KENNEDY, President. Loans and discounts | Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc I Bank'ghouse,furniture, and fixtures Other-real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes: U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1342. $932, 864. 77 1, 691. 74 50, 000. 00 4, 000. 00 2, 919. 00 38, 112. 08 12, 009. 39 69, 327. 31 595.10 7. 223. 68 23, 393. 00 45.97 31, 660. 00 27,000. 00 2, 250. 00 500. 00 E. R. PLUMB. Cashier. Capital stock paid in. $180, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 83, 860.03 13, 031. 63 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 653, 084. 72 128, 615. 66 45, 000. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,203,592.04 Total 1, 203, 592. 04 Salt Springs National Bank, Syracuse. A. A. HOWLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc . Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1287. T. J. LEACH, Cashier. $861,238. 78 j Capital stock paid in 1,760.40 50, 000. 00 j Surplus fund ; Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding. I State-bank notes outstanding ;200, 000. 00 Due to other national banks 22,482.18 Due to State banks and bankers.. 2 830.76 70', 241.54 Dividends unpaid 83.42 4,686.43 Individual deposits 7,946. 00 United States deposits Deposits of U.S.disbursingofficers. 37,311.03 14, 540. 00 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 6, 805.18 1, 075, 370. 54 Total . 40, 000. 00 59,952. 39 44, 600. 00 724,012.97 1, 075, 370. 54 776 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Tarrytown National Bank, Tarrytown. ROBERT A. PATTESON, President. No. 2626. ¥ M . D. HUMPHREYS, Caihier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $208, 007. 62 " Capital stock paid in $100,000.00 35," 666." 66" Surplus fund Undivided profits, less current expenses and taxes paid 1,162. 50 National-bank notes outstanding, j 111, 625. 42 State-bank notes outstanding 20, 000. 00 31,500.00 37, 000. 00 Due to other national banks 35, 399.15 40,701.11 80, 254.30 1, 098.03 58,412.45 8, 387. 60 Due to State banks and bankers.. 29.00 Dividends unpaid 348,987.06 "i," 566." 66' Individual deposits 229. 78 United States deposits 5, 600. 00 Deposits of U.S.disbursing officers . 16,500.00 Notes and bills rediscounted "i," 575." 66 Bills payable 1, 040. 00 Liabilities other than those above stated 576, 692. 91 Total 576, 692.91 First National Bank, Ticonderoga. H. Gr. BURLEIGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. M. R. HACK, Cashier. No. 4491. $110, 580.16 Capital stock paid in. $50,000.00 3, 938.25 50, 000. 00 Surplus fund ! Undivided profits, less current I expenses and taxes paid 9,103.31 4,724. 00 National-banknotes outstanding.} 45,000.00 10,318.48 State-bank notes outstanding j 3,000. 00 j 1,413.63 1, 500. 00 Due to other national banks 7, 277. 46 Due to State banks and bankers 17,475. 56 302. 33 Dividends unpaid Individual deposits ""'785.'66' United States deposits 234.74 Deposits ofU. S.disbursing officers, j 4, 933.30 2,355. 00 Notes and bills rediscounted Bills payable 2, 250. 00 620.00 Liabilities otherthan those above stated 220, 294.28 Total i 104.810.02 9, 967. 32 220,294.28 First National Bank, Tonawanda. GEO. F . RAND, President. No. 4869. HENRY P . SMITH, Cashier. Loans and discounts I $329, 895. 78 Capital stock paid in \ $100, 000. 00 Overdrafts U. S. bonds to secure circulation... 80,000.00 Surplus fund S 25, 000. 00 U. S. bonds to secure deposits J Undivided profits, less current j U. S. bonds on hand j expenses and taxes paid i 6,486.52 Premiums on U. S. bonds j National-bank notes outstanding.! 71, 530.00 Stocks, securities, etc ! State-bank notes outstanding ] Bank'g house, furniture, and fixtures! 2, 500. 00 Other real estate and mortg's owned Due to other national banks ! 43, 001. 22 Due from other national banks 6, 706.63 Due to State banks and bankers.. j 61, 097.19 Due from State banks and bankers. 39,174. 61 Due from approved reserve agents. 48, 269. 76 Dividends unpaid J Checks and other cash items 715.19 Exchanges for clearing house Individual deposits 217, 495. 49 Bills of "other national banks 276. 00 United States deposits Fractional currency.nickels, cents. 40.45 Deposits of U.S. disbursing officers.' 9, 287. 50 Specie Legal-tender notes 4,168. 00 Notes and bills rediscounted. U. S. certificates of deposit Bills payable Redemption fund with Treas. U.S.I 3,576. 50 I Liabilities other than those above J Due from Treasurer U . S stated i. Total. 524, 610. 42 Total. 524,610.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 777 NEW YORK. Central National Bank, Troy. No. 1012. MOSES WARREN, President. E. W. GREENMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S Total. $601,469.08 ! Capital stock paid in. 915.81 ! 50, 000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 5, 500. 00 National-bank notes outstanding. 132, 697. 51 State-bank notes outstanding 12,773.00 206. 42 Due to other national banks 4, 523. 93 Due to State banks and bankers.. 65, 597. 98 Dividends unpaid 6,335.79 || I Individual deposits 2, 517. 00 I United States deposits 46.53 ( Deposits of U.S. disbursing officers. 87,511.00 '! 3, 500. 00 ! Notes and bills rediscounted ii Bills payable 1,479.60 jl i; Liabilities other than those above !' stated $200, 000.00 50, 000. 00 34, 994. 58 43, 730. 00 2, 265. 34 644, 083. 73 Total . 975,073.65 975,073.65 Manufacturers' National Bank, Troy. GEO. P. IDE, President. Loans and discounts No. 721. l Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cashitemi Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ., 309, 243. 74 | 390.92 I 150, 000. 00 I 50, 000. 00 j $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 25,000" 00"! National-bank notes outstanding. State-bank notes outstanding 127, 425. 33 30, 000. 00 86, 352. 05 152,940.00 23,199.81 204,152. 36 125, 000. 00 20, 916.42 135, 000. 00 Due to other national banks J3ue to State banks and bankers.. Dividends unpaid 174, 838. 80 61, 776.00 19,513.18 Individual deposits 27, 035. 00 United States deposits 170. 64 Deposits of U.S. disbursing officers. 117, 360. 00 20, 000. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 1, 641, 216. 57 12,169. 07 28, 616.17 Liabilities other t h a n those above stated 2,349,533.03 Total. S. O. GLEASON, Cashier. Capital stock paid in Total . 2,349, 533.03 Mutual National Bank, Troy. "WILLIAM KEMP, President. Loans and discounts Overdrafts TJ. S. bonds to secure c i r c u l a t i o n . . . TJ. S. bonds to secure deposits TJ. S. bonds on hand P r e m i u m s on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other real estate and mortg's owned D u e from other national b a n k s Due from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks a n d other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, c e n t s . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total No. 992. , 207, 253. 53 876.93 50, 000. 00 38, 023. 63 35, 000. 00 26,551.58 17,198.48 260.80 103, 314. 62 3, 846.18 12, 226. 23 1, 879. 00 100. 79 61,901. 00 9, 300. 00 RICE C.BULL, Capital stock paid in Cashier. $250, 000. 00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 175, 000. 00 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 19, 961. 96 482.14 43,102. 30 45, 000. 00 Dividends unpaid 140. 00 I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursing officers . Notes and bills rediscounted Bills payable 1, 036, 296. 37 ' * " 2 * 250." 00" Liabilities other t h a n those above stated 1,569,982.77 Total... 1,569,982.77 778 REPORT OF THE COMPTROLLER OF THE CURRENCY. I^EW Y O R K . National Bank, Troy. No. 2873. FRANCIS A. FALES, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, an d fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional eurrency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S-j Due from Treasurer U. S I Total . GEORGE H. MORRISON, Cashier. Liabilities. $519,292. 50 Capital stock paid in. $200, 000. 00 1,928.28 I 50,000.00 I Surplus fund 17, 500. 00 Undivided profits, less current 5, 213. 25 expenses and taxes paid 6,000.00 j National-bank notes outstanding. 45, 000.00 17,880.47 State-bank notes outstanding 30,584.61 19,794.13 Due to other national banks 1,923.71 6,802.14 1,351.99 Due to State banks and bankers.. 44,152.25 i Dividends unpaid 393.40 i I 482, 534. 80 16,004.50 [ Individual deposits 5,526.00 I United States deposits j. 7.47 || Depositsof U.S.disbursingofficers.. 26,590.00 I 6,318.00 !! Notes and bills rediscounted. Bills payable 2,250.00 j Liabilities other than those above stated 753,523.75 || Total . 753, 523. 75 National State Bank, Troy. No. 991. THOMAS COLWELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. , 520, 332.54 2, 517.88 50, 000. 00 J. S. HAWLEY, Cashier. Capital stock paid in $250,000. C O Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 2, 500. 00 230,900. 00 12,000. 00 3,100. 00 Due to other national banks 15,998. 53 Due to State banks and bankers.. 4, 373. 83 174, 727. 78 I Dividends unpaid 1, 034. 00 659.49 Individual deposits 14, 800. 00 United States deposits 421. 89 Depositsof U.S.disbursingoflicers. 98, 896. 00 20, 000. 00 Notes and bills rediscounted. Bills payable 1,840.00 I Liabilities other than those above stated Total 2,164,101. 94 200, 000.00 66, 669. 61 45, 000. 00 5, 271. 60 16, 532.99 50.00 1, 580, 577. 74 2,164,101.94 Troy City National Bank, Troy. GrEo. A. STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnitare,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 640. $883,345. 58 4.14 50, 000. 00 37, 026. 55 20, 000. 00 11,827.79 43, 520. 57 3,185. 25 451, 448. 28 749. 87 4, 370. 29 93, 712. 00 105.68 84, 360. 00 20, 796. 00 2, 250. 00 540.00 1,707,242. 00 FRANK E. NORTON, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 200,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 43,338.97 11, 776.98 37, 277. 80 41, 870. 00 140.00 1, 072,838. 25 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,707,242.00 EEPOBT OP THE COMPTROLLER OF THE CURRENCY. 779 NEW YORK. Union National Bank, Troy. No. 963. L. E. GURLEY, President. A. E . SMITH, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national T)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $1, 075, 418. 32 1, 403.69 50,000.00 5, 000.00 Capital stock paid in. $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 676. 05 210.87 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 1, 057, 435. 72 44,195. 55 45, 000. 00 76, OOO.OO 11,931.94 16, 897. 61 173,311.30 917. 98 5,105.36 7,778. 00 347. 64 18,760.85 46, 773. 00 20,000. 00 2, 250. 00 700.00 77.50 Notes and bills rediscounted. Bills payable. Liabilities other than those above stated 1,512,595.69 I 1, 512, 595. 69 Total . United National Bank, Troy. GEO. H. CRAMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg'a owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J. H. NEHER, Cashier. No. 940. $652, 738. 45 I Capital stock paid in $240, 000.00 209.15 200, 000.00 Surplus fund 260,000. 00 Undivided profits, less current 45,954. 55 expenses and taxes paid National-bank notes outstanding. 178, 357. 50 248,000. 00 State-bank notes outstanding 40, 000.00 50, 590. 22 20, 540. 49 414, 010. 92 13, 051. 97 7,166. 75 11,110.00 435. 22 87, 200. 00 6, 000. 00 9, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 68,527.53 34, 630. 57 Individual deposits United States deposits Deposits of U. S .disbursing officers. 932,583.02 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,760,053.17 1,760,053.17 First National Bank, Utica. CHARLES B. ROGERS, President. Total JOHN A. GOODALE, Cashier. No. 1395. $1, 736,384.56 Loans and discounts 574.14 Overdrafts 300, 000.00 U. S. bonds to secure circulation. IT. S. bonds to secure deposits U. S. bonds on hand 1 6, 830.80 Premiums on U. S. bonds 69,467.15 Stocks, securities, etc j 40, 000. 00 Bank'g house,furniture,and fixtures; Other real estate and mortg's owned 49, 267. 49 Due from other national banks 18, 421.15 Due from State banks and bankers . 370, 709.15 Due from approved reserve agents. Checks and other cash items 13, 032.83 Exchanges for clearing house 7, 673. 00 Bills of other national banks 456,41 Fractional currency, nickels, cents. 77, 737.90 Specie 15,000.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 13, 500. 00 Due from Treasurer U. S 2,719,054.58 Capital stock paid in. $600,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 300,000.00 Due to other national banks Due to State banks and bankers.. 202,616.14 2, 640.84 Dividends unpaid 130,760.07 270,000.00 3,764.00 Individual deposits I 1,209,273.53 United States deposits i Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 2,719,054.58 780 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Second National Bank, Utica. No. 185. W M . M. WHITE, President. D. A. AVERY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $799, 970. 36 1,090.70 100, 000. 00 50, 000. 00 9, 000. 00 14, 780. 00 3, 000. 00 19, 430. 50 8, 381. 90 43, 556. 30 3,193. 32 ""* 5i6. 00 92.76 26, 085. 00 15, 000. 00 Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 14, 278.58 2, 342. 64 Individual deposits United States deposits Deposits of U.S. disbursing officers. 507, 607. 65 41, 400. 74 3,542.27 39, 427. 46 89. 997. 50 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above 1,098,596.84 stated Total. 1, 098, 596. 84 Oneida National Bank, Utica. ROBT. S. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds I Stocks, securities, etc j Bank'ghouse,furniture,and fixturesi Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. j Due from approved reserve agents.! Checks and other cash items ! Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes.. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total . No. 1392. $982, 511.19 864.68 280,000. 00 GEO. L. BRADFORD, Cashier. Capital stock paid in. $400, 000. 00 Surplus fund Undivided profits, less current 1,700.00 I expenses and taxes paid National-bank notes outstanding. 55, 616. 07 State-bank notes outstanding 10,113.49 Due to other national banks 115,692.75 Due to State banks and bankers.. 6, 228. 81 161, 635. 52 Dividends unpaid 25,407.15 Individual deposits 13,037.66 United States deposits 102. 00 DepositsofU.S.disbursingofficers. 80, 800. 00 4, 700. 00 Notes and bills rediscounted. I Bills payable 12, 600. 00 Liabilities other than those above stated 200, 000. 00 1, 751, 008. 66 Total. 127, 647.45 252, 000. 00 73,776.11 3, 241. 63 1,144. 00 693,199.47 1,751,008.66 Utica City National Bank, Utica. C. S. SYMONDS, President. No. 1308. MELVILLE C. BROWN, Cashier. Loans and discounts $1,104, 288.02 Capital stock paid in | $400,000.00 8, 799. 56 Overdrafts 100, 000. 00 Surplus fund U. S. bonds to secure circulation... I 100, 000.00 U. S. bonds to secure deposits Undivided profits, less current j 12, 860. 40 U. S. bonds on hand expenses and taxes paid j 90, 000. 00 Premiums on U. S. bonds i 3, 500.00 National-bank notes outstanding. I Stocks, securities, etc j 49,977.04 State-bank notes outstanding I. Bank'ghouse,furniture,and fixtures' 34, 000. 00 Other real estate and mortg's owned 1, 740. 00 Due to other national banks 26,577.96 Dae from other national banks 37, 025. 36 Due to State banks and bankers.. 4, 331.66 Due from State banks and bankers. 333.12 Due from approved reserve agents. 1,428. 73 Dividends unpaid 1, 526. 00 Checks and other cash items 10, 705. 78 Exchanges for clearing house Individual deposits 833, 892. 62 Bills of other national banks "ii,849.66' United States deposits Fractional currency, nickels, cents. 498.28 DepositsofU.S.disbursingonicers. Specie 80,118.15 Legal-tender notes 18, 426. 00 Notes and bills rediscounted. U.S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 4, 500. 00 Due from Treasurer U. S 1, 999. 60 Liabilities other than those above stated Total . Total. 1, 469,188. 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 781 NEW YORK. National Bank, Vernon. No. 1264. A. P . CASE, President. G. H. PRATT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. IS. bonds to secure deposits U. S. bonds on hand Premiums on TT. S. bonds Stocks, securities, etc Baiik'ghouse,furniture,andfixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $96, 711. 58 126. 79 34, 000. 00 Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 96, 743. 75 1, 500. 00 3, 000. 00 I Due to other national banks Due to State banks and bankers.. 159.47 8,091.54 ! Dividends unpaid 683. 41 | Individual deposits i 450. 00 ! United States deposits |. 63.31 DeposJtsofU.S.disbursingofficersJ. 6, 614.50 3, 250. 00 Notes and bills rediscounted Bills payable 1,530.00 :' Liabilities other than those above stated 252, 924. 35 Total. 20,000. 00 12, 246. 86 30, 600. 00 87, 077. 49 3, 000. 00 252, 924. 35 Walden National Bank, Walden. No. 2348. GEO. W. STODDARD, -President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Premiums on U. S. bonds ! Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned! Due from other national banks | Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $169,942.45 271.44 18,000.00 W. C. STEVENS, Cashier. Capital stock paid iu. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 12, 738. 63 15, 675. 00 6,000.00 j! Due to other national banks Due to State banks and bankers.. 35, 400. 30 Dividends unpaid 354. 08 Individual deposits 95.00 United States deposits 497.16 Deposits of U.S. disbursingofficers 16, 892. 85 800. 00 Notes and bills rediscounted. Bills payable 810. 00 Liabilities other than those above stated Total. 252,969.37 13, 793.16 29,610. 72 208. 00 120,943.86 252,969. 37 First National Bank, Walton. GEORGE 0 . MEAD, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4495. $207, 662. 84 143.06 12,500.00 550. 00 JOHN OLMSTEAD, Cashier. Capital stockpaidin. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 7, 500. 00 4, 046. 33 11, 250. 00 2, 600. 00 1,524.24 1,405. 45 7, 749. 58 1, 840. 64 140.00 42.49 15, 782. 55 3, 215. 00 562.50 255, 718. 35 Due to other national banks Due to State banks and bankers.. Dividends unpaid 515. 27 27.02 Individual deposits United States deposits Depositsof U.S. disbursing officers. 176, 749.02 Notes and bills rediscounted Bills payable 5, 630. 71 Liabilities other than those above stated Total. 255,718.35 782 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Wyoming County National Bank, "Warsaw. L. H. HUMPHREY, President. No. 737. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X . S. bonds to secure deposits T U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $202, 249.15 3,155.39 55, 000. 00 3,318. 00 11, 742.98 13, 600. 00 4,000. 00 20,074.99 24,385. 59 1,412.01 3,010.15 1, 922. 00 136.15 7, 098.25 1, 848. 00 325.00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 262. 37 49,500. 00 Due to other national banks Due to State banks and bankers.. 2, 822.29 77.41 25,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers- 172, 615.59 and bills rediscounted. Bills payable Liabilities other than those above stated 353, 277. 66 Total. F. J. HUMPHREY, Cashier. Liabilities. Total . 353, 277. 66 First National Bank, Warwick. C. A. CRISSEY, President. F. C. CARY, Cashier. 314. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. 144, 52G. 62 8,000.00 Due to other national banks Due to State banks and bankers. 16,458. 43 4, 050. 66 500. 00 183. 98 16, 875. 40 250. 00 1,125. 00 610. 00 361, 588. 61 Total. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 27,158.16 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 157, 093. 07 Notes and bilLs rediscounted Bills payable Liabilities other t h a n those above stated Total . _ 361, 588. 61 First National Bank, Waterloo. A. G. MERCER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. B. certificates of deposit Redemption fnnC with Treas. U. S. Due from. Treasurer U. S Total P. M. KENDIG, Cashier. No. 368. $193, 264.82 4,287. 62 25, 000. 00 3,500.00 33, 000. 00 18, 000. 00 2,107.48 5,688.11 9,626. 78 3,751. 62 817. 00 332.50 6,121. 00 14,550. 00 1,125.00 500. 00 321, 701, 93 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. I i $100, 000. 00 20, 000. 00 1, 838. 71 22, 500. 00 1, 295. 83 4,111.86 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 156,105.53 15, 850. 00 Liabilities other than those above stated Total. 321,701.93 REPOET OP THE COMPTROLLER OF THE CURRENCY. 783 NEW YORK . City National Bank, Watertown. J NO. E. KEMP, President. No. 4296. J. 0. HATHWAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Premiums on II. S. bonds Stocks, securities, etc Bank'ghouse,furmture and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. $260,368. 00 783. 62 25, 000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 250.00 National-bank notes outstanding. State-bank notes outstanding 1, 960. 83 2,169. 61 Due to other national banks 3, 388. 61 Due to State banks and bankers.. 654. 52 12, 971. 55 Dividends unpaid 3,344.15 Individual deposits 307. 00 United States deposits 58.59 Depositsof U.S.disbursing officers. 6,309. 00 3,100. 00 Notes and bills rediscounted. Bills payable 1,125.00 i Liabilities other than those above stated 324,790.48 i 10, 800. 00 3, 985.53 22, 500.00 5, 955. 77 2,177. 61 176,309. 67 3, 061. 90 Total . 324, 790.48 Jefferson County National Bank, Watertown. T. H. CAMP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S No. 1490. S. T. WOOLWORTH, Cashier. $870,199.52 Capital stock paid in. $148, 800. 00 5,405.15 43,500.00 Surplus fund 37, 200. 00 Undivided profits, less current 168, 246. 68 expenses and taxes paid 39,150. 00 National-bank notes outstanding. 23, 225.00 State-bank notes outstanding 5, 000. 00 4, 500.00 Due to other national banks 64,523.96 17,128.18 Due to State banks and bankers.. 53, 946.17 7, 700. 68 120, 993. 39 Dividends unpaid 120.00 25, 003,44 654, 732.19 Individual deposits 3,027.00 ! United States deposits 98.34 j Depositsof U.S.disbursingofficers. 33,980.80 5,000.00 | Notes and bills rediscounted. Bills payable 1,957.50 j! Liabilities other than those above stated 1,166, 719. 00 Total. Total ! 1,166,719.00 National Bank and Loan Company, Watertown. G. H. SHERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture 4 and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1508. C. L. PARMELEE, Cashier. $238,587.25 j Capital stock paid in j 7,507.68 ! 75,000.00 Surplus fund ! Undivided profits, less current I expenses and taxes paid 7,237. 50 National-bank notes outstanding. 6, 325. 00 State-bank notes outstanding 12,000.00 23,128.82 Due to other national banks j 7, 882.83 Due to State banks and bankers.. 4,409.43 9, 293. 73 Dividends unpaid . 6,139. 02 i Individual deposits I "* 3," 283." 00* I United States deposits j Depositsof U.S.disbursingofficers. . 13,458.39 I 3,500.00 || Notes and bills rediscounted .. Bills payable 3,375.00 Liabilities other than those above stated 421,127.65 Total. $75,000.00 15, 000. 00 8,140.89 67, 500.00 23, 505.02 337.90 231, 643.84 421,127. 65 784 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Union Bank, Watertown. No. 1507. "W. W. TAGGART, President. A. L. UPHAM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ, S Total. $520,183. 51 1,479.41 40,000. 00 Capital stock paid in $147,440. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 36, 860. 00 54, 684.87 36, 000.00 1, 020.00 24, 700. 00 386. 00 Due to other national banks j 4, 476. 79 Due to State banks and bankers.. j 784.92 i 91,694.33 Dividends unpaid 8, 459. 90 Individual deposits 3,183. 00 United States deposits Deposits of U.S.disbursing officers. 141.40 21 220.50 7, 000. 00 Notes and bills rediscounted Bills payable 1, 800. 00 1, 200. 00 Liabilities other than those above stated Total. 727, 729. 76 2, 264. 84 3, 047. 26 412.00 445,843.55 1,177. 24 727, 729.76 i Watertown National Bank, Watertown. Gr. W. KNOWLTON, President. No. 2657. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures1 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N. P. WARDWELL, Cashier. 469,115.77 i Capital stock paid in 2,814.48 50, 000. 00 I Surplus fund i Undivided profits, less current expenses and taxes paid 2, 250. 00 National-bank notes outstanding. 63, 700. 00 State-bank notes outstanding 15, 000. 00 Due to other national banks , Due to State banks and bankers. Dividends unpaid $100, 000.00 Individual deposits United States deposits Deposits ofU.S.disbursingofficers. 407, 805.60 2, 250. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 711,811.53 20, 000.00 73, 234. 66 45, 000. 00 56, 502. 34 7, 584. 29 100. 00 1, 584. 64 711, 811. 53 National Bank, Waterville. S. W . GOODWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1361. $322, 593. 50 515.00 40, 000.00 W. L. RACE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 43, 000. 00 \ 1, 000. 00 22, 600. 00 j Due to other national b a n k s . . | Due to State banks and bankers.. 27, 277. 34 118.50 30, 000.00 22, 400. 64 556, 000. 00 1,019. 72 616.03 Dividends unpaid Individual deposits 1, 025. 00 United States deposits 9.79 Deposits of U.S.disbursing officers. 12,070.00 11, 000. 00 Notes and bills rediscounted. Bills payable 1, 800. 00 Liabilities other than those above stated 493,009.13 $150, 000. 00 Total. 252, 972.74 493, 009.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 18& NEW YORK. First National Bank, Waverly. No. 297. F\ E. LYFORD, President. PERCY L. LANG, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total. Liabilities. $143, 828.56 I Capital stock paid in. 4,781.61 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 29, 594.15 State-bank notes outstanding 9,900.00 29, 238. 88 Due to other national banks 881. 65 Due to State banks and bankers. 104. 91 26, 510. 71 Dividends unpaid 1,174. 54 Individual deposits 3,545. 00 United States deposits 274.98 Deposits of U.S.disbursing officers. 1,925.00 13, 892. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated $50, 000.00 10,000. 00 3,138. 56 10, 910. 00 204, 665. 93 Total. 278, 714.49 278, 714.49 First National Bank, Wellsville. W. F. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. H. FURMAN, Cashier. No. 2850. $302,687.53 Capital stock paid in. $100, 000.00 302.46 25, 000.00 Surplusfund 30,000.00 Undivided profits, less current expenses and taxes paid 19, 551.21 500.00 National-bank notes outstanding. 22, 500.00 4, 000. 00 State-bank notes outstanding 8, 500. 00 1, 296. 95 8, 020. 87 2,863.15 04,865.70 7, 302. 01 200.66 71.41 13, 956. 55 5, 330. 00 1,125. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits • United States deposits DepositsofU.S.disbursingofficers. 273,970.42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 446, 021. 63 Total. 446, 021.63 Citizens' National Bank, Wellsville. T. P . OTIS, President. N o . 4988. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie ., Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. http://fraser.stlouisfed.org/ PT 2 CUR? Federal Reserve Bank of St. Louis $113, 231.62 1, 487. 61 12, 500.00 2, 343. 75 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding I $50,000.00 10,000.00 1,247, 27 11, 250. 00 3, 969.33 2, 758. 52 6,349.07 8, 260. 09 712. 55 480. 00 15.99 4, 382. 75 1,100. 00 562.50 158,153.78 50 C. W. CURTIS, JB., Cashier. Capital stock paid in. Due to other national banks Due to State banks and bankers. Diridends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 85, 656.51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 158,153. 78 786 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW Y O R K . National Bank, Westfield. No. 3166. E. A. SKINNER, President. F. W. CEANDALL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in j $50, 000. 00 Surplus fund | Undivided profits, less current expenses and taxes paid 4, 500. 00 National-bank notes outstanding.j 8,100.37 State-bank notes outstanding ' 11,300.00 6,823. 50 Due to other national banks j 1, 662. 31 Due to State banks and bankers.. 4, 734. 64 19,770. 78 Dividends unpaid. 455.10 Individual deposits 2,015. 00 United States deposits 100.00 Deposits of U. S.disbursing officers. 23, 080. 30 2,500. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 10,000. 00 stated Total. 730. 28 43,530.00 2, 791. 24 1, 058.55 248, 026. 67 356,136.74 National Bank, "West Troy. T. A. KNICKERBACKER, Pre, dent. Loans and discounts 0 verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1265. $263,578.47 50, 000. 00 24, 250. 00 4, 000. 00 2, 428. 207. 72, 607. 9, 589. 29 74 37 60 i3,'962.~66~ 135. 00 15,922.12 4, 000. 00 10,000.00 2, 250. 00 A. T. PHELPS, Cashier. Capital stock paid in $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000.00 5,129. 86 45, 000. 00 Due to other national banks Due to State banks and bankers. 1,250. 82 Dividends unpaid 8.00 Individual deposits United States deposits Deposits of U .S.disbursing officers. 296,541.91 Notes and bills rediscounted Bills payable Liabilities other than those above 472, 930. 59 stated Total 472, 930. 59 First National Bank, West Winfield. ALONZO WOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 801. $226,460.35 633.42 50, 000.00 4. 642.65 5,000.00 649. 92 26.70 11, 917. 71 774. 27 275. 00 35.00 13, 747. 90 4,400. 00 2, 250. 00 10.00 320, 822.92 J . O. WHEELER, Cashier. Capital stock paid in \ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid ' Individual deposits United States deposits Deposits of U.S.disbursing officers. •. $100, 000. 00 25, 000. 00 18, 865. 27 45, 000. 00 1, 061.17 339. 20 130, 557. 28 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 320,822.92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 787 NEW YORK. Merchants' National Bank, "Whitehall. ROBT. H. COOK, President. No. 2233. D E WITT C. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S.j Due from Treasurer U. S Total . $293,188.91 181.11 50, 000. 00 Capital stock paid in. 25, 000. 00 4, 812. 50 5, 000. 00 514. 03 244.27 245.00 3, 503. 00 78.09 811.00 000.00 000. 00 250. 00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes j>aid National-bank notes outstanding. State-bank notes outstanding 100,000.00 3,142.95 43,700.00 Due to other national banks Due to State banks and bankers. ; i Dividends unpaid ! ! Individual deposits United States de posits DepositsofU.S.disbursingofficers. 296,' Notes and bills rediscounted. Liabilities other than those above stated * Total 493,827.91 j 493 827. 91 Old National Bank, Whitehall. No. 1160. H. G-. BURLEIGH, President. Loans and discounts I Overdrafts , U. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's o wned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchan ges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $279, 359. 50 185.40 100,000.00 32, 000. 00 5,000. 00 7, 750. 00 542.58 59, 770. 58 31, 866. 38 2,936.00 52.48 7, 227. 50 6, 050. 00 10, 000. 00 4, 500. 00 A. C. SAWYER, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 22,509.60 Individual deposits United States deposits Deposits of U.S.disbursing officers. 252,948. 39 52, 689.43 90, 000.00 9, 093. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 547, 240.42 547, 240.42 First National Bank, Yonkers. W M . H. DOTY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.i Due from Treasurer U. S Total . No. 653. $888, 643. 39 2,140.56 50, 000. 00 42, 395.15 75, 000. 00 94, 705. 00 CO, 616. 89 16, 701. 90 42, 203. 35 21, 981. 09 14, 850. 00 1,158.72 64,194. 79 41, 948. 00 2, 250.00 1,418, 788. 84 W A L L I S SMITH, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 156, 685. 04 28, 789. 64 Individual deposits United States deposits : Deposits of U.S.disbursingofficersJ 957,155.55 12,173.61 38, 950. 00 35.00 Notes and bills rediscounted Bills payable j. Liabilities other than those above stated Total | 1,418,788.84 788 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK. Citizens' National Bank, Yonkers. C. E. WARING, President. No. 2074. J O H N H . KEELER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g bouse,furni ture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S: certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $506,144.02 1,028.43 80, 000.00 3,687.50 130, 675.00 32, 500. 00 1,528.88 154,208.89 4,192. 22 i, 575.00 282.73 23,910.00 14, 950.00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 90, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 23,139.33 13, 355.12 Individual deposits United Statesdeposits Deposits of U.S.disbursing officers. 644,542.91 15,031. 81 72, 000. 00 213. 50 Notes and bills rediscounted. Bills payable 3, 600. 00 Liabilities other than those above stated 958, 282. 67 Total . 958, 282. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 789 NORTH CAROLINA. First National Bank, Asheville. No. 3418. W M . E. BREESE, President. "W. H. PENLAND, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds i Stocks, securities, etc ! Bank'g bouse, furniture, and fixturesj Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $261, 324.14 5, 582. 05 25, 000. 00 Capital stock paid in. $100,000.00 Snrplusfund Undivided profits, less current expenses and taxes paid..... 20, 000.00 Due to other national banks { Due to State banks and bankers. Dividends unpaid 10, 504.44 1,674.47 Individual deposits United States deposits Deposits of U. S.disbursing officers. 70,585.18 Notes and bills rediscounted Bills payable 77, 305. 93 10, 000.00 1,573.46 22,500.00 National-bank notes outstanding. State-bank notes outstanding 4,202. 01 4,478.99 4,813.18 1,134.00 1, 681. 00 68.11 835. 00 3, 900. 00 1,125.00 314,143.48 Liabilities other than those above stated Total . 314,143.48 National Bank, Asheville. W. W. BARNARD, President. No. 4094. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U, S 10,000. 00 27, 706.70 15,139. 34 14, 027. 71 5, 096. 89 2, 046. 23 17, 657. 79 974. 70 2, 735. 00 224. 76 7,715.00 4, 300. 00 1, 687.50 436, 694. 42 Total. WM. J. COCKE, Cashier^ Capital stock paid in. $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18, 000.00 2, 509. 59 33, 750.00 6, 953.88 7,127.32 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 219,114.35 29,551. 25 19, 688. 03 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 436, 694.42 First National Bank, Charlotte. R. M. OATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1547. $675,837. 88 2,082.44 50, 000.00 M. P . PEGRAM, Cashier. Capital stock paid in | $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 6, 000.00 National-bank notes outstanding. 53, 506. 01 State-bank notes outstanding 100,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 309.48 7, 873.83 Individual deposits United States deposits Depositsof U.S.disbursingofficera. 421,432.87 32,000. 00 4,948. 31 22,396. 30 13, 075.23 48, 915. 70 3,402.11 12,740. 00 117.37 53,400.00 20,000.00 2, 250. 00 1, 000, 671. 35 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 55, 805.17 45,000. 00 63, 250.00 1,000,671.35 790 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. Commercial National Bank, Charlotte. J . S. SPENCER, President. No. 2135. A. Gr. BRENIZER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds on hand T Premiums on U. S. bonds Stocks, securities, etc Bank 'g hou se, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . . . U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $508. 821. 79 11,183. 25 50,000.00 50, 000. 00 Capital stock paid in. 150, 000.00 Due to other national banks 24,422.60 Due to State banks and bankers.. 9. 202. 04 27,142. 66 Dividends unpaid 4, 062. 69 Individual deposits 5, 366. 00 United States deposits 210. 00 Deposits of U.S.disbursingomcers. 49,282.00 Notes and bills rediscounted Bills payable 2,250.00 Liabilities other than those above stated 8, 443. 47 2,192.78 1,250.39 1,100. 00 744,293.42 Total $175, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 382. 01 45, 000.00 30.00 286,245.16 38, 534. 39 6,465. 61 20,000.00 744,293.42 Total. Merchants and Farmers' National Bank, Charlotte. JOHN H. Me ADEN, President. No. 1781. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $344, 085. 26 5, 293. 23 50, 000. 00 5, 000. 00 11,250.00 12, 500.00 4, 762. 50 31,415.78 5,214.91 37, 878. 49 282. 67 $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 1, 015. 00 United States deposits 198. 37 DepositsofU.S.disbursingofficers. 14, 416. 00 5,400. 00 Notes and bills rediscounted Bills payable 2,250.00 Liabilities other than those above stated 530, 962. 21 Total. J N O . M. MILLER, J R . , Cashier. Capital stock paid in 10,000.00 5, 914. 81 45, 000. 00 23,122. 52 4, 636. 61 220,315. 37 1, 972. 90 20, 000. 00 530, 962.21 Total . Concord National Bank, Concord. J. M. ODELL, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates ol deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3903. $116, 515.33 550. 58 12,500.00 D. B. COLTRANE, Cashier. Capital stock paid in. $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 017. 81 11, 250. 00 11,276.29 Due to other national banks Due to State banks and bankers.. 272.10 586.13 14. 785.27 771.24 Dividends unpaid 5, 500.00 1,495.00 67.87 7,0i0.50 2, 500.00 562.50 173,534.58 Individual deposits United States deposits Deposits of U.S.disbursingomcers. 16, 000.00 112. 00 92,296.54 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 173,534. 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 791 NORTH CAROLINA. First National Bank, Durham. No. 3811. J. S. CARR, President. LEO. D. HEARTT, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels,cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. tJ. S Due from Treasurer U. S Total. Liabilities. $234, 271. 02 | Capital stock paid in 11, 098. 35 || 37, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 500. 00 National-bank notes outstanding. State-bank notes outstanding * 42," 422. 1, 332. 3, 823. 13,545. 1,860. 39 1,100. 00 62. 5, 058. 3, 068. 1,687.50 Due to other national banks Due to State banks and bankers.. $150,000.00 9, 823. 32 21,400. 60 33, 750. 00 5, 571. 64 1, 076. 42 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable 132, 093. 61 7,614.43 Liabilities other than those above stated Total. 361,330. 02 361, 330. 02 First National Bank, Elizabeth City. CHAS. H. ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. . U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other natioual banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4628. $107, 052. 74 397. 02 12, 500. 00 8, 500. 00 16, 098. 88 222.10 28, 337. 80 860. 94 W. T. OLD, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 374*00" United States deposits 84.38 DepositsofU.S.disbursing officers. 0, 417. 50 1, 500. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 182, 907. 86 Total. 5, 500. 00 2, 838. 84 11, 250. 00 20.00 113,299. 02 182, £ First National Bank, Gastonia. L. L. JENKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. 8 Total . No. 4377. E. S. PEGRAM, Cashier. $170,840.84 I Capital stock paid in. 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 26, 000. 00 State-bank notes outstanding 6, 255. 08 Due to other national banks 7, 876. 62 Due to State banks and bankers. 10, 593. 34 20, 305. 64 Dividends unpaid 215. 80 Individual deposits ""2," 366." 66' United States deposits Depositsof U. S.disbursingofficers. 30.98 5, 357. 00 5, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 269,337.80 Total. $50, 000. 00 4, 500. 00 1, 548. 61 11,250.00 31, 927. 38 13,519.26 85, 242. 55 56, 350.00 15, 000. 00 269, 337. 80 792 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. National Bank, Greensboro. N E I L ELLINGTON, ]STo. 2322. President. A. H. ALDERMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, arid fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $267, 066.81 8, 092.10 100, 000.00 4, 270. 00 22, 000.00 12, 708.02 1, 722.84 50, 082. 28 607. 86 130. 00 10.44 33, 500. 62 14, 776. 00 3,160. 00 518,126. 97 Total. Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 45, 000.00 Due to other national banks Due to State banks and bankers.. 7,146.64 6, 085.82 State-bank notes outstanding 9, 435. 36 88,660.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 261, 799.15 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 518,126.97 First National Bank, Hickory. A. A. SHUFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,andr fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S No. 4597. $94, 736. 49 140.75 12, 500. 00 10,725.90 2, 930. 87 1,745.40 309. 87 $50, 000.00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4,100.00 1,286. 08 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers- 137. 64 6, 957. 50 1, 026. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 131, 772.92 Total. K. C. MENZIES, Cashier. Capital stock paid in. Total. 57,136. 84 8, 000. 00 131,772.92 Commercial National Bank, High Point. J. E. Cox, President. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items .-Exchanges for clearing house IBillsorf other national banks (Fractional currency, nickels, cents. .Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4568. $139,530.87 663. 55 25,000.00 3,000. 00 " i * 666." 66" 419. 86 2, 056. 36 7, 561. 77 320. 00 23.95 3, 656. 00 5, 560. 00 1,125. 00 W. Gr. BRADSHAW, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses* and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 000. 00 3,541.16 22, 500.00 Due to other national banks Due to State banks and bankers.. 2, 307.61 163.05 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursingoflicers- 19, 555. 54 Notes and bills rediscounted Bills payable 7, 850. 00 Liabilities other than those above 189,917. 36 stated Total. 189,917. 36 REPORT OF THE COMPTROLLER OF THE CURRENCY. 793 NORTH CAROLINA. National Bank, High Point. E. M. ARMFIELD, Cashier. No. 3490. W. J. ARMFIELD, President Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $131,491.79 399. 94 12, 500. 00 1, 250. 00 4,083.09 960.00 32,164. 67 ' 3,268. 89 52.45 3,839. 70 7, 235. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and b a n k e r s . . 4, 820.81 12,147. 65 11,250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 109,589.57 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated Total. 197, 808. 03 197, 808. 03 First National Bank, Mount Airy. THOS. FAWCETT, President. M. L. FAWCETT, Cashier. No. 4896. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds \ Stocks, securities, etc \ Bank'gbouse,furniture,and fixtures! Other real estate and morts'sowned| Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and pther cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, c m t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $123,756.69 4,198.12 12, 500. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 500. 00 4,282.73 11, 250.00 2, 042.41 !, 186. 73 11,178. 34 28.54 845. 00 4,000.00 562. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 47, 278. 26 Notes and bills rediscounted Bills payable 40, 987.34 Liabilities other than those above 161, 298. 33 stated Total. 161, 298.33 National Bank, New Berne. JAMES A. BRYAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and b a n k e r s . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with T r e a s . U . S . Due from Treasurer U. S Total. G. H. ROBERTS, Cashier. No. 1632. 1201, 518.77 436. 52 25, 000. 00 36,427.31 15, 000.00 46, 893. 56 9,582. 61 11, 694.21 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... $100,000.00 70, 000. 00 19,136.43 22, 200. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11, 582. 63 2,854.24 Individual deposits United States deposits Depositsof U.S. disbursingofficers 158, 605. 66 " l , " 252.'36" 1,160.00 i 2,210.12 27,128. 50 7, 300. 00 825. 00 Notes and bills rediscounted Bills payable 2, 050.00 Liabilities other than those above stated 386,428.96 Total. 386,428.96 794 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. Citizens' National Bank, Raleigh. No. 1766. J o s . G-. BROWN, President. HENRY E. LITCHFORD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $265, 235.17 i, 892. 25 25,000.00 3, 000. 00 21, 675.00 30, 000.00 13, 000. 00 28, 621.13 13, 327. 70 86, 586. 53 10,412. 69 6, 010. 00 459.04 18, 347.50 10, 000. 00 1,125. 00 19.60 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.; State-bank notes outstanding.. 20, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 15, 452. 49 10, 423. 61 Individual deposits United States deposits '. Deposits of U.S.disbursing officers.]. 368, 606.48 13, 009. 03 10, 220. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 537, 711.61 537,711.61 National Bank, Raleigh. No. 3389. CHAS. H. BELVIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $393. 639. 78 30, 539. 00 50,000. 00 F. H. BRIGGS, Cashier. Capital stock paid in. $2257000^00 Surplusfund Undivided profits, less current expenses and taxes paid National -bank notes outstanding. State-bank notes outstanding 36, 000. 00 Due to other national banks 13, 685. 37 Due to State banks and bankers.. 8, 527.12 87,159. 88 Dividends unpaid 1, 548.12 Individual deposits 2,155.00 United States deposits 526.75 Deposits of U.S.disbursingofficers. 25,047. 50 18, 000. 00 Notes and bills rediscounted Bills payable 2,250.00 346.80 Liabilities other than those above 15, 800. 77 618.59 6, 000. 00 32,895. 00 20, 000. 00 692,320. 32 stated Total.. 36, 510.19 21, 500. 00 356, 890.77 692, 320. 32 First National Bank, Salisbury. R. J. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2981. $132,653. 95 13,720. 33 12,500. 00 1, 500. 00 31, 535.00 1,900. 00 1, 600. 00 6,021.48 2, 338. 55 524.il 405. 00 325. 56 8, 847. 00 2,001.00 "~562."5(j" 216,434.48 WILLIAM BLACKMER, Cashier. Capital stock paid in. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 36, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 807. 38 982.56 Individual deposits United States deposits Deposit s of U. S. disbursing officers. 1 1,139.04 11, 250.00 113,255.50 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 216,434.48 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 795 NORTH CAROLINA. First National Bank, Statesville. No. 3682. JOHN A. COOPER, President. GrEO. H. BROWN, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . Liabilities. $87, 578. 80 2, 207. 31 22, 500. 00 2,500. 00 11.836.63 16. 923. 63 Capital stock paid in $50, 000 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 6. 300. 00 2,114.33 20, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 096. 04 1,130.72 Individual deposits 1,158.00 United States deposits 40.69 Deposits of U .S.disbursing officers. 33,143 50 4, 000. 00 Notes and bills rediscounted. Bills payable 1,012.50 Liabilities other than those above stated 132,498.02 8, 246. 49 5,120.09 18,102.12 2, 019. 35 216,389.11 Total . 216, 389.11 First National Bank, Waaesboro. No. 4947. J. A. LEAK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J. D. LEAK, Cashier. $88,622.92 I Capital stock paid in. 15,698.17 I 25,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 000. 00 National-bank notes outstanding State-bank notes outstanding i,050.00 Due to other national banks 42, 241. 51 Due to State banks and bankers. 314.71 5, 982. 67 Dividends unpaid 2, 021. 72 Individual deposits 235. 00 Uuited States deposits 115.97 Deposits of U.S.disbursing officers. 14, 834. 40 600.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total. 200, 279. 57 $50, 000. 00 1, 500. 00 2,183. 87 11, 250. 00 220. 00 135,125. 70 200, 279.57 First National Bank, Washington. JAS. L. FOWLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U J S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4997. $54, 393. 53 575. 04 12, 500. 00 1, 500.00 "i, 940.84 2, 542.61 550.48 33.51 155. 03 3,182.25 791. 00 562.50 78, 726.79 A. M. DUMAY, Cashier. Capital stock paid in Capital stock not certified. Surplusfund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. :0, 000. 00 400. 00 557. 99 11, 250. 00 59.54 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 26, 459. 26 78, 726.79 796 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. Atlantic National Bank, Wilmington. J. " . NORWOOD, President. W No. 4720. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds on hand T Premiums on U. S. bonds Stocks securities etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. X S. L Due from Treasurer U. S Total W. J. TOOMER, Cashier. Liabilities. ! $461, 362.55 389.35 31,250.00 Capital stock paid in $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35, 000.00 10, 015.80 28,120. 00 12, 500. 00 Due to other national banks 77, 532.64 Due to State banks and bankers . . 63,953. 20 19,343.41 ! Dividends unpaid 5,334.86 Individual deposits 12,500. 00 United States deposits 191.63 DepositsofU.S.disbursingotficers. 17, 300.00 7, 000.00 Notes and bills rediscounted Bills payable 1, 406. 00 2,100.00 Liabilities other than those above 38, 363.25 67,707.23 15.00 407,942.36 stated Total 712,163. 64 712,163.64 National Bank, "Wilmington. JNO. S. ARMSTRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and oankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Du6 from Treasurer U. S Total . No. 4960. $235,152. 56 136. 40 25, 000. 00 3,812. 50 9,700. 00 23, 600.00 30, 852.42 6, 930. 76 2,104.56 168. 96 2,890. 00 192.80 4, 587. 00 800. 00 1,125. 00 L. L. JENKINS, Cashier. $100,000.00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000.00 2,405. 92 22, 500.00 Due to other national banks Due to State banks and bankers . Dividends unpaid 7, 939.28 14.25 Individual deposits United States deposits Deposits of U.S.disbursingofficers 171, 673. 51 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 347, 032. 96 37, 500. 00 347, 032. 96 First National Bank, Wilson. FRANK W. BARNES, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U.S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2321. $124.317. 66 6, 033. 47 12, 750.00 9,132.27 260.00 7,709.90 1, 596. 38 22,397.64 6,166. 29 1, 300. 00 143.41 8, 300. 00 5,000.00 W. E. WARREN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding $51, 000. 00 20, 000. 00 3, 043. 90 11, 475. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable 8.00 85,153. 87 35,000.00 573.75 Liabilities other than those above stated , 205, 680. 77 Total 205, 680. 77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 797 NORTH CAROLHA, First National Bank, Winston. J. C. BUXTON, President. No. 2319. JNO. G. MILLER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $171, 817. 01 j Capital stock paid in 2,126. 40 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 7, 500. 00 State-bank notes outstanding 20,000. 00 13, 250. 00 Due to other national banks 916. 49 Due to State banks and bankers.. 3, 581. 87 2, 356.11 Dividends unpaid 86.01 Individual deposits 1, 500. 00 United States deposits. 50.22 Depositsof U. S.disbursingofficers. j 676. 50 4,806. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated Total 280, 916. 61 $100, 000. 00 10,000.00 5,146.32 45, 000. 00 3, 958. 55 1,465. 60 85,519. 89 26,050. 00 3, 776. 25 280, 916. 61 People's National Bank, "Winston. No. 4292. "W". A. BLAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . T. A. WILSON, Cashier. $86,784.84 \ Capital stock paid in | 780.16 I i 25,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 11, 000. 00 State-bank notes outstanding 11,283.31 11, 500. 00 Due to other national banks | 1, 577. 82 Due to State banks and bankers .. j 750.26 6, 362. 42 Dividends unpaid. 1, 896. 03 Individual deposits 1,015. 00 United States deposits 113. 29 Depositsof U. S.disburaing officers. 13, 915. 00 4,000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 177,102.93 Total. $100, 000.00 11, 200.00 2, 410.69 22,500.00 21.52 1,982.34 150.00 38, 838. 38 177,102.93 "Wachovia National Bank, Winston. "WILLIAM A . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits | U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2425. $468,342.40 378.64 50, 000. 00 5, 000.00 3, 350. 00 5, 552. 89 22, 780. 36 6, 395. 70 23, 990. 78 721. 45 1, 500. 00 320.19 39, 797. 00 2, 000. 00 2, 250. 00 632, 379.41 J A S . A. GRAY, Cashier. Capital stock paid in j $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 125,000.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 10, 441. 93 3, 815. 55 Individual deposits United States deposits Deposits of U.S.disbursingoificers. 253,662.76 44,459.17 45, 000.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 632, 379.41 798 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH DAKOTA. First National Bank, Bathgate. No. 4537. J . M. WILLIAMS, President. C. T. HARMON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from )ther national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . Liabilities. $76, 352. 85 321.64 12, 500. 00 4, 382. 53 6, 000. 00 5, 000. 00 365. 54 11, 970. 67 154. 90 153. 00 15.00 2, 060. 55 3, 500. 00 562. 50 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 7.60 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 47, 081. 58 Notes and bills rediscounted Bills payable 8,000. 00 4, 000. 00 Liabilities other than those above stated 123, 339.18 123,339.18 Total. First National Bank, Bismarck. N o . 2434. C. B. LITTLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . W. A. DILLON, Cashier. $72,175. 82 [ Capital stock paid in. 884. 36 25,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,000.00 National-bank notes outstanding. 5, 503. 75 State-bank notes outstanding 22, 000. 00 31,000.00 Due to other national banks Due to State banks and bankers.. 8, 928. 42 11, 262. 90 Dividends unpaid 738.38 Individual deposits 1,090.00 United States deposits 64.25 Deposits of U.S.disbursing oflicers. 6, 519.15 1,000.00 Notes and bilJs rediscounted. Bills payable 1,125. 00 Liabilities other than those above $100,000.00 ?, 079.26 22, 500. 00 10, 740. 00 2, 563.10 51,409. 67 stated Total .. 189, 292. 03 189, 292. 03 Capital National Bank, Bismarck. C. B. LITTLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2986. $70, 994. 67 —, Cashier. Capital stock paid in j I " 12," 500.'00' Surplus fund Undivided profits, less current expenses and taxes paid | National-bank notes outstanding. 19, 328. 87 State-bank notes outstanding 5, 000. 00 4, 750. 23 Due to other national banks 1, 319. 35 Due to State banks and bankers. 266. 45 12, 827. 66 Dividends unpaid 1,213.10 Individual deposits 650. 00 United States deposits 13.03 Deposits of U.S.disbursing officers. 2, 051. 00 1, 510.00 Notes and bills rediscounted.. Bills payable '"552.50 Liabilities other than those above stated 132, 976. 86 Total. $50, 000.00 1, 500.00 3,169.15 11, 240. 00 67, 067.71 132,976.86 REPORT OP THE COMPTROLLER OF THE CURRENCY. 799 NORTH DAKOTA. First National Bank, Casselton. M. A. BALDWIN, President. No. 2792. FRANK J . LANGER, Cashier. Ivesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $133,524. 88 i Capital stock paid in. 2, 170. 07 ; 25, 000. 00 j Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 7,025.71 State-bank notes outstanding 23,500. 00 8, 000. 00 Due to other national banks 58, 955. 22 Due to State banks and bankers . 6,135.40 55,687.57 ! I Dividends unpaid 189.29 ; j Individual deposits ; 505. 00 ' United States deposits ; 161. 00 i| Deposits of U.S. disbursing officers 2 789 25 13] 055. 00 ;| Notes and bills rediscounted. Bills payable 1,125.00 ! Liabilities other than those above stated 337,823.99 i Total . 0, 000. 00 500. 00 22, 500. 00 250. 00 254, 573. 99 337, 823. 99 First National Bank, Devils Lake. CHAS. S. HuLBERT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer "U. S No. 3397. ! $50, 000. 00 I Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 8, 000. 00 386. 33 11, 250. 00 1,105.79 13, 950. 81 20, 866.13 7, 985. 09 6.39 13,152.10 05.91 260*00 6.80 2, 914. 30 1, 358. 00 562.00 Due to other national banks :. Due to State banks and bankers.. j I Dividends unpaid |. Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable. 80, 389.83 6, 000. 00 Liabilities other than those above stated Total . 156, 040.16 Total . J. A. STEWART, Cashier. Capital stock paid in. 156, 040.16 Merchants' National Bank, Devils Lake. JOHN A. PERCIVAL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3714. $67,899. 50 482. 31 25, 000. 00 12, 630. 75 15,000.00 13,503.94 1,930. 37 11,196.23 2,583. 20 47.60 840. 30 8,175. 00 1,125. 00 300.00 160,714.20 A. S. WEMPLE, Cashier. Capital stock paid in Surplusfund Undivided profits, less current I expenses and taxes paid | National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due t\j State banks and bankers.. $75, 000.00 2, 000. 00 911.61 22,500.00 181.79 Dividends unpaid Individual deposits u nited States deposits Deposits of IT. S.disbursingofficers. 10,120.80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 160,714.20 800 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH DAKOTA, First National Bank, Dickinson. No. 4384. A. HILLIARD, President. E. H. JOHNSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X . S. bonds to secure deposits T TJ. S. bonds on hand Premiums on U S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total $221, 345. 09 12, 754. 35 12, 500. 00 1,500.00 62. 46 15, 500.00 16,221. 69 3,016.11 31, 087. 65 Capital stock paid in $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. 1,820.60 Dividends unpaid 480. 00 Individual deposits 55*6o" United States deposits 15.01 Deposits olU.S.disbursingofficers11,959.10 1, 665.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above 328, 243. 96 24, 983. 05 11,250.00 stated . . . Total 229, 710. 31 328, 243. 96 First National Bank, Fargo. N o . 2377. GEO. Q. ERSKINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $617,506.89 3, 891.13 37, 500. 00 S. S. LYON, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paidNational-bank notes outstanding. State-bank notes outstanding 100, 000, 00 Doe to other national banks Due to State banks and bankers.. Dividends unpaid 8,157. 71 Individual deposits 3, 560. 00 United States deposits 2,172. 94 45,810.81 3, 000. 00 81, 259. 77 42,478. 00 66, 869.12 2,112. 29 1, 284. 31 136,782.83 6,564. 37 21.17 28,295. 50 7,125. 00 2, 287. 50 1, 775. 09 33, 750.00 715,186. 75 Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,048, 695. 59 1,048,695.59 Citizens' National Bank, Fargo. H. F. MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Eedemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3602. $326, 074.44 17,409.18 25, 000. 00 7,496.06 51, 575. 80 8,474. 35 1, 207. 50 14, 738. 48 17,273. 68 3, 919. 24 2,896. 36 885. 00 10.33 12, 300. 45 3, 000. 00 1,125.00 493, 385.87 C. C. SCHUYLEB, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid.... National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. Notes and bills rediscounted Bills payarble Liabilities other than those above ] stated Total - $100, 000. 00 35, 000.00 55.85 22, 500. 00 4, 787.95 620. 00 285,422. 07 5, 000. 00 40, 000.00 493,385.87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 801 NORTH DAKOTA. Red River Valley National Bank, Fargo. JOHN W. VON NIEDA, President. No. 2514. R. S. LEWIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks "Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $343,364.04 Capital stock paid in. 2,950.38 i 30,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 12, 741. 87 State-bank notes outstanding 39, 834. 39 11,967.00 Due to other national banks 1, 009.42 Due to State banks and bankers . . 11,845.76 44, 777. 21 Dividends unpaid 6, 594. 04 1,424.61 |i Individual deposits 1, 500. 00 I United States deposits 7.77 || Deposits of U.S.disbursing officers. 16. 537.90 303. 00 i I Notes and bills rediscounted. II Bills payable 1, 350. 00 . jj Liabilities other than those above stated 526, 207. 99 Total . $100,000.00 50, 000. 00 2,468.15 27, 000. 00 10, 048. 84 321,G91.00 15, 000. 00 526, 207. 99 First National Bank, Grafton. WILLIAM C. LEISTIKOW, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Cheks d Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. 5. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2840. J. L. CASHEL, Cashier. $202,299.10 i Capital stock paid in. $50, 000. 00 27.00 , 12,500.00 Surplusfund 10,000. 00 Undivided profits, less current expenses and taxes paid 54,149. 27 National-bank notes outstanding. 11, 250. 00 7, 257. 38 State-bank notes outstanding 16, 500. 00 2, 333. 20 Due to other national banks 13, 060. 95 Vue to State banks and bankers. 9, 888.12 11,042.11 Dividends unpaid 1, 645. 27 Individual deposits 184, 918. 32 *7"055.66 United States deposits 93.36 Deposits of U .S.disbursingofficers. 25, 053. 60 6, 000. 00 Notes and bills rediscounted 5, 000. 00 Bills payable 562. 50 Liabilities other than those above stated 315, 317. 59 Total. 315, 317. 59 Grafton National Bank, Grafton. F. R. FULTON, President. Loans and discounts. Overdrafts TJ. S.bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc — Barjk'ghouse,furniture,and fixtures Other real estate and mortg's owned 1 Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total CUR, D. C. MOORE, Cashier. No. 3096. $50,000. 00 Capital stock paid in. Surplusfund 26, 000.00 Undivided profits, less current expenses and taxes paid 25, 249.81 National-bank notes outstanding. 11,250.00 1,930. 31 State-bank notes outstanding $218,818.48 146. 66 12, 500. 00 12,056.19 2, 376.48 16, 719.46 449. 43 5, 929. 00 96.37 12,411.30 12, 000.00 562. 50 295, 996.18 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . Notes and bills rediscounted Bills payable 168,496. 37 15,000.00 Liabilities other than those above stated Total. 295, 996.18 802 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH DAKOTA. First National Bank, Grand Forks. J. WALKER SMITH, President. No. 2570. S. S. TITUS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. Capital stock paid in $299, 080. 72 2, 774. 68 25, 000.00 4,158. 27 Due to other national banks Due to State banks and bankers. Dividends unpaid 20, 000. 00 929.35 28, 653. 55 1,360.75 1,040.00 $100, 000.00 Surplus fund Undivided proiits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding i Individual deposits 1 United States deposits 1 Deposits of U. S.disbursingofficers. 20, 000.00 3, 229. 33 22, 500. 00 16, 938. 22 213, 261. 27 c£* (10 1: 9, 733! 50 4, 017. 00 1,125. 00 Notes and bills rediscounted Bills payable 12, 000. 00 10, 000. 00 Liabilities other than those above stated Total. 397, 928. 82 397, 928. 82 Second National Bank, Grand Forks. M. R. DOYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank : g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fuud with Treas. U. S. Due from Treasurer U. S Total. No. 3504. $170,773. 64 483. 47 14, 000. 00 36, 703. 85 19. 425. 27 5, 210. 57 31, 631. 08 3, 063. 23 "5," 275.' OO" 143. 60 8. 839. 25 1, 500. 00 630. 00 1, 350. 00 D. S. DOYON, Cashier. Capital stock paid i n . $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 11,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 930. 31 13, 594. 27 I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S.disbursing officers. 196, 234. 38 N o t e s and bills rediscounted Bills payable 12, 600. 00 12, 670. 00 Liabilities other t h a n those above stated 299,028. 96 Total. 299, 028.96 Grand Forks National Bank, Grand Forks. L. E. BOOKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture,an d fixtures Other real estate and mortg's owned Dae from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. J . COLE, Cashier. No. 3301. $411,178.44 I Capital stock paid in. 9,793.84 50.000.00 Surplus fund 50,000.00 Undivided profits, less current expenses and taxes paid 7, 925. 00 National-bank notes outstanding. 34, 723. 65 State-bank notes outstanding 5, 700. 00 53, 613.45 Due to other national banks Due to State banks and bankers.. 26, 465. 82 38, 043. 00 Dividends unpaid 1, 606. 80 Individual deposits 730.00 United States deposits 120. 41 Deposits of U.S.disbursingofficers. 9, 077. 00 1, 023. 00 Notes and bills rediscounted Bills payable 2, 250. 00 590. 00 Liabilities other than those above stated 702, 840. 41 Total. $200, 000.00 1,000.00 3,556. 46 45,000. 00 4, 609. 99 18,177.94 30.00 334, 637. 02 14,873.12 42, 578.78 18,377.10 20,000.00 702, 840.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 8 0 3 NORTH DAKOTA. Merchants' National Bank, Grand Forks. GEORGE D. LAY, President. No. 4812. D. P . MCLAURIN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $143,729.44 112.46 12, 500. 00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 999.95 2, 800. 00 1, 870. 35 Due to other national banks 400. 00 Due to State banks and bankers. 6, 299. 01 Dividends unpaid 375.10 Individual deposits 22.00 United States deposits 40.37 Deposits of U.S.disbursing officers. 4, 363. 00 9, 000. 00 Notes and bills rediscounted. Bills pay able 562.50 Liabilities other than those above stated Total . 183, 074.18 2, 000.00 11, 250. 00 109, 824.18 10, 000. 00 183, 074.18 Union National Bank, Grand Porks. L. B. RICHARDSON, President. No. 4372. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $221, 686.18 3,808.23 25, 000. 00 SIDNEY CLARKE, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 400. 00 National-bank notes outstanding 22, 263. 34 State-bank notes outstanding 2, 322. 85 32, 943. 36 Due to other national banks 5, 703. 37 Due to State banks and bankers.. 24, 519.79 Dividends unpaid 2, 318.44 Individual deposits 305* 00 United States deposits 47.64 Deposits of U.S.disbursing officers. 12, 690. 90 4, 800. 00 Notes and bills rediscounted. Bills payable 1,125. 00 123. 00 Liabilities other than those above stated Total. 361,057.10 4, 000. 00 8, 555. 57 22,150. 00 102. 00 5, 613. 76 205, 635. 77 15, 000. 00 361, 057.10 First National Bank, Hillsboro. O. C. SARLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3400. 1164, 485. 39 3,934. 45 12,500. 00 150. 00 15, 475. 88 6, 894. 95 17, 814. 77 29, 608.82 2, 742.12 8,437. 38 230. 00 4.15 7, 381. 25 2, 000. 00 562. 50 E. T. SARLES, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 332.83 1, 247.85 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 191, 381.60 8,009. 38 11, 250. 00 Notes and bills rediscounted Bills payable Liabilities other than thos< above stated 272, 221. 66 Total. 272, 221.66 804 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH DAKOTA. Hillsboro National Bank, Hillsboro. No. 3411. A. I- PLUMMER, President. H. J . NYHUS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. TJ. S. Due from Treasurer TJ. S Total . Liabilities. $107, 498. 90 30.92 12, 500. 00 1,695. 98 18, 937.15 1, 581.74 3,209.53 4, 627.13 29, 296.10 957. 66 4, 340. 00 107.10 6, 755.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 18, 735. 55 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits j United States deposits !. Deposits of U.S.disbursing officers. , Notes and bills rediscounted. Bills payable 562. 50 97,114.16 5, 000.00 Liabilities other than those above stated 192, 099. 71 Total. 192,099. 71 James River National Bank, Jamestown. EDWARD P . WELLS, President. No. 2580. Loans and discounts- .-*..* Overdrafts ., *«.-...*..,.... XL 8. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiumson U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $108, 391. 08 613.90 22, 500. 00 2,808. 75 16, 646. 39 18, 571. 87 3,857. 58 720. 77 ; Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 64, 674.58 Dividends unpaid 674. 02 Individual deposits 5, 240. 00 United States deposits 22.82 Deposits of U.S.disbursing officers. 11, 451. 50 10,000. 00 Notes and bills rediscounted Bills payable 1,012.50 Liabilities other than those above stated Total. 267,185. 76 Total . R. A. SHATTUCK, Cashier. Capital stock paid in $50, ooo. oo 7, 250. 00 2, 811. 75 19, 950. 00 140. 00 187, 034. 01 267,185. 76 First National Bank, Langdon. W. J . MOONEY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S.bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. J. HODGINS, Cashier. No. 4802. $67,456. 92 165.33 12, 500. 00 3,492.49 6, 242. 86 1,379. 62 2.75 7, 301.40 1, 010.25 2, 005. 00 154.83 3,106.40 562.50 105, 380. 35 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 2, 000. 0C 6, 724.85 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted Bills payable 27,405.50 8, 000.00 Liabilities other than those above stated Total. 105,380.35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 805 NORTH DAKOTA. First National Bank, Larimore. \ No. 2854. A. J. BOWNE, President. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $118,333. 05 2, 016. 38 12, 500. 00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid i, 750. 66 National-bank notes outstanding. 1,377.67 | State-bank notes outstanding 5, 677.49 4, 980.00 Due to other national banks 192. 29 Due to State banks and bankers.. 10,431.48 1, 290. 79 300. 00 26.79 5,655. 00 2, 000.00 562*50' 688. 08 11, 250.00 47.47 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers- 91, 565. 53 Notes and bills rediscounted Bills pavable 2,541. 76 11,000. 00 Liabilities other than those above stated 167, 093.44 Total J. B. STREETER, JR., Cashier. Liabilities. Total 167,093.44 First National Bank, Lisbon. N o . 3669. R. S. ADAMS, President. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. $100,977. 78 1, 846. 75 12, 500. 00 2,152. 20 12, 500. 00 7,180.94 6, 999. 64 681. 64 59.58 1,184.50 7, 522. 00 562. 50 300. 00 H. K. ADAMS, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 000. 00 2, 861. 92 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ' United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscounted. Bills payable 67, 855. 01 17, 500.00 Liabilities other than those above stated 154,467. 53 154,467. 53 Total. First National Bank, Mandan. H. R. LTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2585. C. L. TIMMERMAN, Cashier. $^96,727. 01 1 Capital stock paid in. 1 893.51 25, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,140. 62 National-bank notes outstanding. 17, 930. 46 State-bank notes outstanding 7,338. 32 18,103. 45 Due to other national banks 2,147.02 Due to State banks and bankers. 1, 975. 65 24, 991. 60 Dividends unpaid 35.00 Individual deposits 500. 00 United States deposits !. 46.36 DepositsofU.S.disbursingomcers-|. 3,425. 85 5,451. 00 Notes and bills rediscounted. Billspayable 1,125. 00 600. 00 Liabilities other than those above stated 307,430.85 Total. $100, 000. 00 20, 000. 00 1, 339.17 22,500. 00 3, 682.48 159, 909. 20 307,430. 85 806 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH DAKOTA. First National Bank, Mayville. No. 3673. . S. ALBEE, President. J. ROSHOLT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $207,479.88 Capital stock paid in $50, 00U. 00 12,500. 00 Surplusfund Undivided profits, less current expenses and taxes paid 1, 375. 00 National-bank notes outstanding. 16,944. 50 State-bank notes outstanding 15,000.00 Due to other national banks Due to State banks and bankers.. 24, 718. 29 5,017.92 10, 000. 00 14, 083. 37 11,120. 00 21,855.11 Dividends unpaid Individual deposits 485*00* United States deposits 6.91 Depositsof U.S. disbursing officers. 12,108. 20 535.00 Notes and bills rediscounted Bills payable 562.50 2.50 Liabilities other than those above stated 296,735. 70 Total 175, 677. 22 5, 000. 00 9,000.00 296, 735. 70 First National Bank, Minot. H . F . SALYARDS, No. 4009. President. Loans anddiscounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $72,191.69 353.01 12,500.00 7,683. 82 12,124.85 11,300.00 987."4l" 7,111.50 398. 49 87.00 3.36 1,187.35 2,000. 00 363.00 S. L. PAGE, Cashier. Capital stock paid in. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 33.00 1, 817.92 11,250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing oflicers. 49, 290.83 Notes and bills rediscounted Bills payable Liabilities other than those above stated 4, 770.40 5, 000.00 Total 128,291.48 6,129.33 128, 291.48 First National Bank, Park River. DAVID H. BEECHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. , Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie ,.. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3436. $157,967. 35 874.41 12,500. 00 1,250. 00 3,705.05 3,300. 00 600. 00 102. 00 18, 595.43 2,605. 44 530. 00 200. 48 6,437.50 7,050. 00 562. 50 216, 280.16 GEO. E. TOWLE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 5,500.00 9, 426. 57 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers.!. Notes and bills rediscounted Bills payable 130,103.59 10,000.00 Liabilities other than those above stated Total. 216, 280.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 807 NORTH DAKOTA. First National Bank, Pembina. No. 3438. L. E. BOOKER, President. G. W. RYAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits "C. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges.for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Liabilities. Capital stock paid in. 3, 447. 69 15. 785. 50 1, 970. 70 Due to other national banks 1,186.44 Due to State banks and bankers.. 1,992.10 12.075.46 Dividends unpaid 426.59 Individual deposits 160. 00 United States deposits 65.25 DepositsofU.S.disbursingofficers 1, 761. 00 4,860. 00 Notes and bills rediscounted Bills payable **"562."56 Liabilities other than those above stated 199, 569. 21 Total. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000. 00 11,256" 00 329.48 122, 989. 73 5, 000. 00 199, 569. 21 Total . First National Bank, Saint Thomas. E. T. THOMPSON, President Loans and discounts Overdrafts U. S bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 4550. $96, 350.15 657. 85 12, 500. 00 875. 00 4, 679. 64 4,671.90 5, 956. 96 104.97 2,002. 70 762.14 86.00 53.45 2,412.15 5, 380.00 522. 50 137, 015.41 Total. W. MCBRIDE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable $50, 000. 00 4, 500. 00 " i l , 250.66 27.46 280. 00 55, 957. 95 15, 000. 00 Liabilities other than those above stated Total . 137,015,41 First National Bank, Valley City. JOHN RUSSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. GEO. KANOUSE, Cashier. No. 2548. $180,677. 90 Capital stock paid in ; $50, 000. 00 581. 99 12,500. 00 Surplus fund 10, 000. 00 Undivided profits, less current 6, 571. 74 expenses and taxes paid 11,250.00 National-bank notes outstanding.j 439,82 State-bank notes outstanding \ 13, 500. 00 3,250. 00 Due to other national banks 755.10 Due to State banks and bankers. 1, 549.19 47, 691. 34 Dividends unpaid 320. 34 Individual deposits 217,683.21 1,390. 00 United States deposits 118. 47 Deposits of U.S.disbursing officers. 19, 598. 30 12, 870. 00 Notes and bills rediscounted 300.00 Bills payable 562. 50 Liabilities other than those above stated 295, 804. 95 Total. 295, 804. 95 808 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH DAKOTA. Citizens' National Bank, Wahpeton. F . E. KENASTON, President. No. 4552. DON R. DAVIDSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,fiiriiiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash itemr Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer TJ, S Total . $75,116.89 704.16 12, 500. 00 $50,000. 00 Capital stock paid in. .Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 250.00 11, 845. 07 2, 035. 00 965. 00 6, 089. 60 10, 000. 00 2, 456.50 11,250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 24, 213. 86 1, 921. 69 [ Individual deposits 950.00 ! United States deposits 49.47 I Deposits of U.S.disbursing officers. 3, 787. 00 7, 000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated |. Total. 148, 990. 24 75,283.74 148,990.24 National Bank, Wahpeton. DANIEL PATTERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4106. *" 562." 50 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,140. 56 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 4,567. 33 1, 000. 00 649. 60 12, 002. 59 8, 777.10 45, 079. 51 2,143. 38 67.31 885. 25 2, 500.00 W. L. CARTER, Cashier. Capital stock paid in $92, 048. 65 586. 62 12,500.00 18, 632.12 Individual deposits United States deposits Deposi ts of U. S .disbursing officers. , Notes and bills rediseounted Bills payable Liabilities other than those above stated 1 83, 369. 84 Total. 10,000.00 6, 347.16 5, 000.00 183,369.84 REPORT OP THE COMPTROLLER OF THE CURRENCY. 809 OHIO. First National Bank, Akron. J. B. WRIGHT, President. No. 2698. F. H. ADAMS, Cashier,, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse,furniture,and fixtures Other real estate and mortg's owned Due fiom other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $559,110.23 1 Capital stock paid in 1 1,682.23 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 9, 300.00 State-bank notes outstanding 16, 000. 00 Due to other national banks 22,528. 03 Due to State banks and. bankers.. 1,537.12 74,349. 55 Dividends unpaid 569.32 738.12 Individual deposits 1,400. 00 United States deposits 620.37 Deposits of U. S.disbursing officers. 47, 000.00 15,000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated Total $100,000.0O 50, 000.00 25, 697. 57 22,500. 00 4, 204. 55 573,557.85 775, 959. 97 Second National Bank, Akron. GEO. T. PERKINS, President. No. 2716. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S Total . FRED. E. SMITH, Cashier. $923,256.82 II Capital stock paid in. 4,644.97 50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 500.00 State-bank notes outstanding $275, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 528. 02 7, 378. 23 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 708,136.46 1,192. 97 76, 001. 51 ICO. 04 968.23 2, 508.00 57.96 12, 294. 00 28, 335. 00 2, 250. 00 50, 000. 00 11,126, 79 45, 000.00 Notes and bills rediscounted. Bills payable Liabilities other than those above I stated i Total 1,102,169. 50 1,102,169.50 Citizens' National Bank, Akron. E. STEINBACHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures' Otherreal estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. D. P. WHEELER, Cashier. No. 4961. $426, 294.46 I Capital stock paid in I 849.47 I I 37, 500. 00 Surplus fund | Undivided profits, less current expenses and taxes paid. 5,600.00 National-bank notes outstanding. State-bank notes outstanding 8, 000. 00 Due to other national banks 3, 656. 50 Due to State banks and bankers. 166. 56 30, 510.20 Dividends unpaid 1, 335. 60 11, 220. 00 41.84 25, 268.00 13,000.00 1,687. 50 290. 00 505,420.13 Individual deposits United States deposits Deposits of U. S.disbursmgofncers. $150, 000. 00 15,000.00 7, 943.02 33, 750. 00 18.00 358, 709.11 Notes and bills rediscounted. Bills payable Liabilities other than those abov^e 3tated Total . 565,420.13 810 REPORT OF THE COMPTROLLER OP THE CURRENCY. OHIO. City National Bank, Akron. No. 2946. GEO. W. CROUSE, President. N. C. STONE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghonse,furniture,andfixturesi Other real estate and mortg's owned) Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. $450,044.41 Capital stock paid i n . . 501.05 50,000.00 i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 25,700.00 State-bank notes outstanding 15,913. 21 Due to other national banks 12,614.51 i 13,280.79 | Due to State banks and bankers. 12,974.15 I Dividends unpaid $200,000.00 Individual deposits United States deposits Deposits of U.S.disbursmg officers. 311,112. 58 1,765.07 847. 00 61.67 11, 040. 00 12,000. 00 2,250.00 5, 852. 41 45, 000.00 4, 769. 32 2,257.55 Notes and bills rediscounted. Bills payable Liabilities other than those above stated !, 991. 86 Total. 40, 000. 00 608, 991.86 Total . First National Bank, Alliance. RICHARD W. TEETERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaloanks Fractional currency, nickels,cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDuefrom Treasurer U. S No. 3721. $114,618.63 772.55 25, 000. 00 \ Surplus fund Undivided x)10fits, less current 7, 000. 00 expenses and taxes paid 885. 00 National-bank notes outstanding. 44, 675.03 State-bank notes outstanding 3, 212. 98 5, 307. 04 Due to other national banks 585. 63 Due to State banks and bankers.. 2, 919. 07 Dividends unpaid 2,161.05 Individual deposits 3, 004. 00 United States deposits 154. 48 Depositsof U.S.disbursingomcers 25, 809. 50 5, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated , Total. 242, 229.96 Total. W. M. REED, Cashier. Capital stock paid in $100,000.00 10, 000. 00 3, 587. 67 22, 500. 00 106,142. 29 242, 229. 96 First National Bank, Arcanum. DANIEL FRANCIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks J Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house 'Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 4839. $89, 938.49 402. 48 12, 500. 00 1,250.00 1,589.75 i, 606. 76 6, 493. 86 591. 51 3,000. 00 54.01 3, 660. 00 5, 700. 00 C. F . PARKS, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 1, 440. 00 1, 920. 63 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 64, 738. 73 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated , 129, 349. 36 Total. 129,349.36 REPORT OF THE COMPTROLLER OF THE CURRENCY. 8H OHIO. First National Bank, Ashland. No. 183. J. O. JENNINGS, President. Jos. PATTERSON, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $188, 260. 91 Capital stock paid in I 1, 058. 56 30, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid National bank notes outstanding. 22, 750. 00 State-bank notes outstanding 25, 000. 00 Due to other national banks i 710. 66 Due to State banks and bankers. •'. 67, 540. 53 Dividends unpaid. 2, 393. 50 Individual deposits 5,510.00 United States deposits 261. 24 Deposits of U.S.disbursing officers .| 12,831.20 20,159. 00 Notes and bills rediscounted. Bills payable $50, 000. 00 20, 000. 00 6,08354 27. 000. 00 3, 959. 35 278, 080.18 647. 47 Liabilities other than those above stated 385,123. 07 Total. 385, 123.07 Farmers' National Bank, Ashtabula. No. 975. F . CARLISLE, President. Loans and discounts Overdrafts ! U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, i Checks and other cash items j Exchanges for clearing house \ Bills of other national banks Fractional currency, nickels, cents, i Specie I Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U.S.; Due from Treasurer U. S I 632,015. 71 Total. C. C. BOOTH, Cashier. $395, 747.15 Capital stock paid in. 410. 35 50, 000. 00^ Surplus fund \ Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 23,300. 00 State-bank notes outstanding 4,500.00 9, 801. 95 Due to othei national banks 10, 794. 58 Duo to State banks and bankers.. 9, 234. 29 94. 316. 07 Dividends unpaid 2, 223. 67 Individual deposits 9, 489. 00 United States deposits 170. 47 DepositsofU.S.disbursing officers. 12, 000. 00 8, 000. 00 Notes and bills rediscounted Bills payable 2, 028.18 Liabilities other than those above stated Total $150, 000. 00 30, 000. 00 85,712.48 45, 000. 00 56,100. 82 265, 202. 41 632, 015. 71 Marine National Bank, Ashtabula. GEO. B. EASER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U\ S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4506. E. W. SAVAGE, Cashier. $189, 888. 89 Capital stock paid in. 386. 80 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 18,366. 00 State-bank notes outstanding 6, 500. 00 Due to other national banks 8, 388. 59 Due to State banks and bankers. 45,153. 76 Dividends unpaid 241. 64 Individual deposits 2, 200. 00 I United States deposits 253. 22 DepositsofU.S.disbursing officers. 17, 785.00 1, 800. 00 Notes and bills rediscounted. Bills payable 562.50 ' Liabilities other than those above I stated 304, 026.40 Total $50, 000. 00 10, 000. 00 2, 886.73 11,250.00 229,889. 67 304, 026.40 812 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO . First National Bank, Athens. HENRY O'BLENESS, President. No. 233. D. H. MOORE, Cashier. Resources. Loans and discounts j Overdrafts U. S. bonds to secure circulation X . S. bonds to secure deposits T U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $150, 819. 28 1, 056. 63 12, 500. 00 Capital stock paid in. $50, 000.00 Surplus fund i Undivided profits, less current 23,000.00 I expenses and taxes paid 3, 690. 00 j National-bank notes outstanding. 13, 095. 00 I State-bank notes outstanding 15,800. 00 Due to other national banks I 11, 381. 42 Due to State banks and bankers.. 3,177. 22 24, 567. 77 Dividends unpaid ; 1,144. 39 Individual deposits j 1,788.00 United States deposits j 175. 95 Deposits olU.S.disbursing officers J 9, 648. 30 8,900. 00 Notes and bills rediscounted j Bills payable 10, 000.00 1, 652. 22 11, 250. 00 993. 30 2, 605.25 204, 805. 74 562. 50 Liabilities other than those above stated Total. 281, 306. 51 281, 306. 51 First National Bank, Barnesville. No. 911. J. M. LEWIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ? U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $469,433. 98 925.30 100, 000. 00 123, 502. 06 10, 000. 00 Gr. E. BRADFIELD, Cashier. Capital stock paid in. 100, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 50, 000.00 5,024.62 88,400. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 8, 619. 34 8, 532. 03 Individual deposits United States deposits Deposits ofU. S.disbursing officers 6, 774. 66 4, 819.76 16, 572. 95 922.36 540, 011. 20 780.00 215. 00 34, 500. 00 28,100. 00 Notes and bills rediscounted Bills payable 4,136.12 Liabilities other than those above i stated ' 800,682.19 Total. 95.00 800, 682.19 People's National Bank, Barnesville. J. S. ELY, President. No. 2908. $259, 698. 72 Loans and discounts... 1,366.01 Overdrafts TT. S. bonds to secure circulation... ioo,o:o.oo U. S. bonds to secure deposits j U. S. bonds on hand ! 12, 000.00 Premiums on U. S. bonds 51, 820. 50 Stocks, securities, etc 10, 000.00 Bank'ghouse,furniture,and fixtures Other real estate and mortg's ownedl 3,176. 75 Due from other national banks 2, 983.46 Due from State banks and bankers. 15, 975.49 Due from approved reserve agents. 687.13 Checks and other cash items Exchanges for clearing house 1,000.00 Bills of other national banks 60.17 Fractional currency, nickels, cents. 12,755.00 Specie 10,108.00 Legal-tender notes U. S. certificates of deposit 4, 500. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 486,131.23 I O. P. NORRIS, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4 029.16 422.18 Individual deposits United States deposits |. Deposits of U.S.disbursingofficers. |. Notes and bills rediscounted. Bills payable 4, 479.11 90, 000. 00 33.00 247,167. 78 20. 000.00 Liabilities other than those above stated Total . 486,131.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 813 OHIO. First National Bank, Batavia. No. 715. M. JAMIESON, President. J. F. DIAL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendernotes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $149,556.61 7.46 80, 000. 00 $80, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current 5,100.00 expenses and taxes paid 811.75 National-bank notes outstanding. 6, 769.13 State bank notes outstanding 5, 000. 00 3, 000. 00 Due to other national banks 6,492. 83 Due to State banks and bankers. 25, 873. 66 Dividends unpaid I 518.00 Individual deposits | 266-66 United States deposits Deposits of U.S.disbursing officers. . 57.17 9,073. 00 6, 000. 00 3, 600. 00 18,000.00 1,548.29* 72, 000.00 276.00 130, 235. 32 Notes and bills rediscounted... Bills payable Liabilities other than those above stated 302, 059. 61 Total. 302, 059. 61 First National Bank, Bellaire. H. ROEMER, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1944. $383,470.12 597.11 50, 000.00 6,467.04 54,086. 00 25, 625.17 5, 339. 53 2,371.60 2, 412. 77 81, 299. 20 5, 730. 70 8,105. 00 397.47 13,810. 57 15, 000.00 2, 250. 00 A. P. TALLMAN, Cashier. Capital stock paid in. $200, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,401. 74 10, 471. 70 Individual deposits United States deposits Deposits of U.S.disbursing officers. 354, 819.49 4, 269. 35 45, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 656, 962. 28 656,962. 28 Bellefontaine National Bank, Bellefontaine. WILLIAM LAWRENCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1784. $157, 008. 38 5, 030.95 50,000. 00 27, 500. 00 20, 526. 00 2,693. 08 3, 651.28 3,048.07 9, 300. 00 70.37 6,400.00 10, 000. 00 2, 250. 00 297,478.13 JAS. LEISTER, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 21, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11, 727. 51 981. 54 Individual deposits United States deposits Deposits of U. S .dis bursing officers. 112, 746. 66 6,727.42 44, 295. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 297,478.13 814 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. People's National Bank, Bellefontaine. No. 2480. ROBERT LAMB, President. R. B. KELLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation..U.-S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash itemr Exchanges for clearing house.. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $221,164.81 6, 663.48 25, 000.00 30, 000. 00 44,500.00 3, 258.35 3, 257.20 438.03 8, 675. 97 5,137. 97 9, 743. 00 143.11 36,481. 60 15, 000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 25, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 420. 96 10, 274. 03 Individual deposits United States deposits ! Depositsof U.S.disbursingoificersJ 12,828.07 22, 500. 00 235,565.46 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 410, 588. 52 Total . 410, 588.52 First National Bank, Bellevue. N o . 2302. Gr. E. POMEROY, President. Loans and discounts. . Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $147,307.45 1,122.95 12,500. 00 J. W. CLOSE, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 7, 054. 57 State-bank notes outstanding 1, 720. 59 Due to other national banks 1, 017. 59 Due to State banks and bankers. 19, 043. 82 Dividends unpaid 335.44 523. 20 Individual deposits 650. 00 United States deposits 50.46 Depositsof U.S.disbursingoffi cers. 2, 658. 00 5, 000. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 10, 000.00 199,546.57 ! Total. 7, 508. 89 11, 250. 00 1, 615. 24 119,172.44 199,546.57 First National Bank, Belmont. . B. NICHOLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums ou U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 4864. $125, 525. 50 534.12 50, 000. 00 WILLIAM KINNEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6,500.00 I State-bank notes outstanding 6,167.80 | Due to other national banks 726. 25 Due to State banks and bankers. 471. 91 2,891.55 i Dividends unpaid 238.32 ! Individual deposits United States deposits 248.80 Depositsof U.S.disbursing officers. 2, 965. 00 19, 529. 00 2, 250. 00 ""$50,000.00 2,500.00 1,602.85 45,000.00 125,245.40 Notes and bills rediscounted Bills payable Liabilities other than those above stated 224, 348. 25 Total. 224, 348. 25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 815 OHIO. H. H. CLOUGH, President. £irst National Bank, Bowling Green. No. 4045. Resources. D. B. BEERS, Cashier. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. V. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, andfi xtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $233, 330. 50 1, 215. 06 12, 500. 00 1, 250.00 2, 746. 61 12, 111. 32 j $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 ! Due to other national banks "*3,'340."06' | Due to State banks and bankers.2, 003. 88 21, 933.16 Dividends unpaid 1, 847. 92 Individual deposits 3, 092. 00 United States deposits 62.21 Deposits of TJ.S.disbursing officers. 9, 387. 35 15, 000. 00 Notes and bills rediscounted. Bills payable 562.50 I Liabilities other than those above I stated 320,382.57 | Total. Capital stock paid in 3,170. 61 11,250.00 30.00 252, 931. 96 320, 382. 57 Total. First National Bank, Bridgeport. WM. ALEXANDER, President. No. 214. H. M. CLARK, Cashier. $369, 455.19 Capital stock paid i n . Loans and discounts $200, 000.00 6, 267. 50 Overdrafts 100, 000. 00 Surplus fund TJ. S. bonds to secure circulation... 40,000. 00 Undivided profits, less current U. S. bonds to secure deposits U. S. bonds on hand expenses and taxes paid 3, 270. 94 5, 650. 00 National-bank notes outstanding. 85, 350. 00 Premiums on TJ. S. bonds 38, 900. 00 State-bank notes outstanding Stocks, securities, etc 13. 000. 00 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned 3, 000. 00 Due to other national banks 18, 687.46 Due from other national banks 5, 801. 03 Due to State banks and bankers. 8, 482. 62 Due from State banks and bankers. 6.101. 53 Due from approved reserve agents. 37, 600. 85 Dividends unpaid Checks and other cash items 1,751.71 Individual deposits Exchanges for clearing house 248, 603.42 1, 700. 00 United States deposits Bills of other nationalbanks 310. 63 DepositsofU.S.disbursingoffieers. Fractional currency, nickels, cents. 6, 806. 00 Specie 3, 550. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 4,500.00 Liabilities other than those above Due from Treasurer TJ. S stated Total. PHILIP NIEDERAUR, President. 604, 394.44 First National Bank, Bryan. No. 237. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.i Due from Treasurer U. S Total. $178, 874. 69 1,500. 00 60,000. 00 8, 000. 00 7, 000. 00 18, 668. 29 521. 73 42, 760.16 3,000.00 30.71 11,900.00 2, 000. 00 604,394.44 Total. W I L L W. MORRISON, Cashier. Capital stock paid in. $60,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 21, 000.00 Due to other national banks Due to State banks and bankers.. 712.39 12,533. 65 1, 797. 37 54,000. 00 Dividends unpaid Indi vidual deposits United States deposits DepositsofU.S.di8bursingofficers. 186,912.17 Notes and bills rediscounted. Bills payable 2, 700.00 Liabilities other than those above stated 336,955.58 ! ! Total. 336,955.58 816 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO . Farmers' National Bank, Bryan. CHARLES A. BOWERSOX, No. 2474. President. EMERY LATTANNER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $156,132.51 1,111.87 12, 500. 00 1,500. 00 46, 698. 00 4, 950. 00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 19, 000. 00 792. 26 11,250.00 Due to other national banks | 8,429. 51 Due to State banks and bankers..! 60.62 29,001.35 Dividends unpaid !. 236.16 I Individual deposits 1, 260. 00 I United States deposits 31. G | Deposits ofU. S.disbursing officers. O 7, 306. 95 3, 000. 00 Notes and bills recliscounted. Bills payable 562. 50 200.00 Liabilities other than those above stated Total 272,981.07 I 6,312.17 185, 626. 64 272, 981.07 First National Bank, Bucyrus. J. B. GORMLY, President. No. 443. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g ho use, furniture, and fixtures Otherreal estate andraortg'sowned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie 1 Legal-tender notes IT. S. certificates of deposit j Redemption fund with Treas. U. S. j Due from Treasurer U. S Total . J. C. GTORMLY, Cashier. $183,756.37 j Capital stock paid in 25, 000. 00 10, 000. 00 1, 200. 00 11,400. 00 24, 000. 00 i $100, 000.00 Surplus fund i Undivided profits, less current ! expenses and taxes paid 1 National-bank notes outstanding. State bank-notes outstanding 20, 000.00 Due to other national banks 10, 213. 07 Due to State banks and bankers.. 4, 057. 98 32,295.79 I Dividends unpaid 1,174.62 ' Individual deposits 364. 00 United States deposits 100. 00 Deposits of U.S.disbursingoflicers 16, 251. 00 21, 050. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 341,988.43 Total. 710. 00 22, 500. 00 5,009.11 1,147. 52 192, 621. 80 341, 988. 43 Second National Bank, Bucyrus. H . J . MONNETT, President Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. C. F. HULL, Cashier. No. 3274. $139, 113. 37 Capital stock paid in. $60, 000.00 1, 790. 39 15, 000.00 Surplusfund 15,000.00 Undivided profits, less current 892.28 expenses and taxes paid 600. 00 13, 500. 00 National-bank notes outstanding. State-bank notes outstanding i,*666'66" 489. 02 012. 87 692. 88 130. 114. 200. 000. 00 90 00 00 675.00 217,818.43 Due to other national banks i Due to State banks and bankers ..'. Dividends unpaid 4, 890. 37 Individual deposits United States deposits Depositsof U.S.disbursingoflicers. 123,535. 78 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 217, 818.43 , REPORT OF THE COMPTROLLER OF THE CURRENCY. 817 OHIO. First National Bank, Cadiz. No. 100. D. B. W E L C H , President. I. C. MOORE, Cashier, Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds ou hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house,furniture, andfixtures Other real estate and mor tg's owned Dire from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S., Due from Treasure" U. S Total. $359, 786.65 858. 27 30, 000. 00 Capital stock paid in. $120,000. 00 51, 394. 09 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding- 13, 746.89 107. 59 2, 288. 80 Due to State banks and bankers.. ""2,"282.'09"!i Due to other national banks 24, 000. 00 3, 306. 84 26,997. 50 5, 279. 40 1, 960. 72 Dividends unpaid Individual deposits United States deposits Deposits ofbills rediscounted Notes and U .S.disbursingofficers. Bills payable ""1*356.'66" Liabilities other than those above stated 325, 705.36 310. 49 41,913.95 3, 211. 00 Total. 507,249.82 I 507,249.82 Fourth National Bank, Cadiz. SAMUEL THOMPSON, President. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate andmortg's owned D u e from other national banks Due from State b a n k s and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S No. 4853. $259, 574.10 203. 76 40, 000. 00 $120, 000. 00 Surplus fund. Undivided profits, less current expenses and taxes paid 4,100. 00 | National-banknotes outstanding. 14, 310. 54 j State-bank notes outstanding 3, 000. 00 Due to other national banks 283.83 1 Due to State banks and b a n k e r s . . 1 15, 610. 58 1, 309. 75 j j Dividends unpaid 265! '66 19. 08 5. 632. 70 17, 100. 00 1, 800.00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable 7, 200. 00 4,494.93 36, 000. 00 3, 467.49 239. 71 191, 807. 21 Liabilities other than those above stated Total. 363, 209.34 Total. J . M. SCHREIBER, Cashier. Capital stock paid i n . 363, 209. 34 Farmers and Mechanics' National Bank, Cadiz. M. J . BROWN, President. N o . 2444. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. CUR, http://fraser.stlouisfed.org/ P T 2 Federal Reserve Bank of St. Louis $209,762.54 1, 312. 98 50, 000. 00 9,175.92 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks 563.93 Due to State banks and bankers.. 3, 529.26 8,450. 21 Dividends unpaid 2,148. 77 Individual deposits 537. 00 United States deposits 188. 65 Deposits of U.S.disbursin gofficers. 22, 869. 00 22, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated , 352,788.26 52 C. O. F . BROWN, Cashier. Capital stock paid in. Total. $50, 000. 00 29, 000. 00 704.12 45, 000. 00 5, 605.85 3, 068.33 219,409. 96 352, 788.26 818 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Harrison National Bank, Cadiz. No. 1447. D. CUNNINGHAM, President. J. M. SHARON, Cashier. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S Total. Liabilities. $845,365.37 j Capital stock paid in. 353.78 100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 65,260.11 State-bank notes outstanding $100,000.00 13, 450. 00 Due to other national banks 14, 594. 88 Due to Stat* banks and bankers.. 3, 294.16 6,199. 91 Dividends unpaid 2, 502. 07 Individual deposits United States deposits 97.52 Deposits of U.S.disbursing officers. 112, 640. 00 18,425.00 Notes and bills rediscounted. Bills pay able 4,500. 00 Liabilities other than those above stated 1,072.43 3,185.56 Total 1,186,482. 80 110, 000.00 5,192. 50 89,995.00 877, 037.31 1,186,482.80 Noble County National Bank, Caldwell. W . H . FRAZIER, President. No. 2102. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds on hand J Premiums on U. S. bonds Stocks, securities, etc Bfmk'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S $156,162.73 312. 24 60, 000. 00 625.00 4, 000. 00 2, 000. 00 20, 591. 25 5, 503. 31 49,097. 67 125. 00 1, 770. 00 17.36 22, 692.50 4, 095. 00 1, 000. 00 $60,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid 25, 600.00 14, 948. 33 54, 000. 00 7,416.10 885.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 165,142. 63 Notes and bills rediscounted Bills payable Liabilities other than those above stated 327,992. 06 Total G. W. TAYLOR, Cashier. Capital stock paid in Total 327, 992.06 Central National Bank, Cambridge. A. J. HUTCHISON, President. Loans and discounts Overdrafts ,., U. S. bonds to secure circulation... U. S. bonds to secure deposits , U. S. bonds on hand .-....,, ^Premiums on U. S. bonds .-.,,. Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned] Due from other national banks Due from State banks and bankers.! Due from approved reserve agents. (Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 2872. $139.033. 66 2, 628. 65 35, 000. 00 65,000. 00 22,000.00 2,686. 00 3, 845. 78 12, 865.09 5,980.16 1, 403.98 18, 822. 03 3, 015. 60 6, 000. 00 119.99 13, 800.00 15,000.00 1, 575. 00 348, 775. 94 "W. S. MCCARTNEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100, 000.00 14,000.00 1, 970.85 31,500.00 351.63 Dividends unpaid Individual deposits.. United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated , U. S. bond account Total. 158,953.46 42, 000.00 348T775T94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 819 OHIO. Guernsey National Bank, Cambridge. No. 1942. J . D. TAYLOR, President. A. A. TAYLOR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S.bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate an d mortg s owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks aud other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $69, 845. 26 2,160. 79 25, 000. 00 Capital stock paid in. 18,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 252.63 162.42 536.47 22, 500. 00 15, 000. 00 "7*2*7*23" 9,209. 37 467. 93 Individual deposits , United States deposits j Deposits of U. S.disbursing officers. 2,440. 00 456. 96 1,170.00 10,345. 00 16.00 53, 000.02 Notes and billsrediscounted. Bills payable 1,125.00 ! J . i I Liabilities other than those above stated 144,467.54 , Total. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 144, 467. 54 Old National Bank, Cambridge. No. 2861. S. J . MCMAHON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $208,466. 56 1,226.87 25, 000. 00 15,851.00 5, 320. 00 5,423. 04 49, 928. 46 1,157. 80 15, 767. 00 50.23 27, 544. 00 10, 000. 00 1,125. 00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. Due to other national banks j Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 20, 000. 00 9,218.12 22, 500. 00 1,315.88 96.37 213, 729.59 Notes and bills rediscounted-.. Bills payable Liabilities other than those above stated 366,859. 96 Total. A. R. MURRAY, Cashier. Capital stock paid in. Total . 366,859. 96 First National Bank, Canal Dover. J. F. TOWNSEND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4331. $169,630.61 J,357.56 12, 500.00 2,170.00 8, 674.23 15, 544. 56 1,612.00 3, 800.00 302. 05 4, 000. 00 4,840. 00 562. 50 THKO. WENTZ, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. $50,000.00 5, 000.00 4, 346. 74 11, 250. 00 14, 080.49 5, 388. 88 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers Notes and bills rediscountedBills payable 128,927.40 6, 000. 00 Liabilities other than those above stated 224,993. 51 Total. 224,993.51 820 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Exchange National Bank, Canal Dover. JEREMIAH E. REEVES, President. No. 4293. JESSE D. BAKER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $197,156.36 ; 1,100.00 12,500. 00 1,181. 25 3, 000. 00 2,841. 55 1,173.01 2,409. 75 25, 707. 61 3, 505. 00 ""I, 320. 00 Capital stock paid in $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding J State-ban k notes outstanding j 2, 681. 46 11, 250. 00 Due to other national banks Due to State banks and bankers.. 1, 460. 95 5, 471. 04 i 10, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofncers. 184, 099.45 35.87 10, 470. 00 2, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total . 264, 962. 90 264, 962.90 Farmers' National Bank, Canfield. ALEXANDER DICKSON, President. Loans and discounts. Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg' s owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3654. H. A. MANCHESTER, Cashier. $113, 203. 92 1 Capital stock paid i n . . 1 12, 500.00 5,950. 00 3, 438. 94 69.97 12, 667.49 16.50 $50, 000.00 Surplus fund ! Undivided profits, less current | expenses and taxes paid j National-bank notes outstanding-1 State-bank notes outstanding.. ' Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 468. 57 11,250.00 303. 76 Individual deposits United States deposits 29.14 Deposits of U. S.disbursing officers 16,458. 00 5, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 95, 474.13 1, 600. 00 Total . 171,496.46 10, 000. 00 171,496.46 First National Bank, Canton. JOHNSON SHERRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. b. bonds on hand Premiums on tJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks. . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 76. $323, 499. 68 294.22 70, 000. 00 5, 000. 00 13, 793.14 45, 650.00 692. 81 3,129. 95 486. 58 65,514. 86 2, 058.19 3, 941. 00 871.93 13, 774. 50 20, 700. 00 i, 250.66 570, 656.86 L. L. MILLER, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding 40, 000. 00 17, 458. 43 63, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19, 388.78 Individual deposits United States deposits Deposits ofU.S.disbursingofficers. 210, 209. 65 600.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated | Total i 20,000. 00 570, 656.~86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 821 OHIO. City National Bank, Canton. No. 2489. W. "W. CLARK, President H. S. KAUFMAN, Cashier. Resources. Loans and discounts Overdrafts U, S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $423,735.09 j Capital stock paid in 1,069.90 50,000.00 1 Surplus fund $200, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6,206. 66 State-bank notes outstanding 5,146.33 95, 673. 40 1, 216.19 770. 53 31,186.14 2,029.80 Due to other national banks Due to State banks and bankers.. Dividends unpaid Total 10, 613. 53 45, 000.00 14, 727. 61 2, 960.07 168. 00 Individual deposits 3,268.00 United States deposits 955.46 Deposits of U.S.disbursingofficers. 9,898.70 12,000. 00 Notes and bills rediscounted Bills payable 2, 250. 00 40, 000. 00 Liabilities other than those above stated Total 305, 852. 76 26, 084. 23 645,406. 20 645, 406. 20 First National Bank, Cardington. F . P. HILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S E. J. YAUGHAN, Cashier. No. 127. $60, 000. 00 Capital stock paid in. 20, 000. 00 Surplus fund fund. Undivided profits, less current 2, 064. 03 expenses and taxes paid 26, 995.00 1, 792. 50 National-bank notes outstanding. State-bank notes outstanding 11, 819. 59 $124,959. 67 2, 451. 40 30, 000. 00 9, 472. 93 6, 627. 25 1, 088. 21 yo. DO 1, 660. 67 1, 093. 80 Due to other national banks Due to State banks and bankers.. Dividends unpaid. Individual deposits 749. 00 United States deposits 82. 05 Deposits of U.S. disbursing officers. 8, 502. 25 3, 500. 00 Notes and bills rediscounted. Bills payable 490. 00 204, 386.00 Total. Liabilities other than those above stated Total . 109.22 3,404. 50 91,813.25 204, 386. 00 Centreville National Bank of Thurman, Centreville. L. M. BEMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmor tg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2181. $46, 089. 50 Capital stock paid in 16.93 50, 000. 00 Surplus fund 29, 061.25 M. E. BEMAN, Cashier. Undivided profits, less current expenses and taxes paid v National-bank notes outstanding. State-bank notes outstanding.. $50,000.00 4,100.00 5,163. 59 45, 000. 00 Due to other national banks Due to State banks and bankers.. 14, 531. 85 Dividends unpaid 391.95 714. 63 Individual deposits United States deposits Deposits of U.S.disbursiDgofficers. 45,842.86 3, 862. 74 2,191.92 400.00 6.34 2, 000. 00 2, 250. 00 802.50 151, 213. 03 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 151,213.03 822 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Chardon. No. 4671. A. D. DOWNING, President. S. S. SMITH, Cashier Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and?bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Billa of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. Liabilities. $126, 778. 77 232.50 12,500.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,250.00 National-bank notes outstanding 7, 000. 00 State-bank notes outstanding 9, 000. 00 Due to other national banks 3,724. 66 Due to State banks and bankers.. 25,576. 07 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflficers. Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 207, 799.15 Total. 1, 675. 00 144.65 11,305.00 8,000.00 3,500. 00 3,553. 28 11,250.00 2,546.10 3, 048. 73 133,901.04 207, 799.15 First National Bank, Chillicothe. No. 128. ALEX. RENICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of oth3r national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $490,891.46 2, 678.43 150,000.00 57,650. 00 3,953. 07 182,035.43 9,000.00 1,500.00 10,371.82 5,113. 55 61,210.69 4, 559. 07 10,075.00 358. 54 24,510. 05 17, 020. 00 6, 750.00 $150,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19,414.52 26, 908.26 Individual deposits United States deposits Depositsof U.S.disbursingofncers. Notes and bills rediscounted. Bills payable 540, 663.78 150,000.00 15, 690.55 135, 000. 00 Liabilities other than those above stated Total 1, 037, 677.11 Total. EDW.R.MCKEE, Cashier. Capital stock paidin Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding l, 037, 677.11 Central National Bank, Chillicothe. THOMAS Gr. MCKELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2993. $311,144. 86 964.96 100,000.00 17,600.00 5,125.73 146,462.54 5, 500.00 1,435.00 7,267. 35 6, 834.75 60, 047.08 2, 710. 35 760.00 35.72 44,563.10 24,213.00 4, 500. 00 739,164.44 THEO. SPETNAGEL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100,000.00 50, 000.00 38, 262. 69 90, 000.00 6,291.64 15, 519.68 Dividends unpaid Individual deposits United States deposits Depositsof bills rediscounted. Notes and U.S.disbursingoflicers. Bills payable Liabilities other than those above stated Total . 439,090.43 739,164.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 823 OHIO . Boss County National Bank, Chillicothe, WM. POLAND, President. No. 1172. JNO. TOMLINSO^ Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc | Bank'ghouse,furniture,and fixtures' Other real estateand mortg's owned i Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes XJ. S. certificates of deposit Redemption fund •with Treas. U.S. Due from Treasurer U. S Total. Liabilities. $439, 413. 97 4, 295.19 150,000.00 Capital stock paid in., j $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks 35, 648.17 Due to State banks and bankers .. 3,164.11 69. 565. 07 Dividends u n p a i d . . . . . . . . . . 7, 419. 82 Individual deposits 1,804. 00 United States deposits 522. 67 Deposits of U.S.disbursingomcers. 30,277.15 17, 000.00 Notes and bills rediscounted-. Bills payable .* .. 6, 750. 00 Liabilities other than those above stated 3, 806. 80 3, 740. 68 25,750. 00 55, 349. 50 846, 959. 65 Total . 20,417.55 135, 000. 00 688. 00 433, 306. 62 846, 959. 65 First National Bank, Cincinnati. No. 24. L. B. HARRISON, President, $3, 888, 834. 24 Loans and discounts 6,233.11 Overdrafts 545, 000. 00 U. S. bonds to secure circulation.,. 250, 000. 00 XJ. S. bonds to secure deposits 55, 000. 00 U. S. bonds on hand 50, 000.00 Premiums on U. S. bonds 488,988. 75 Stocks, securities, etc 120, 000. 00 Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned 264,191. 40 Due from other national banks 65,166. 76 Due from State banks and bankers. 730, 502. 76 Due from approved reserve agents. 30,680. 34 Checks and other cash items 15,071. 69 Exchanges for clearing house 9, 920. 00 Bills of other national banks 410.77 Fractional currency, nickels, cents. 225, 419. 50 Specie 210, 000. 00 Legal-tender notes 70, 000.00 U. S. certificates of deposit 24, 525.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total . "W S. ROWE, Cashier. Capital stock paid in I $1, 200, 000. 00 Surplus fund *. 240, 000. 00 Undivided profits, less current expenses and taxes paid 329, 939.15 National-bank notes outstanding, 490,500. 00 State-bank notes outstanding. Due to other national banks ...... 1, 456, 507. 95 521.676.81 Due to State banks and bankers.. 327.00 Dividends unt>aid * 2, 331, 755.43 Individual deposits* Certified checks . >. 2, 241. 37 United States deposits 212, 393. 61 DepositsofU.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated U. S. bond account 264, 600. 00 Total 7,049,941.32 7,049,941.32 Second National Bank, Cincinnati. CHARLES DAVIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghou86,furniture,andfixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2664. $1, 374,439. 67 911.45 50,000. 00 1, 200. 00 6, 120. 00 129,420. 64 30, 000. 00 44, 032. 94 31,941.09 88, 815.40 445.52 26, 201. 47 17, 352. 00 152.88 188, 795. 00 165, 000. 00 ¥ M . ALBERT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000. 00 Due to other national banks Due to State banks and bankers.. 245, 930. 93 32,718.00 200,000.00 13,183.10 45, 000. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingomcers. Notes and bills rediscounted. Bills payable 1,402,318.73 17,927.30 2,250.00 I Liabilities other than those above stated 2,157, 078. 06 : Total. 2,157, 078. 00 824 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Third National Bank, Cincinnati. No. 2730. J. D. HEARNE, President. "WM. A. LEMMON, Cashier. Resources. Liabilities. $2,556. 225.64 Loans and discounts... * 815.48 i Overdrafts 1, 000, 000. 00 U. S. bonds to secure circulation... 100, 000. 00 U. S. bonds to secure deposits,. U. S.bonds on band. < 14, 900. 00 Premiums on T7. S. bonds... < 188, 642.00 Stocks, securities, etc .. 434, 508. 23 Bank'ghouse, furniture, and fixtures 60, 000. 00 810.00 Other real estate and mortg's owned 179] 045. 72 Due from other national banks 24, 931.77 Due from State banks and bankers. 271, 313.78 Due from approved reserve agents. 13, 654.79 Checks and other cash items Exchanges for clearing house 47, 620.42 59, 299. 00 Bills of other national banks 100. 89 Fractional currency, nickels, cents. 119, 942. 50 Specie 125, 000. 00 Legal-tender notes 100, 000. 00 U. 3. certificates of deposit 45, 000. 00 Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total . Capital stock paid in | $1,200, 000. 00 Surplus fund 320, 000.00 Undivided profits, less current expenses and taxes paid 196,918.06 National-bank notes outstanding. 900, 000.00 State-bank notes outstanding Due to other national banks Duo to State banks and bankers.. 637, 252.60 215, 383.61 Dividends unpaid Individual deposits Certified checks United States deposits DepositsofU.S.disbursingofiicers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 5, 345, 810.22 Total 1,780,101.22 12, 585. 78 83, 568. 95 5, 345, 810. 22 Fourth National Bank, Cincinnati. No. 93. M. M. WHITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,audfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 5, 323,109. 57 1, 372. 06 267, 000.00 250, 000.00 11, 850. 00 54, 384. 30 135, 000.00 5, 650.00 85,400.80 41,062.93 209, 873.29 47,012.72 16,454.87 21, 000.00 75.00 22, 270.00 40, 000.00 240, 000.00 12, 015. 00 3, 783, 530.54 H. P. COOKE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and takes paid National-bank notes outstanding. State-bank notes outstanding $500, 000. 00 500, 000. 00 36, 976.45 240, 300. 00 687,719.09 Due to other national banks 649, 720. 02 Due to State banks and bankers.. 1,288.00 Dividends unpaid 919, 013. 22 Individual deposits 6,513.76 Certified checks 225, 000.00 United States deposits Deposits of U.S.disbursiiigofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 17, 000. 00 U. S. bond account Total I 3,783,530.54 Fifth National Bank, Cincinnati. R. M. NIXON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 2798. , 066,824. 47 168.06 400, 000. 00 408, 250.00 177, 720.04 60,623.50 11, 091. 26 3, 545.00 47,771. 75 36, 426.19 147, 532. 09 42. 79 2, 216. 44 5, 000. 00 147. 40 32,190.00 51,710.00 18, 000. 00 2, 469, 258. 99 C. A. HINSCH, Cashier. Capital s t o c k paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits , Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated U. S. bond account Total . $500, 000.00 25,000.00 30, 382.44 360, 000. 00 233,308.81 238, 314.10 496,121.14 570. 00 289, 000. 00 296, 562. 50 ^769, 258?99 REPORT OF THE COMPTROLLER OF THE CURRENCY. 825 OHIO. Atlas National Bank, Cincinnati. GEO. GUCKENBERGER, President. No. 3639. WM. GUCKENBERGER, Cashier. Resources. Liabilities. $1,005,183.29 ; Capital stock paid in Loans and discounts j $400, 000.00 12.46 | Overdrafts I 125, 000. 00 50,000.00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current I U. S. bonds to secure deposits I expenses and taxes paid ! 17,042.14 U. S. bonds on hand | 18, 300. 00 National-bank notes outstanding.! 36,100.00 Premiums on U. S. bonds j State-bank notes outstanding ! Stocks, securities, etc [ Bank'g house furniture,and fixtures! Due to other national banks 170,224.04 Other real estate and mortg's owned 165,847.18 j Due to State banks and bankers.. Due from other national banks 62, 066.80 15, 656.11 Duefrom State banks and bankers. 168, 970. 52 Dividends unpaid Due from approved reserve agents. 2, 720. 20 Checks and other cash items 1,103, 988.17 3, 891. 56 Individual deposits Exchanges for clearing house Certified checks j 1,163.77 2, 599. 00 Bills of other national banks United States deposits ! 258. 31 Fractional currency, nickels, cents. Deposits of U.S.disbursingofficers. j 85, 757. 00 Specie 33, 000. 00 Legal-tender notes Notes and bills rediscounted ! U. S. certificates of deposit Bills payable I 2, 250.00 Redemption fund with Treas.TJ. S. Liabilities other than those above Due from Treasurer TJ. S stated Total . Total 1,915, 584. 92 1,915,584.92 Citizens' National Bank, Cincinnati. B. S. CUNNINGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S No. 2495. 5, 288,885. 07 Total . G. P. GRIFFITH, Cashier. 1,998,155.87 Capital stock paid in $1, 000,000. 00 2,104. 50 I! 50, 000. 00 Surplus fund 200, 000. 00 Undivided profits, less current 176, 365. 09 expenses and taxes paid 13, 600. 00 45, 000. 00 6,636. 06 National-bank notes outstanding. 611,441.18 State-bank notes outstanding 104, 000.00 Due to other national banks 1, 095, 978. 37 462,126. 42 326, 335.19 Due to State b a n t s and bankers.. 86, 460. 68 359, 736. 41 Dividends unpaid 820.83 2, 306,128. 56 18, 986. 90 Individual deposits 3, 286. 63 9, 510. 00 Certified checks 357. 45 United States deposits 424, 990. 00 Deposits of U.S. disbursing officers. 123,500. 00 Notes and bills rediscounted. 150, 000. 00 Bills payable 2, 250. 00 Liabilities other than those above stated Total .,, 5,288,885.07 Equitable National Bank, Cincinnati. GEORGE FISHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds stacks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer TJ. S Total. No. 3707. $1,146,427.20 3,480.91 50, 000. 00 1, 300.00 6, 032.49 2, 794. 35 46,469.72 53, 389.94 34,456.16 1,419. 75 7, 710. 75 2, 479. 00 44.65 41, 379. 00 58,500.00 20, 000.00 2, 250. 00 W. P . STAMM, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $350, 000.00 Due to other national banks Due to State banks and bankers.. 44, 807. 26 121, 985. 31 100, 000. 00 12,499.01 45, 000. 00 60.00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursing officers . Notes and bills rediscounted. Bills payable 737, 796. 61 5, 985. 73 60, 000; 00 Liabilities other than those above stated 1, 478,133.92 Total r 1,478,133.92 826 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. German National Bank, Cincinnati. GEO. H. BOHRER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2524. ED. HESZOG, Cashier, Liabilities. $1, 981,340. 50 7,915. 24 100,000.00 600. 00 78.00 499,298. 52 2,250. 00 187,569. 74 82,156.38 305,554. 84 6, 581.10 11,962.17 10,917.00 235.11 136,513.00 126,000.00 4,500. 00 3,463,471. 60 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated . U. S. bond account. Total $500,000.00 300, 000.00 47, 330. 80 90,000.00 303,576.85 15L 856.86 48.00 2,060,769.25 6, 889.84 3, 000. 00 3,463,471.60 Market National Bank, Cincinnati. CHAS. FLEISCHMANN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. No. 3642. $1,238,717.93 373.63 200,000.00 25,529.75 267,025. 93 9,000. 00 3,000. 00 197,867.17 33,614.44 118,043. 00 781. 90 15,014.16 13,120.00 53.81 13,876. 88 170,500.00 9,000.00 2,315,518. 60 CASPER H. ROWE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U .S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. $250,000. 00 100,000. 00 27,181.52 180,000.00 25, 085. 06 72,298.94 172.50 1, 659,967. 49 813.09 2, 315, 518. C O Merchants' National Bank, Cincinnati. H. C. TERGASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 844. $2, 471,486.81 3,503.12 50,000. 00 1,700.00 6, 000. 00 119,325.00 15,800. 00 167, 352. 62 69,293.03 197,771.92 1,642.53 15,947.63 16, 540. 00 106. 96 228,»367.50 211,903.-00 2, 250. 00 3, 578, 990.12 W. W. BROWN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks.. Due to State banks and bankers.. Dividends unpaid a posi Certified checks United States deposits DepositsofU.S.disbursingofficers. $1, 000, 000. C O 105, 000. 00 46,428. 26 45, 000. 00 802, 759. <J6 285,988. 66 51.00 1, 288, 038.10 5, 724.14 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 3, 578, 990.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 827 OHIO. National La Fayette Bank, Cincinnati. WILLIAM A. GOODMAN, President. ISTo. 2315. C. J . STEDMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. I, 437, 006. 43 659. 40 330, 000. 00 11,150.00 44, 349. 50 227, 708. 60 33," 593* 90 236. 626.43 104, 346. 69 283,279. 06 41,254. 28 24,107.49 30,000. 00 173.12 179, 874.45 250,000.00 14, 850. 00 Capital stock paid in ' $600, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding \ 400,000. 00 Due to other national banks Due to State banks and bankers.. 193, 736. 75 235,800.00 34,441. 39 88, 525.19 j Dividends unpaid I Individual deposits ! 2, 696,476. 02 United States deposits : Depositsof U.S.disbursingcnicers.• Notes and bills rediscounted Bills payable ! | Liabilities other than those above i stated | 4,248,979.35 Total 4,248,979.35 Ohio Valley National Bank, Cincinnati. No. 3606. JAMES ESPY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' ghouse, furniture, and fixtures Other real estate and mortg's owned! Due from othernational banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. . 820, 633. 35 , 2, 317.43 370, 000. 00 250,000.00 89, 950. 00 48, 921. 66 166, 986. 69 4, 945. 95 O. H. TUDOR, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks j Due to State banks and bankers 298,133.14 41,477.72 || 229,967.43 [ Dividends unpaid 1,291.40 10, 910. 70 Individual deposits 21,000. 00 Certified checks 229.97 United States deposits 102, 000. 00 Deposits of U. S.disbursing officers. 220, 000. 00 Notes and bills rediscounted Bills payable 16, 650.00 Liabilities other than those above stated U. S. bond account 3,695,415.44 Total $700,000. 00 140,000.00 31,961.32 333, 000. 00 496, 245. 21 405, 066.17 291. 00 1,021, 741. 65 810, 09 225,000.00 341,300. 00 3,695,415.44 First National Bank, Circleville. J". A. HAWKES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 118. $285,642. 25 861. 72 50, 000. 00 5, 000. 00 156, 038. 75 21, 700. 00 11,483.67 4,917.22 57. 231. 23 710.72 244. 480. 22, 847. 12, 000. 00 54 00 00 O. BALLARD, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. $260,000.00 60,000.00 2,805.37 45, 000.00 5, 872. 69 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 253,732.44 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 631, 407.10 Total . 631,407.10 828 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Circleville. No. 172. S. H. RUGGLES, President. E. E. "WINSHIP, Cashier. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds i Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. \ Due from approved reserve agents. | Checks and other cash items ] Exchanges for clearing house ! Bills of other national banks j Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit I Redemption fund with Treas. U. S.j Due from Treasurer U. S I I Liabilities. $308,146. 21 1, 066. 82 31,500.00 j $125, 000. 00 Surplus fund I Undivided profits, less current 700. 00 | expenses and taxes paid ! National-banknotes outstanding. 42,180. 75 I State-bank notes outstanding 5, 000. 00 3. 792. 83 Due to other national banks 12, 468. 52 Due to State banks and bankers . 1, 861.12 57, 762. 07 Dividends unpaid I 2, 559. 79 Individual deposits | 4, 628. 00 United States deposits 407. 00 Deposits of U.S.disbursingom'cers. 23,805.50 9,825. 00 Notes and bills rediscounted Bills payable 1,417. 50 Liabilities other than those above stated Capital stock paid in 62,500.00 507,121.11 Total . Total. 10, 455. 42 28, 350.00 6, 862. 65 482.93 273, 470.11 507,121.11 Third National Bank, Circleville. No. 2817. JNO. GROCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfi xUires Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. S. MORRIS, Cashier. $197,116.67 || Capital stock paid in. 614.62 25,000.00 Surplus fund Undivided profits less current expenses and taxes paid 2,500. 00 National-bank notes outstanding. 20,957. 92 State-bank notes outstanding 2, 000. 00 Due to other national banks \ 9, 066. 66 Due to State banks and bankers..! 1, 880. 66 31,912.97 Dividends unpaid 1,411.32 Individual deposits 195. 00 United States deposits 159. 07 Deposits of U.S.disbursing officers.1 17, 632. 00 5,525. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated < Total. 317, 096.89 $100,000. 00 14, 500. 00 5. 626. 90 22, 500. 00 1, 785. 55 3, 017. 88 169, 666.56 317, 096. 89 First National Bank, Cleveland. JAMES BARNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2690. $1, 598, 044. 09 2, 914.27 50, 000. 00 20, 000. 00 80, 000.00 3,109. 54 156, 895. 99 25, 605.53 193, 742. 73 926.11 32. 393.56 2,475. 00 720. 24 74,250. 00 84, 000. 00 THOS. H. WILSON, Cashier. Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid j National-banknotes outstanding.1 State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers..I Dividends unpaid 425, 743. 99 166, 111. 80 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 1, 043, 978.02 50, 583. 25 .40,910.00 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 2, 327, 327. 06 Total. 2,327,327.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 829 OHIO. Central National Bank, Cleveland. THOMAS WILSON, President. No. 4318. J. J. SULLIVAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fond with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $2,609, 370. 29 526. 02 100, 000 00 27,100.00 12, 500. 00 155, 770. 21 31, 663. 81 276, 678. 41 13, 978. 08 17, 871. 45 6, 608.00 720. 05 80,143. 00 100, 000. 00 4, 500. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $800,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 599,606. 64 278, 616. 38 100, 000. 00 70, 233. 61 90,000. 00 Individual deposits j 1,196,413.29 Certified checks I 2,560. 00 United States deposits I Deposits of U.S.disbursingofficers.! Notes and bills rediscounted 200,000. 00 Bills payable Liabilities other than those above j stated I U. S. bond account ; 100, 000.00 Total 3,437, 429.92 3, 437,429.92 Cleveland National Bank, Cleveland. SIDNEY S. WARNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc -. Bank'ghouso,furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve *tgents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Speci e Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 5, 000. 00 24, 000. 00 4, 000. 00 76,178.14 35, 574. 39 171,358,23 9,605. 08 3, 267. 79 9, 950.00 155. 50 53,690. 00 85, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500, 000.00 Due to other national banks . . Due to State banks and bankers.. 200,013. 73 93, 643.89 90, 000.00 25, 220.09 45, 00Q. 66 930. 00 Dividends unpaid 937,361.30 5,500.00 Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 225,000.00 680. 00 Liabilities other than those above stated Total 2,122, 669. 01 Total. T. W. HILL, Cashier. No. 2956. $1, 588,146. 30 6,063. 58 50, 000. 00 2,122,669.01 Commercial National Bank, Cleveland. DANIEL P. EELLS, President. No. 807. $3,667,481.41 Loans and discounts 4,005.03 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 194, 790.63 Stocks, securities, etc 40,000.00 Bank'ghouse,furniture,anelfixtures 8,000.00 Other real estate andmortg's owned 269, 773. 92 Due from other national banks 17,016. 66 Due from State banks and bankers. 320,102. 97 Due from approved reserv e agents. 6,144.93 Checks and other cash items 43,458.89 Exchanges for clearing house 4,062. 00 Bills of other national banks 678.05 Fractional currency, nickels, cents. 344,401. 00 Specie 15, 000. 00 Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S. \ 2,250. 00 Due from Treasurer U. S ! Total 4,987,165.49 i W. P. JOHNSON, Cashier. Capital stock paid in j $1,500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 500,000.00 Due to other national banks Due to State banks and bonkers.. Dividends unpaid 348, 505.43 220, 530. 93 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 2, 334, 312.88 38,816. 25 45,000. 00 Notes and bills rediscounted Bills payable | Liabilities other than those above stated Total , 4,987,165.49 830 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO . Euclid Avenue National Bank, Cleveland. S. L. SEVERANCE, President. No. 3545. E. G. TILLOTSON, Cashier. Resources. Liabilities. Loans and discounts $2, 740, 441. 02 Overdrafts 2,228.43 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand 50, 000. 00 Premiums on U. S. bonds 4, 768. 75 Stocks, securities, etc 304, 568. 73 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned 90, 000. 00 140, 690. 96 Due from other national banks Due from State banks and bankers. 56,120.10 Due from approved reserve agents. 331, 600. 67 1,906. 85 Checks and other cash items Exchanges for clearing house 32, 208.17 10, 723. 00 Bills of other national banks 370. 85 Fract ional currency, nickels, cents. 88, 858. 20 Specie 111, 000. 00 Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total j Capital stock paid in $500,000.00 Surplus fund Undivided profits, less current expenses and taxes paid "National-bank notes outstanding. State-bank notes outstanding 150, 000.00 Due to other national banks 196, 743.04 307, 705.15 55, 060. 37 45,000.00 Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated U. S. bond account 4,017,735.73 Total !, 512,498.97 728. 20 200, 000.00 50, 000. 00 j 4, 017, 735.73 Mercantile National Bank, Cleveland. E. R. PERKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house, furniture,andfixtures! Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . No. 3272. :, 197,475. 52 616. 58 400, 000. 00 70, 000. 00 25,973.00 52,500. 00 255, 000. 00 45, 000. 00 159, 025. 91 66,282. 20 211, 835.02 5,171.62 15,423.19 13, 003.00 493.12 383,150. 00 30,000.00 18, 000.00 CHAS. L. MURFEY, Cashier. Capital stock paid in j $1, 000,000.00 Surplus fund I 200, 000. 00 Undivided profits, less current expenses and taxes paid 110,028. 72 National-bank notes outstanding. 329,400.00 State-bank notes outstanding Due to other national banks 37, 875.98 Due to State banks and bankers..! 12, 097.39 Dividends unpaid 1, 959,547.07 Individual deposits United States deposits Deposits of U.S.disbursingofficers " otes and bills rediscounted N Bills payable Liabilities other than those above stated , U. S. bond account 3, 948, 949.16 300, 000.00 Total . 3, 948,949.16 National Bank of Commerce, Cleveland. G. A. GARRETSON, President. Loans and discounts Overdrafts TT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.. S. Due from Treasurer U. S Total. No. 2662. $3, 498,972. 95 11,962.70 190,000. 00 60,000. 00 10,000. 00 22,144. 51 76, 000. 00 112, 934. 52 235, 576.49 216, 389. 55 324, 059. 69 8, 291. 72 34, 535. 00 3,179.00 49.33 307, 700. 00 25, 000. 00 8,550.00 5,145, 345.46 F. E. RITTMAN, Cashier. Capital stock paid in j $1, 500,000.00 Surplus fund j Undivided profits, less current I expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding.. 300,000.00 94,119.55 171,000.00 Due to other national banks 241, 688.75 Due to State banks and bankers.. 234,952.20 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated U. S. bond account Total 2,448,960.78 24,374.46 30,249.72 100,000.00 57l45,345.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 831 OHIO. National City Bank, Cleveland. JOHN F . WHITELAW, President. No. 786. E. R. D A T E , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums ou U. S. bonds Stocks, securities, etc Bank'g house.f urniture,andfixtuers Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks androther cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $1,007, 888.72 3,499.30 75,000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 21,500.00 ! State-bank notes outstanding Due to other national banks 55,422. 35 Due to State banks and bankers.. 13,539.98 102, 244. 55 Dividends unpaid 5, 583. 39 11,376.13 Individual deposits 4, 555.00 United States deposits 231. 88 Deposits of U.S.disbursing officers 75, 350. 00 Notes and bills rediscounted. 10, 000. 00 Bills payable 3,375.00 i Liabilities other than those above 1,452.10 j stated U. S. bond account Total . 1, 391, 018.40 Total. $250,000. 00 150, 000.00 147, 332.18 67,500. 00 69,576.54 109,190.22 258.00 572,161.46 25,000. 00 1,391,018.40 Park National Bank, Cleveland. No. 5006. H. A. BISHOP, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $643,783.40 .24 80,000. 00 6,125. 00 £6,142. i7 38, 757. 20 12, 965.11 138,781.48 1, 910.19 6,134. 50 2,000. 00 102. 26 40,571. 00 30,000. 00 2,500.00 4,000. 00 JNO. SHEEWIN, Cashier. Capital stock paid in Capital stock not certified Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $250,000.00 158,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingonicers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated U. S. bond account 32, 541.30 15, 872.31 Total . 1, 017,772. 55 3,620. 33 50, 000.00 477,488. 61 30,000. 00 1, 017,772.55 State National Bank, Cleveland. M. A. BRADLEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S33ue from Treasurer TJ. S Total. No. 3950. H. R. SANBORN, Cashier. $2, 612, 284. 92 Capital stock paid in $500, 000. 00 884.52 100, 000. 00 75,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 18, 569. 50 67,500. 00 970. 00 National-bank notes outstanding. State-bank notes outstanding 38, 500. 00 8, 000. 00 Due to other national banks 385,500. 04 3, 500. 00 375, 630. 89 123, 627. 04 Due to State banks and bankers.. 149, 280. 82 Dividends unpaid 30.00 329,453. 27 ! 2,155,567.41 10, 641. 96 Individual deposits 13,489. 81 United States deposits 2,130. 00 DepositsofU.S.disbursingofticers. „ 515.50 171,145. 00 Notes and bills rediscounted 125,000.00 Bills payable * 3,375. 00 3,667,797.84 Liabilities other than those above stated U. S. bond account Total ..,.„„_. , 65,000.00 3,667,797.84 832 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Union National Bank, Cleveland. M. A. HANNA, President. No. 3202. E. H. BOURNE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc r Bank'ghouse^'urniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bai:ks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S 12,551,072.75 ! Capital stock paid in j $1, 000, 000. 00 4,724.53 j 185,000.00 50,000.00 Surplus fund Undivided profits, less current 56, 643.69 expenses and taxes paid 45,000. 00 6,000. 00 National bank notes outstanding. 28,533. 33 State-bank notes outstanding 2, 000. 00 Due to other national banks i 181,432,14 233,443. 86 321,000.27 Due to State banks and bankers.. I 84,377. 74 Dividends unpaid j 07,050. 51 5.406 .'29 Individual deposits j 1,578,302.79 32,211. 44 Certified checks 118, 266.00 3,251.00 United States deposits j 310.62 Deposits of U. S.disbursing officers. |. 154,900. 00 55,000. 00 Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 3, 398,088. 48* j Total. Total 3, 398, 088.48 Western Reserve National Bank, Cleveland. JAS. PICKANDS, President. No. 4782. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ! ghouse,furniture,and fixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total GEORGE P . HUNTLEY, President. 28,478.33 27,000. 00 262,333.15 49,582. 26 381, 743. 09 13,230.18 23, 542. 33 5,132. 00 527.92 133,505. 00 51,500.00 2.250. 00 12,000. 00 3, 275, 588. 64 G-. S. RUSSELL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid ". National-bank notes outstanding. State-bank notes outstanding...".. , 000, 000. 00 Due .to other national banks Due to State banks and bankers.. 54,276.12 23, 711.42 $80, 781. 98 392. 25 19, 500. 00 2, 000. 00 19, 809. 99 5, 882. 87 2, 720. 03 11,993. 24 190. 79 100. 00 61.05 8, 533. 60 3, 270. 00 877. 50 156,113.30 105, 000. 00 50, 675, 87 45, 000. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated U. S. bond account Total First National Bank, Clyde. No. 4197. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtuies Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $2,233,568. 06 1,196. 32 50,000. 00 1,946, 542. 51 382. 72 50,000.00 3, 275, 588. 64 GL D. TIFFANY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits ! Deposits ofU.S.disbursingofficers. I "$50,000. 00 2, 850.00 692.96 16, 670.00 405.40 85,494.94 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 156, 113.30 REPORT OF T H E COMPTROLLER OF THE CURRENCY. 833 © SI I O . Fourth National Bank, Columbus. No. 2423. W. S. IDE, President. JOHN W. BRADSHAW, Cashier. Resources. Loans and discounts | Overdrafts i U. S. bonds to secure circulation-.. j U. S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture, and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.I ! D ue from Treasurer U. S Liabilities. $145,911.97 j| Capital stock paid in 356,149. 24 Total . $100,000.00 25, 000. 00 I Surplus fund ! Undivided profits, less current j expenses and taxes paid 2, 065. 00 ! National-bank notes outstanding 70,100. 00 j! State-bank notes outstanding 2, 000. 00 9, 000. 00 ! Due to other national banks 1, 972. 74 1,191.18 j Due to State banks and bankers. 26,351. 57 I Dividends unpaid 3, 423. 30 993. 66 Individual deposits i 12, 054. 00 United States deposits I. 153. 32 DepositsofU.S.disbursingofficers. 1 . 32, 807. 50 22, 000.00 j Notes and bills rediscounted. i Bills payable 1,125. 00 I Liabilities other than those above j ! stated 15, 500. 00 5, 276. 41 22, 500. 00 25, 290. 85 388. 64 350. 00 186, 843.34 356,149. 24 Total. Clinton National Bank, Columbus. No. 3610. D. S. GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures j Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F . W. FBENTISS, Cashier, $460, 315. 93 i I Capital stock paid in. 3.07 50, 000. 00 j Surplus fund j Undivided profits, less current ! expenses and taxes paid 5, 000. 00 i National-bank notes outstanding. 16, 900. 00 State-bank notes outstanding 3, 400. 00 Due to other national banks 40.24 12, 386. 36 Due to State banks and bankers.. 48, 836. 66 Dividends unpaid 296. 88 5,466.45 Individual deposits 22, 840. 00 I United States deposits 85.39 | Deposits of U.S.disbursing officers. 35,487. 30 47, 500. 00 Notes and bills rediscounted I j Bills payable 2, 250. 00 Liabilities other than those above stated 710, 808. 28 Total . $200, 000.00 33, 000. 00 11, 500. 50 45,000. 00 37, 054. 90 8, 533.94 375,718.94 710, 808. 28 Commercial National Bank, Columbus. WALTER CRAFTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S 6, 903.14 24,113. 87 15,918.43 45, 920. 86 3,061. 96 8, 860. 45 1,500.00 33.00 9,167. 60 25, 993. 00 2,250. 00 786,035.13 Total No. 2605. w . H. ALBERY, Cashier. $589, 922.65 Capital stock paid in. $200, 000.00 2, 390.17 50, 000. 00 Surplus fund 60,000.00 Undivided profits, less current 20, 297.93 expenses and taxes paid 45, 000.00 National-bank notes outstanding. State-bank notes outstanding -53 Due to other national banks Due to State banks and bankers.. Dividends unpaid 26, 586. 43 20,020.06 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 8,384. 65 Notes and bills rediscounted Bills payable Liabilities other than those above stated 45, 746.06 Total. 786, 035.13 834 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Deshler National Bank, Columbus. GEO. W. SINKS, President. No. 4579. C. J . HARDY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U . S . bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other v^sh items Exchanges for clearing hous* Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . I $852, 709. 06 1,452.18 50, 000. 00 125, 000. 00 100.00 17,387.01 13, 905. 78 1, 799. 05 45, 535.14 14, 035. 02 97, 837. 30 4,771.35 14, 483. 22 10, 800.00 390. 96 81,111.25 31,645.00 2, 250.00 Capital stock paid in. $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 75, 000. 00 2G, 406.55 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 24, 707.53 34, 958.26 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 746,862.06 96, 473. 72 15, 804, 20 Notes and bills rediscounted". Bills payable Liabilities other than those above stated Total . 1, 365, 212.32 1, 365, 212.32 Hay den National Bank, Columbus. No. 4697. P. W. HUNTINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds io securedeposits U . S . b o n d s on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $582, 274. 33 474. 04 50, 000. 00 32, 686. 67 14,430. 07 6, 534. 45 44, 448. 65 1,109. 04 29, 573. 57 6, 700. 00 222. 00 77,184.10 5, 230. 00 2, 250. 00 2,000. 00 $200,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 27, 300. 00 10, 534. 61 45, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 57, 672. 98 33,798.95 Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 480,810.38 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 855,116. 92 Total . W. P. LITTLE, Cashier. Capital stock paid in. Total . 855,116. 92 National Bank, Columbus. WILLIAM MONTPENY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. D. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-bender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4443. $497, 602. 62 44.69 50,000. 00 3,500.00 63, 700. 00 85, 000. 00 59,425. 00 15, 318.15 2, 585. 90 63, 932.10 4, 248.13 38, 075. 57 23.166.00 575.00 100, 021. 00 50, 000. 00 2, 250.00 24. 75 1,059,468.91 THEO. P. GORDON, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-baiik notes outstanding. State-bank notes outstanding $300,000. 00 60, 000. 00 11, 277. 26 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 84, 664.14 24, 889. 39 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 533, 638.12 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1, 059,468.91 REPORT OF THE COMPTROLLER OP THE CURRENCY. 835 OHIO. First National Bank, Conneaut. S. J. SMITH, President. No. 3492. B. E. THAYER, Cashier. Resources. Liabilities Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums en U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. $82, 406. 30 1,320.10 12. 500. 00 1,220. 00 1, 032. 31 1,400. 00 12, 316. 50 350. 00 800. 00 26.65 300.00 5,000. 00 2.50 Capital stock paid in. $50, 000. 00 Surplusfnnd Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing" fficers. 2, 670.00 1, 727. 47 11, 250. 00 48.00 53, 538.89 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 119,234.36 119, 234. 36 First National Bank, Cortland. . A, COWDEEY, President. E. F. BRISCOE, Cashier. No. 4772. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned' Due from other national banks Due from State t a n k s and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $165,658.51 12, 500. 00 160. 00 3, 000. 00 6,284. 01 219.66 170.19 26, 887. 74 347.11 2,253.00 57.17 6,195. 00 5,000. 00 562.50 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.Sdisbursingofficers. 2, 500.00 5, G23.45 11, 250. 00 2,154. 23 157, 767. 21 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 229, 294.89 Total . 229, 294. 89 Third National Bank, Dayton. J. K. MCINTIRE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2678. • $1, 014, 990. 44 1, 878. 76 50, 000. 00 150,000. 00 20, 000. 00 18, 000. 00 5, 000. 00 27,016. 37 852. 74 62, 522. 58 24, 073. 99 13, 800.00 247. 27 79, 518. 00 13,000. 00 2, 250. 00 CHARLES RENCH, Cashier. Capital stock paid in. $400,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding.... 100, 000. 00 Due to other national banks Due to State banks and bankers. 8, 390. 02 11, 416. 50 56, 574. 93 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 751,476.04 5, 732. 37 104,560.29 Notes and bills rediscounted Bills pay able Liabilities other than those above stated 1, 483,150.15 Total. 1, 483,150.15 836 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Fourth National Bank, Dayton. No. 3821. TORRENCE HUFITMAN, President. C. L. HARDMAN, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other realestateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes : U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $976, 884.18 1, 225. 87 400, 000.00 Capital stock paid in $600, 000. 00 Surplus fund Undivided profits, less current • j expenses and taxes paid 44, 000. 00 Ij National-banknotes outstanding. 7, 458. 33 1 State-bank notes outstanding 1 10, 000. 00 Due to other national banks 3, 629. 4(5 3, 818. 79 Due to State banks and bankers.. 57, 810.14 Dividends unpaid 15,429.43 Individual deposits 23, 097. 00 United States deposits 429. 72 DepositsofU.S.disbursingofficers. 32, 293.10 15, 000. 00 Notes and bills rediscounted... Bills payable 18, 000.00 1, 000. 00 | Liabilities other than those above ; stated 1,610,076.02 i Total 120, 000.00 29, 774. 01 360, 000. 00 163.20 30.00 500,108. 81 l, 610, 076. 02 City National Bank, Dayton. No. 2874. "W. B. GEBHART, Cashier. $1,153,431.26 ; Capital stock paid in Loans and discounts $200, 000. 00 1,825.53 j| Overdrafts U. S. bonds to secure circulation... 100,000.00 I Surplus fund ; 60, 000. 00 U. S. bonds to secure deposits Undivided profits, less current j U. S. bonds on hand expenses and taxes paid I 65, 545. 30 10, 000. 00 National-bank notes outstanding.! Premiums on U. S. bonds 90, 000.00 55,101.14 State-bank notes outstanding...'..!. Stocks, securities, etc 4, 000. 00 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owued | Due to other national banks 32, 403.83 7,158.96 i Due to State banks and bankers.. Due from other national banks 7, 848. 33 8, 771. 99 Due from State banks and bankers. W. P . CALLAHAN, President. Due from approved reserve agents. Checks and other cash items Exchan ges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. 103,446.19 22,575.69 "ii.'moo" 192. 62 59, 650. 00 15, 000. 00 4,500.00 5.00 Dividends unpaid 54.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,560,261.33 Total 1,037,500.09 36,909. 83 30, 000.00 l, 560, 261. 38 Dayton National Bank, Dayton. W M . H. SIMMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Total. No. 898. J A S . A. MARTIN, Cashier. $602,094. 75 I Capital stock paid in 1, 048. 03 75,000.00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 500. 00 State-bank notes outstanding 5, 000. 00 Due to other national banks 4,891.41 Due to State banks and bankers.. 5,328. 60 50, 407. 43 Dividends unpaid 12, 656. 76 Individual deposits j 10, 750. 00 ! United States deposits i 1,015.45 1 Deposits of U.S. disbursing officers.! 22, 432. 50 15, 000. 00 $300,000.00 60, 000.00 18, 854.55 67, 500. 00 6,473. 25 1, 080.00 355, 592.13 Notes and bills rediscounted. Bills payable 3, 375. 00 Liabilities other than those above stated ! 809,499.93 Total .. 809.. 499. 93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 837 OHIO. Merchants' National Bank, Dayton. No. 1788. A. GEBHART, President. A. S. ESTABROOK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. X S. bonds to secure deposits L U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S.j Due from Treasurer U. S i Total. Liabilities. $509, 904. 88 Capital stock paid in. 3, 573. 80 80, 000. 00 Surplus fund Undivided profits, less current 65,100. 00 expenses and taxes paid 20, 940. 50 National-bank notes outstanding. 32,922. 85 State-bank notes outstanding 4, 000. 00 1, 068. 00 Due to other national banks 8,833. 91 Due to State banks and bankers. 1, 573. 86 53,012.78 Dividends unpaid 15, 826. 21 Individual deposits 32,160. 00 United States deposits 36. 90 Deposits of U. S. disbursin g officers. 4,811.25 30, 000.00 Notes and bills rediscounted... Bills payable $300,000.00 60, 000. 00 10, 363. 48 72, 000. 00 30, 706. 35 5, 246. 51 389, 048. 60 3, 600. 00 Liabilities other than those above stated 867, 364. 94 867, 364. 94 Total . Teutonia National Bank, Dayton. No. 4054. F R E D REIBOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures! Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $342, 333. 76 309.89 200,000. 00 22, 000. 00 17, 500. 00 5,000.00 "11,027.58 325. 22 29, 963. 62 15,008. 58 7, 740. 00 123.49 19,754. 50 15, 000. 00 9,000.00 J . SCHUMACHER, Cashier. Capital stock paid in. ;200,000. 00 Surplus fund -^ Undivided profits, less current i expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 24, 000. 00 12,357.25 180, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19, 599. 31 109.50 Individual deposits United States deposits Deposits of U.S.disbursing officers- 259, 005. 58 15.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 695, 085. 64 Total . 695, 086. 64 Winters National Bank, Dayton. JONATHAN H. WINTERS, President. JAMES C. REBER, Cashier. No. 2604. Loans and discounts j il, 041, 733. 00 Capital stock paid in j 473.89 Overdrafts 450, 000.00 Surplus fund IT. S. bonds to secure circulation... I U. S. bonds to secure deposits I Undivided profits, less current U. S. bonds on hand ! expenses and taxes paid Premiums on U. S. bonds 49, 500. 00 National-bank notes outstanding. 16, 000. 00 State-bank notes outstanding Stocks, securities, etc... Bank'ghouse,furniture, and fixtures 3, 000. 00 Other real estate and mortg's owned j| Due to other national banks j Duo from other national banks 4, 351.12 j| Due to State banks and bankers, .j Due from State banks and bankers. Due from approved reserve agents. 157, 492.87 Dividends unpaid. Checks and other cash items 7, 635. 05 Exchanges for clearing house Individual deposits Bills oi ot her national banks 18,177. 00 United States deposits Fractional currency, nickels, cents. 300. 47 Deposits of U.S.disbursingofficers Specie ". 92, 439. 85 I Legal-tender notes 11, 000. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 17, 030. 00 Due from Treasurer U. S Liabilities other than those above j stated Total 1, 869,1'33.25 Total $500,000.00 132,000.00 40, 551. 05 405, 000. 00 38., 691.37 4.14 563.00 752, 323. 69 i 1,869,133.25 838 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Defiance. No. 4661. EDWARD SQUIRE, President. ELBERT E. CARTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and uiortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . Liabilities. $468, 346. 44 12,841.83 50,000. 00 Capital stock paid in $175, 000.00 Surplus fund j Undivided profits, less current I expenses and taxes paid j 3,100. 00 j National-bank notes outstanding I 2, 000. 00 j State-bank notes outstanding | 3, 800. 00 22,882. 60 "i'699."8i 4,898. 25 11,314.55 "**875." 66 95.29 28,476.55 3,200.00 2,250. 66 90, 000. 00 15,712.86 45,000.00 Due to other national banks Due to State banks and bankers... Dividends unpaid. 9, 784. 52 Individual deposits United States deposits Deposits of U. S.disbursing ofiicers. 257,448. 00 Notes and bills rediscounted Bills payable 18,500.00 Liabilities other than those above stated 615,780. 32 4, 334. 94 Total. 615,780.32 Merchants' National Bank, Defiance. No. 2516. C. P . HARLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S Total . E. P, HOOKER, Cashier. $133, 633. 89 || Capital stock paid in. 1, 628. 30 25, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 20, 000. 00 State-bank notes outstanding 2,000.00 4,180. 00 Due to other national banks 933.14 Due to State banks and bankers.. 9,605. 54 Dividends unpaid 50.78 Individual deposits 853.00 United States deposits 153. 46 Deposits of U. S.disbursing officers 1, 748. 60 i 6, 600. 00 Notes and bills rediscounted j 1,125.00 Bills payable Liabilities other than those above stated 207,511.71 Total. $100, 000.00 500.00 4, 308. 44 22, 500.00 58.96 75,368.25 3,000.00 1,776.06 207, 511.71 First National Bank, Delaware. C. B. PAUL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit j Redemption fund with Treas. U. S.j Due from Treasurer U. S \ No. 243. $199, 759. 85 1,301.00 63, 000. 00 366.66 1, 665. 00 12,800. 00 12, 750. 00 i 346.49 2, 088. 25 12, 267. 99 169.70 9, 734.00 150. 95 16, 567. 40 1,000.00 2, 835. 00 G W. POWERS, Cashier. K Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 4, 064.19 55, 917. 50 9, 214.24 2, 584.59 Due to other national banks Due to State banks and bankers.. Dividends unpaid 114,949.11 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated U. S. bond a c c o u n t Total . 337,729. 63 Total 20, 000. 00 i 337,729.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 839 OHIO. Delaware County National Bank, Delaware. S. M O O R E , President. No. 853. W . L I T T L E , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on liand Premiums on U. S. bonds Stocks, securities, etc Bank 'g Louse, furniture,and fixtures Other real estate and inortg's owned! Due from other national banks ' D u e from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $182,891.41 704.11 100,000. 00 Capital stock paid in 5, 000. 00 3. 600.00 13,600.00 Due to other national banks 20, 000.00 4, 618. 85 90,000.00 i 435.83 2,767.85 8, 658. 77 518.58 Due to State banks and b a n k e r s . . | 750.28 30.00 235. 84 19, 659.10 6,242.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Dividends unpaid 4, 500. 00 ! 134, 314. 23 Liabilities other than those above stated 350,119.19 Total . $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding.! State-bank notes outstanding Total . 350,119.19 Delphos National Bank, Delphos. ALEX. SHENK, President. No. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XT. S. bonds ! Stocks, securities, etc j Bank'g Louse, turniture,andnxtui-esj Other real estate a n d m o r t g ' s owned! Due from other national banks i Due from State banks and bankers. Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house Bills of other n a t i o n a l p a n k s Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund w i t h Treas. U. S . Due from Treasurer U, S Total . 2885. $199, 637.44 3,434.21 15, 000. 00 3, 375. 00 8, 720. 84 40, 697. 23 416. 40 E D W A R D L . STALLKAMP, Cashier. Capital stock paid in. $60, 000.10 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 33, 000. 00 2, 486. 30 13, 500.00 State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . 4, 754. 48 Dividends unpaid Individual deposits 185, 740. 70 Total . 299,481.48 1,171.00 I United States deposits 25.36 ! Deposits of U.S.disbursingofficers. I. 7,329.00 13, 000. 00 Notes and bills rediscounted. Bills paj-able 675.00 Liabilities other than those above I stated \ 299,481.48 i First National Bank, East Liverpool. DAVID BOYCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g bouse,furniture,and fixtures! Other real estate and mortg's ownedj Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2146. $245, 263.78 50, 000.00 36, 000.00 32, 000. 00 17, 247. 73 86.32 40. 621. 60 783.84 716.00 706. 72 40, 506. 85 7,050.00 N. G. MACRUM, Cashier. Capital stock paid i n . . $100, 000.00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . 3, 823.53 15, 714. 20 45. 000. C O Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 288, 695. 05 Notes and bills rediscounted. Bills payable 2,250.00 j Liabilities other than those above stated \ 473,232.84 Total . 473, 232. 84 840 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Potters' National Bank, Bast Liverpool. WILLIAM BRUNT, President. No. 2544. F. D. KITCHEL, Cashier. Resources. Liabilities. $212,805.87 | Capital stock paid in Loans and discounts I | $100, 000. 00 Overdrafts :. TJ. S. bonds to secure circulation... j ""25,'000.'66 "I Surplus fund 20, 000.00 TJ. S. bonds to secure deposits •. Undivided profits, less current U. S. bonds on hand '. 4, 508.92 expenses and taxes paid. 1, 200. 00 Premiums on TJ. S. bonds ! 22, 500. 00 National-bank notes outstanding. 31.929.00 Stocks, securities, etc i State-bank notes outstanding 15,500.00 i Bank'ghouse,furniture,andfixtures| 4.247.09 ; Due to other national banks Other real estate and mortg's owned! 9, 070.18 | 82G. 9G I Due to State banks and bankers.. j Due from other national banks • 1, 887.16 Due from State banks and bankers. . Due from approved reserve agents. I " 34," 574." 95* j Dividends unpaid Checks and other cash items ; 8.234.10 j Exchanges for clearing house j. 212,623. 20 Individual deposits i Bills of other nationalbanks j 281." 00 ! United States deposits '. 252.79 ! Deposits of U.S.disbursingofficers.l Fractional currency, nickels, cents, j 20, 512. 70 I Specie I 14,100.00 • Notes and bills rediscounted. Legal-tender notes I U. S. certificates of deposit |Bills payable Redemption fund with Treas. U. S.j 1,125.00 Due from Treasurer TJ. S !Liabilities other than those above j stated i. Total . 370, 589. 46 j Total . 370, 589.46 Preble County National Bank, Eaton. ANDREW HIESTAND, President. No, 3889. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation...j U. S. bonds to secure deposits ! U. S. bonds on hand j Premiums on U. S. bonds ! Stocks, securities, etc | Bank'g house, furniture, andfixturesj Other real estate andmortg's owned' Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $123, 347. 84 191. 79 25, 000. 00 500. 00 39, 700. 00 1, 000. 00 J . W. ACTON, Cashier. Capital stock paid in .. - $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding-. State-bank notes outstanding 6, 500.00 4, 579. 65 22, 500. 00 Due to other national banks Due to State banks and bankers. 40,981.46 : Dividends unpaid 1,662.88 600. 00 101.50 5, 999. 50 11, 800. 00 1,125.00 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 168, 430.32 Notes and bills rediscounted. Bills payable I Liabilities other than those above ! stated 252,009.97 Total . 252, 009. 97 National Bank, Blyria. H. E. MUSSEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furnituro,and fixtures! Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total . No. 2803. E. E. WILLIAMS, Cashier. $608, 562. 50 Capital stock paid in. 5,107. 34 40, 400. 00 I Surplus fund I Undivided profits, less current ! expenses and taxes paid 3, 524. 64 I National-bank notes outstanding.. 49, 845. 50 ! State-bank notes outstanding 2, 000. 00 . I Due to other national banks 474.00 ]! Due to State banks and bankers.. 51, 332. 58 2, 834. 91 '2,426.66 496. 73 34, 976. 05 10, 000. 00 $150, 000.00 34, 000. 00 8, 681. 91 36, 360. 00 5, 383. 65 Dividends unpaid Individual deposits ! United States deposits Deposits of U.S.disbursingoiiicersNotes and bills rediscounted Bills payable 521, 209. 83 58,156. 92 1,818.00 Liabilities other than those above stated 813,792.31 Total . 813, 792. 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 841 OHIO. First National Bank, Felicity. No. 2882. D. H. HOOVER, President. S. F. WATERFIELD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! ! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $80, 213. 00 Capital stock paid in. 2, 100 00 Due to other national banks Due to State banks and bankers. 17, 510. 93 Dividends unpaid 19.50 Individual deposits 10.66 United States deposits 9.20 Deposits of U.S.disbursingofficers 4, 709. 25 1, 040. 00 Notes and bills rediscounted. Bills payable 562.50 i I Liabilities other than those above ! stated 131, 074. 38 Total . $50,000.00 "12," 500.'66' Surplus fund Undivided profits, less current expenses and taxes paid 1, 000 00 National-bank notes outstanding. 400.00 State-bank notes outstanding 11, Total . 7, 600. 00 1,199. 03 11,250.00 1, 773.16 112. 00 59,140.19 131,074. 38 First National Bank, Findlay. No. 36. CHAS. E. NILES, President. GEO. P. JONES, Cashier. $291,453.84 Capital stock paid in. Loans and discounts. 841.19 Overdrafts 40,000.00 Surplus fund U. S. bonds to secure circulation... TJ. S. bonds to secure deposits.. Undivided profits, less current U. S. bonds on hand j . . . expenses and taxes paid Premiums on U. S. bonds |... National-bank notes outstanding. Stocks, securities, etc j 116,104.22 State-bank notes outstanding Bank'ghouse,furniture,and fixtures;... Other real estate and mortg's owned "21*420.00 Due to other national banks Due from other national b a n k s . ? . . . 15,740.71 Due to State banks and bankers. Due from State banks and bankers. . . . Due from approved reserve agents. 84, 787.71 Dividends unpaid 329.46 Checks and other cash items Individual deposits Exchanges for clearing house 1, 526. 00 j United States deposits Bills of other national panks 48.17 Depositsof U.S.disbursing.omeers. Fractional currency, nickels, cents. 21, 528. 00 Specie . p 10, 500. 00 Notes and bills rediacoirated. Legal-tender notes Bills payable U. S. certificates of deposit 1, 800. 00 Redemption funr* with Treas. U. S. 500. 00 Liabilities other than those above Due from Treasurer IT. S stated 606,579.30 Total . $150, 000.00 5, 000. 00 10, 762.86 36,000. 00 404, 816.44 606, 579.30 Total . American National Bank, Findlay. JACOB F . BURKET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtnres! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . N o . 3729. $206,393.14 1, 721. 79 35, 000. 00 L. W. EOFF, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 4,100. 00 899.12 31,500.00 4, 625.00 16, 686.39 6, 000. 00 9, 300. 00 Due to other national banks 4, 514. 96 Due to State banks and bankers. 27.35 110, 390. 53 Dividends unpaid 10,450. 74 Individual deposits I 2,495. 00 j United States deposits !. 310.87 I Deposits of U.S.disbnrsingofficers-i. 17,875. 00 20, 000. 00 Notes and bills rediscounted. Bills payable 1, 575.00 Liabilities other than those above stated 307,432.98 447, 365. 77 447, 365. 77 Total . 3, 433. 67 842 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Farmers' National Bank, Findlay, No. 3477. MILTON GRAY, President. J.G.HULL, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits X . S. bonds on hand T Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationaijbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $248, 413.18 j i Capital stock paid in 1, 040.25 29,000.00 Surplus fund j Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,000. 00 13, 262. 00 6, 770. 33 18, 930.13 j | Due to other national banks 5, 572. 64 $115,000. 00 15, 000.00 3, 325. 93 25,240. 00 815.41 Due to State banks and bankers.. 9,218.62 i Dividends unpaid. 359.09 i' Individual deposits 2, 255. 00 i j United States deposits 123.27 || DepositsofU.S.disbursingofficers. 15t 000. 00 ji 21, 000. 00 ll Notes and bills lediscounted '! Bills payable 1, 297. 00 i 214, 860.17 Liabilities other than those above stated Total. 374, 241. 51 374,241.51 First National Bank, Flushing. No. 3177. DAVID BRANSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand « Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house iJills of other national banks Fractional currency, nickels, cents. Specie Legal-tende? notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total . $119, 977. 71 317.11 12,500. 00 1,400.00 28, 280. 00 5, 257 00 8,400. 00 8, 587. 72 F. M. COWEN, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Duo to other national banks Due to State banks and bankers.. 4, 826.97 Dividends unpaid 355.92 Individual deposits 5.00 United States deposits 354. 81 Deposits of U.S.disbursing officers. 5, 511.50 4, 068.00 Notes and bills rediscounted Bills payable 212.50 ! Liabilities other than those above stated 200, 054. 24 Total . 5,000.00 1, 836. 92 11, 250. 00 585. 66 131,381. 66 200,054.24 First National Bank, Fostoria. A. EMERINE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items... Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 2831. $242,469.48 32.40 13, 000. 00 ALONZO EMERINE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less $50, 000.00 current 10, 000. 00 expenses and taxes paid National-bank notes outstanding. 76, 670. 00 State-bank notes outstanding 4,373. 83 11,700.00 Due to other national banks Due to State banks and bankers.. 704.63 1, 453. 29 1, 000. 00 1, 669.55 722.10 38, 907. 96 4, 541.07 15, 855. 00 244.14 43, 007.50 3, 500. 00 585. 00 442,204.20 Dividends unpaid Individual deposits United States deposits ( Deposits of U.S.disbursingofiicers-| 363, 972. 45 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total . 442, 204.20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 843 OHIO. First National Bank, Fremont. No. 2703. J. W. WILSON, President. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits XL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund withTreas. U.S. Due from Treasurer U. S $450,632.44 i 6. 610. 28 ! 25,000.00 | Surplus fund $100, 000.00 21, 000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 132. 535. 90 6 029 00 37, 000. 00 ; j Due to other national banks 5,707.03 li»Dueto State banks and bankers.. 5, 936. 85 22, 500.00 11,495.78 23, 470. 34 30 357.67 ij Dividends unpaid 4, 955. 06 Individual deposits 441.00 i i United States deposits 109. 29 j! Deposits of U.S.disbursingoflScers. 23, 058. 50 19 400.00 ;I Notes and bills rediscounted. 558, 558.20 Bills payable 1,125.00 742,961. 17 Total. A. H. MILLER, Cashier. Liabilities. Capital stock paid in. Liabilities other than those above stated Total . 742, 961.17 First National Bank, Galion. No 419. C. S. CRIM, President. Loans and discounts I Overdrafts | U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S.I Due from Treasurer U. S I A. W. MONROE, Cashier. Capital stock paid in $50, 000.00 Surplus fund ". Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks I Due to State banks and bankers..j I Dividends unpaid Individual deposits 5. 099. 00 1 United States deposits 1 30.54 |j Deposits of U.S. disbursing officers. 4,162. 00 24, 000. 00 Notes and bills rediscounted. j Bills payable 1, 650.00 j Liabilities other than those above stated Total . Citizens' National Bank, Galion. No. 1984. Loans and discounts (»verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. 17;950.00 5. 628. 00 974. 58 21.19 16 249. 77 1. 505.16 268,407. 30 Total. D. BACHELDER, President. $140,072.48 1. 064.58 50, 000. 00 $101,164. 70 858. 66 25, 000.00 30, 000. 00 862. 47 45, 000. 00 1, 468.85 132. 49 140, 943.49 268,407. 30 A. F . LOWE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current ex penses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 1,150.00 1 760.00 8, 500. 00 3. 639.15 Due to other national banks 932. 59 Due to State banks and bankers.. 1.874.04 25, 680. 05 Dividends unpaid 5, 294.13 Indi vidual deposits 2, 475. 00 United States deposits 24.50 Depositsof U.S.disbursing officers . 7,138. 00 12, 000. 00 j Notes and bills rediscounted. Bills payable 1,125. 00 $60,000.00 12, 000.00 3, 205. 21 22, 500.00 1, 992.44 155. 39 98, 762.78 Liabilities other than those above ! stated 198,615.82 ; Total . 198,615.82 844 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Gallon National Bank, Galion. O. L. HAYS, President. No. 3581. L. W. BLYTH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT, S. bonds Stocks, securities, etc Bank'g house, furniture, andfixturesj Otherreal estate and mortg's owned! Due from other national banks i Due from State banks and bankers. | Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks | Fractional currency, nickels, cents, j Specie j Legal-tender notes j TJ. S. certificates of deposit I Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $132, 012. 85 Capital stock paid in J 2,211.33 15, 000, 00 Surplus fund Undivided profits, less current expenses and taxes paid ! National bank notes outstanding 1,700.00 | State-bank notes outstanding.. 19, 249. 73 1,474.50 ! Due to other national banks \ 25, 016. 45 205. 42 | Due to State banks and bankers..! 10, 679. 04 | 1, 200. 67 Dividends unpaid $60, 000. 00 ! 2, 969. 00 Individual deposits 97.12 United States deposits j 6, 240. 00 16, 500. 00 Deposits of U.S.disbursingofficers, j Notes and bills rediscounted... 675. 00 j Bills payable Liabilities other than those above stated 143,183.27 Total. 235, 231.11 15, 000. 00 3.115. 38 13, 500. 00 19.59 412. 87 235, 231.11 First National Bank, Gallipolis. No. 136. H. R. BRADBURY, President. Loans and discounts i ! Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . W. G. WHEATON, Cashier. $112,582.37 I Capital stock paid in 2,813.04 20,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,000. 00 National-bank notes outstanding. State-bank notes outstanding.. $50, 000.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 291. 66 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 116, 670. 86 1, 265. 00 11, 500. 00 2, 795. 37 1,201.95 22, 398. 55 1, 686. 30 24. 57 13. 054. 75 4, 540. 00 900.66 10, 000. 00 1, 799. 38 18,000.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 196, 761.90 196,761.90 First National Bank, Garrettsville. E. C. SMITH, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... ] U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 2034. $133, 216. 68 4, 240.00 25,000.00 23, 500. 00 5, 000. 00 305. 89 5, 927. 00 4,101.24 244. 00 I, 270. 00 44.40 7, 205.50 7, 292.00 525.70 J . S. T I L D E N , Cashier. Capital stock paid in .. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $80, 000. 00 9, 400. 00 124.12 22,500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 2, 744. 38 104. 34 Individual deposits United States deposits Deposits of U.S.disbursing officers 102. 756. 5 7 * 243. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated , 217, 872.41 Total. 217, 872.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 845 OHIO. First National Bank, Geneva. No. 2719. W. H. HUNGER, President. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andtixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 189, 275.17 1,371.16 50, 000. 00 5, 000. 00 37,059. 04 40.00 600. 00 53.64 8,194. 50 2,091 2,250. 00 300.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 928. 58 45,000.00 Due to other national banks Due to State banks and bankers.. 6, 921. 20 633.14 15,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers - 125,751.59 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 296, 234. 51 Total. JAMES H. DUNN, President. I). S. ROBERTSON, Cashier. Liabilities. 296, 234. 51 Total . First National Bank, Georgetown. No. 2705. W. S. WHITEMAN, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S -i Total . $163,192. 98 483. 35 12, 500. 00 Capital stock paid in $50,000.00" Surplus fund Undivided profits, less current expenses and taxes i>aid National-bank notes outstanding. 2, 742. 50 State-bank notes outstanding 5, 000. 00 1,000.00 Due to other national banks Due to State banks and bankers. 3, 639. 33 Dividends unpaid 5d.77 Individual deposits 5,210.00 United States deposits 133. 84 Deposits of U.S.disbursing officers 17,920. 30 10, 355. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 222,793.57 10, 000. 00 2, 881. 37 10,100.00 220. 00 149, 592. 20 222, 793. 57 Total. First National Bank, Germantown. JOSEPH "W. SHANK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie " 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 86. $102,691.08 2, 047. 62 12, 500. 00 E. C. OBLINGER, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding. 5, 500. 00 State-bank notes outstanding 4, 000. 00 Due to other national banks 3, 042. 29 Due to State banks and bankers. 13,501.54 Dividends unpaid 15, 000.00 1, 500. 00 84.11 9, 070. 00 3, 000. 00 562.50 158, 499.14 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 3, 684. 06 11, 250. 00 210. 00 78, 355. 08 Notes and bills rediscounted. Bills payable. Liabilities other than those above stated Total. 158, 499.14 846 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Girard. No. 4884. A. W. KENNEDY, President. A. B. CAMP, Cashier. Liabilities. Resources. Total . $97,227.03 Capital stock paid in 67.88 Ij 12,500.00 |i Surplus fund Undivided profits, less current expenses nnd taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 782. 54 Due to other national banks 1,416.08 Due to State banks and bankers.. 787.03 Dividends unpaid 667. 03 Individual deposits 4,850.00 United States deposits 181.35 Depositsof U.S.disbursingofficers. 11,419.20 5, 625. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated , $50, 000. 00 143, 085. 64 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherrealestate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bank 3 Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S 143,085. 64 Total. 3, 500.00 1,361.92 10, 000. 00 5,546. 39 60,177. 33 12, 500. 00 Second National Bank, Greenville. No. 2992. W. K. KERLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and moitg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. S. A. HOSTETTER, Cashier. Capital stock paid in. $214, 375. 95 592.12 35, 000. 00 $100, 000.00 rp Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 12, 000. 00 I State-bank notes outstanding 25,000.00 2, 333. 96 31,500.00 830. 00 866. 64 ! Due to other national banks [ Due to State banks and bankers. i 4, 466. 79 738. 48 7, 295. 00 31.33 10, 938.15 10, 000. 00 1, 575. 00 Dividends unpaid Individual deposits United States deposits \ Deposits oi'U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 131, 875. 50 8, 000.00 Liabilities other than those above stated Total . 298, 709.46 298, 709.46 Farmers' National Bank, Greenville. G. W. STUDABAKER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1092. $204. 859. 68 1,302.86 50, 000. 00 6, 000. 00 4. 700. 00 12, 000. 00 6, 532. 55 3,840.71 4, 830. 76 ' " 6," 270 "66 128. 03 10, 809. 00 15.000.00 J . M. LANSDOWNE, Cashier. Capital stock pa id in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. $84, 000. 00 50,000.00 4, 844. 43 45, 000.00 1,126. 00 143,553.16 Notes and bills rediscounted. Billspayable 2, 250. 00 Liabilities other than those above stated 328, 523. 59 Total. 328, 523.59 KEPORT OF THE COMPTROLLER OP THE CURRENCY. 847 OHIO. First National Bank, Hamilton. S. D. FITTON, No. 56. President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $812,832. 07 8, 378. 66 100, 000. 00 10, 000. 00 88,844.18 684.00 3,310.45 4,156. 37 96, 838.46 4, 733. 88 13, 484. 00 170. 38 24, 246. 00 30,000. 00 4, 500. 00 $100,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 85,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 16, 964.29 367.46 Individual deposits United States deposits Deposits of U .S.disbursing officers. 897,154. 61 17,192.09 85, 500. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1,202,178.45 Total . ERNST G. RUDER, Cashier. Liabilities. 1, 202,178.45 Second National Bank, Hamilton. W M . E. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from. State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 829. $460, 396. 70 5, 566. 59 100, 000. 00 100. 00 7.00 24,139. 23 24, 000. 00 4, 925. 00 17, 466. 20 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 47,160. 21 Dividends unpaid 1, 344.17 Individual deposits "4," 834.'66' United States deposits 1459. 25 Depositsof U. S. disbursing officers. 9, 228. 50 40, 000. 00 4,'500.66 743, 836.85 Total. C. E. HEISER, Cashier. Capital stock paid in. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 50, 000. 00 11,800.41 90, 000. 00 6,312.11 435, 724.33 743, 836. 85 Miami Valley National Bank, Hamilton. PETER MURPHY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g ho use,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 3840. $296, 032. 39 6, 995. 58 60, 000. 00 50, 000. 00 50,000. 00 21, 750. 00 6, 500. 00 7, 000.00 1,185. 60 868.13 1, 502.10 23,185. 73 4, 465. 91 983. 00 19.34 1,738.00 37, lOi). 00 2, 700. 00 572,025.78 F. S. HEATH, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 20, 000.00 Due to other national banks Due to State banks and bankers.. 10, 692.89 7, 036.40 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated U. S. bond account Total . 1,106.04 54,000.00 306.00 256,102. 61 45, 000. 00 19,531.84 58, 250.00 572,025. 78 848 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Hicksville. No. 4887. F . N. HORTON, President. W. E. DITTENHAVER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other realestate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Cnecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $85,255. 64 12, 500. 00 406. 25 5,400. 00 9, 785. 02 16, 501.19 2,486.59 j 925.00 619. 34 3, 226. 00 3, 500. 00 562. 50 Capital stock paid in I $50, 000.00 Surplusfund Undivided profits, less current I expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ! 4,119.83 Due to other national banks i Due to State banks and bankers . J Dividends unpaid. I Individual deposits United States deposits ! Deposits of U.S. disbursing oflicers. 134. 94 74,541. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 141,167. 53 Total 1,121. 76 11,250.00 Total. 141,167. 53 First National Bank, Hillsboro. No. 787. S. P . SCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,and fixtures Other real estate and mortg'sowned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fiactional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $273,494. 72 465. 50 25,000.00 11,524.44 11, 672. 54 63, 865.03 1, 350. 94 23, 661. 79 86.00 636.47 6, 000. 00 153. 00 5,349. 30 11, 000. 00 1,125. 00 JOHN HULITT, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 Due to other national banks Due to State banks and bankers.. 1,314.77 4, 243.96 20, 000. 00 22, 500. 00 Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. 287, 326. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 435, 384. 73 Merchants' National Bank, Hillsboro. E. L. FERRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . s . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 2449. J. MATTHEWS, Cashier. Capital stock paid in. , Surplusfund | Undivided profits, less current 000.00 | expenses and taxes paid 287.50 j National-bank notes outstanding. 922. 05 • State-bank notes outstanding !Too7ooo7oo 20, 000.00 5,422. 04 54, 000.00 774.70 Duo to other national banks Due to State banks and bankers.. Dividends unpaid 5,144. 97 Individual deposits 440." 00" United States deposits 12. 68 Depositsof U.S. disbursing officers. 158,803.82 309. 75 42. 326.65 870. 73 340. 05 500. 00 1.460.00 I 343,490.83 l| 120.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 343, 490.83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 849 OHIO. First National Bank, Huron. A. WUNDERLY, President. No. 4778. T. M. SPROWL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house, furniture, andfixtu res; 1 Other real estate and niortg s owned' Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $50, 000.00 119,941.80 Total. $72, 870. 50 Capital stock paid in 92.39 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 2, 021. 09 Due to other national banks Due to State banks and bankers. 21,624. 51 Dividends unpaid 708. 40 Individual deposits "l, 090. 00 j United States deposits 56.91 DepositsofU.S.disbursingofficers. 1,902.70 6, 000. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above 119, 941. 80 1,498.00 885.13 11,250.00 150. 00 56,158. 67 stated Total. First National Bank, Ironton. No. 98. HALSEY C. BURR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $489, 794.15 389. 66 139,600. 00 14, 214. 87 43, 980. 47 14, 364. 84 4,291.16 2, 514. 22 344. 62 77, 682. 58 7, 230. 07 6, 599. 202. 18, 808. 12, 333. 00 38 55 00 6, 282.00 E. W. BIXBY, Cashier, Capital stock paid in . $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofn< 4, 800. 00 10, 927. 33 125, 640. 00 5, 208. 99 1, 504. 65 390, 550. 60 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 838,631. 57 838,631.57 Second National Bank, Ironton. C. C. CLARKE, President. $374, 519. 20 4, 875. 51 70,000. 00 7,166.65 27, 925. 00 12, 000. 00 32, 832. 76 3, 026. 69 21,861.51 3,331.30 610. 00 111.37 25, 496.55 12, 245. 00 3,150.00 ] 599,151.54 Total. http://fraser.stlouisfed.org/ PT 2 CUR, Federal Reserve Bank of St. Louis R. MATHER, Cashier. No. 242. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 54 Capital stock paid in . $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes x>aid National-bank notes outstanding. State-bank notes outstanding 33, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 890. 91 Individual deposits United States deposits DepositsofU.S.disbursing officers. 238, 756.12 5,427. 51 63, 000. 00 77.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 599,151. 54 850 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Citizens' National Bank, Ircmton. No. 4336. WILLIAM M. KERB, President. CHAS. LINTNER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits X S. bonds on hand L Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks J Due from State banks and bankers. j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $211, 771. 98 2, 545.13 25, 000. 00 3, 000.00 3,500. 00 1, 800. 00 4,916. 83 1,301.81 $100, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 7, 779. 96 Dividends unpaid 2, 718. 84 Individual deposits 940. 00 United States deposits 68.35 DepositsofU.S.disbursing officers. 13, 356. 50 4, 515.00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated Total. 284, 339.40 9, 500.00 1,904.64 22, 500. 00 577. 54 5,237.68 144, 619. 54 284,339.40 First National Bank, Jackson. No. 1903. T. S. MATTHEWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $165, 476.84 516. 66 12, 500. 00 1, 000.00 17, 500.00 8, 000. 00 5, 540. 72 629. 40 6, 894.49 3,768.94 514. 00 667. 61 14, 260. 00 2, 050. 00 562.50 310.00 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,196. 92 Individual deposits United States deposits DepositsofU.S.disbursmgofficers- 2, 903. 34 11,250. 00 161,840. 90 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 238,191.16 Total . T. J. EDWARDS, Cashier. Capital stock paid in. Total . 238,191.16, First National Bank, Jefferson. N. E. FRENCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits „„ U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 427. $168, 306. 72 3,195.18 70, 000. 00 4. 388. 40 3,000. 00 10,166.16 7,112.11 7,594.88 75, 823.43 820. 48 1, 330. 00 26.73 21, 640. 00 1, 000. 00 1, 860. 00 376,264.09 D. L. CROSBY, Cashier* Capital stock paid in. $70, 000.00) S u r p l u s fund 14, 000. 00. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 24,564.1560,100.0G Due to other national banks Due to State banks and bankers.. Dividends unpaid 12,124.7ft 1,882.99* Individual deposits United States deposits DepositsofU.S.disbursing officers. 193,592.19 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 376, 264.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 851 OHIO. Kent National Bank, Kent. No. 652. MARVIN KENT, President. W. H. C. PARKHILL, Cashier. Resources. Loans and discounts... .* Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $73,063.85 Capital stock paid in. 543. 26 60, 000. 00 Surplus fund Undivided profits, less current 10, 000. 00 expenses and taxes paid 5, 700. 00 National-bank notes outstanding. 4,032.07 State-bank notes outstanding $100, 000.00 20, 000. 00 5, 644.41 52, 250. 00 25, 000.00 9, 949. 64 28,091.16 30, 778. 98 1, 427. 22 1, 015. 00 520. 42 11,731.00 800. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 4, 742. 62 643.61 Individual deposits United States deposits Deposits of U. S.disbursing officers. i2,071.96 Notes and billsrediscounted... Bills payable 700. 00 Liabilities other than those above stated Total. 265, 352. 60 265, 352.60 First National Bank, Kenton. SOLOMON L. HOGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiumson U. S.bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. W. GRAMLICH, Cashier. No. 2500. $127,606.58 Capital stock paid i n . . $50,000.00 308.18 12,500. 00 Surplus fund. 45, 000, 00 Undivided profits, less current 2, 282. 99 expenses and taxes paid 11, 250. 00 | National-bank notes outstanding 17, 730.60 State-bank notes outstanding 500. 00 Due to other national banks 744.66 25.00 Due to State banks and bankers.. 13, 083. 32 Dividends unpaid 220. 83 Individual deposits 78,132. 37 51.00 United States deposits !. 16.40 Deposits of U.S. disbursing officers.!. 11, 735.95 1,481.00 Notes and bills rediscounted. Bills payable 562.50 100. 00 Liabilities other than those above stated 186, 665. 36 Total. 186, 665. 36 Kenton National Bank, Kenton. ASHER LETSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 3505. $201,112.72 3, 608. 26 25, 000. 00 1, 510.86 HUGH L. RUNKLE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding $100, 000.00 11, 500.00 3, 356. 30 22/500.00 Due to other national banks j Due to State banks and bankers.. Dividends unpaid !. 4, 799. 63 141. 86 Individual deposits ! i. 1,400. 00 United States deposits 66.21 Deposits of U.S.disbursingofficers. |. 13.888.25 | 10, 000. 00 Notes and bills rediscounted. Bills payable 315.00 Liabilities other than those above stated 109, 779. 52 15,031.48 144.53 272. 077. 31 Total. 20, 000.00 272,077. 31 852 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Kinsman National Bank, Kinsman. H. L. BUBNHAM, President. N o . 3077. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.andfixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Hills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT, S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $88,807. 00 1,288.80 17, 500. 00 49, 092. 60 4, 935. 00 11,964.50 3,537.73 5, 708. 72 26, 660. 88 119.32 233.00 69.16 9,550. 00 200. 00 787. 50 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding State-bank notes outstanding 6, 616. 00 ~, 827.41 14, 950. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 7, 670. 64 371.49 Individual deposits United States deposits Deposits of U.S.disbursingofiicers 129,843. 67 81.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 220, 460. 21 Total. G. W. BIRRELL, Cashier. Liabilities. Total. 3,100. 00 220, 460. 21 Hocking Valley National Bank, Lancaster. H. A. MARTENS, President. No. 1241. I Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Baiik'ghouse,furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $141,620,46 2, 498. 82 30, 000. 00 14. 536. 00 11,700.00 930. 51 368.18 15,142. 20 2, 271. 69 1, 000.00 137.36 17, 237. 05 8, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 12,000.00 3,509.09 27, 000, 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 143,639. 58 Notes and bills rediscounted. Bills payable 706.40 Liabilities other than those above stated 246,148.67 Total. E D . MITHOFF, Cashier. Capital stock paid in. Total . 246,148. 67 Citizens' National Bank, Lebanon. J . F. BENHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . THOS. HARDY, Cashier. No. 4239. $50, 000. 00 Capital stock paid in. Surplus fund 0, 200. 00 Undivided profits, less current 2,371.73 expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 11, 250. 00 6, 200. 00 State-bank notes outstanding $120,108.59 48.22 12, 500. 00 2, 000.00 2, 300. 00 493.87 3,326.95 426. 96 78.22 14,434. 60 723. 00 562.50 I 164,452.91 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 91, 631.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 164,452.91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 853 OHIO. Lebanon National Bank, Lebanon. J. M. HAYNEE, President. No. 23G0. -JOSEPH. M. Or. LESLEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $152,513.78 3,491.60 12, 500. 00 2, 500. 1, 582. 46, 300. 1, 500. 00 50 00 00 1,080.58 41,168.64 85.08 1, 272. 00 266.13 16,858.70 10, 000. 00 562. 50 Capital stock paid in $50.000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 45,000.00 6, 663. 58 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 291, 681. 57 Total. 176, 978. 31 1, 789.68 291,681.57 First National Bank, Leetonia. No. 3519. CHARLES N. SCHMICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JOHN LEAVITT, Cashier. $207, 267. 97 1 Capital stock paid in. 1 13, 774. 28 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 6,346. 05 National-bank notes outstanding. 1, 200. 00 State-bank notes outstanding 2,143.12 Due to other national banks Due to State banks and bankers.. 6, 365. 91 Dividends unpaid 269. 64 Individual deposits 505. 00 United States deposits i 72.21 Deposits of U .S.disbursing officers. i 25, 321. 40 7, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 322, 515.58 Total $100, 000. 00 10, 828. 77 803. 91 45, 000. 00 62.42 165, 820. 48 322, 515. 58 First National Bank, Lima. S. S. WHEELER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer TJ. S Total. No. 2035. $278,236.61 4, 484. 38 25, 000. 00 2, 500. 00 12, 315. 95 8, 500. 00 29, 838.18 4,219.88 1,130. 25 117,013.24 29.92 5, 000. 68. 16, 566. 20, 000. 00 07 50 00 1,125. 00 526, 027. 98 C. D. CRITES, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4,233. 77 22, 500. 00 Due to other national banks Due to State banks and bankers.. 686. 38 3, 966. 37 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 394,641.46 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 526, 027. 98 854 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Ohio National Bank, Lima. No. 3772. J . C. THOMPSON, President. L. H. KIBBY, Cashier. Resources. Loans and discounts Overdrafts 0". S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on band Premiums on TJ. S. bonds I Stocks, securities, e t c . . . . Bank'ghouse,furniture,and fixtures) Other real estate and mortg's owned j Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $277, 272.43 3, 272.21 30,000. 00 1, 000. 00 Capital stock paid in. Due to other national banks Due to State banks and bankers.. 970. 32 408.07 64,191. 60 3,752.06 Dividends unpaid 411,145.17 Total. $120,000.00 Surplus fund Undivided prcfits, less current expenses and taxes paid National-bank, notes outstanding. State-bank notes outstanding Total . 6, 850. 00 4, 930. 43 27,000. 00 3,381.33 1, 061. 22 459. 00 I Individual deposits ! 4, 035. 00 United States deposits j 108. 48 Deposits of U.S.disbursing officers, j 7, 785. 00 17, 00U. 00 Notes and bills rediscounted Bills payable j " 1,350- 66 Liabilities other than those above j stated 247,463.19 411,145.17 First National Bank. Lockland. GEORGE W. WALKER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 4133. $101,281.24 25. (0 12,500.00 440.00 25,170. 63 2, 000. 00 16,489.00 [ 213. 60 ! 2, 250. 00 158. 54 4, 303. 00 3, 410. 00 562. 5'J O. C. WILLIAMS, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding...'.. 3, 000. 00 2, 778.43 11, 250. 00 Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers. 101, 662.40 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated 168,803.56 Total. 168, 803. 56 Madison National Bank, London. STEPHEN WATSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1064. $303, 820.56 3, 716.42 30, 000. 00 WYATT MINSHALL, Cashier. Capital stock paid in. $120, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding.. 24, 000. 00 4, 759. 63 27, 000. 00 2, 226. 50 337.03 2, 706. 20 520. 07 2, 014. 00 61.65 18, 479. 00 7, 000. 00 " 1, 350. 66 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4,140. 55 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable 170,878.25 • 11,453.00 10, 000. 00 Liabilities other than those above stated 372, 231.43 Total . 372,231. 43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 855 OHIO. Malta National Bank, Malta. J. M. ROGERS, President. N o . 2052. J. W. ROGERS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherrealestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $99, 099. 02 963. 94 20,000. 00 1, 360. 00 1,000.00 6, 234. 24 990.19 801.20 23, 825.15 2, 798. 41 2,466.00 117. 90 7,128. 00 3, 500. 00 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 600. 00 3, 523. 65 17, 700. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 70, 354.40 Notes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above stated 171,178. 05 Total . . . 171,178. 05 Citizens' National Bank, Mansfield. No. 2577. G. F . CARPENTER, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 316,031.22 |j Total . S. A. JENNINGS, Cashier. 5228, 475. 88 j Capital stock paid in. 6,982.78 25, 000. 00 i Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. 1,400.00 State-bank notes outstanding. 500.00 Due to other national banks 11,342.97 Due to State banks and bankers.. 760.01 16,182. 80 Dividends unpaid 4, 561. 78 Individual deposits 1,781.00 United States deposits 69.00 Deposits of U.S.disbursing officers 3,150. 00 15, 000. 00 Notes and bills rediscounted. Bills payable 825.00 Liabilities other than those above stated Total . $100, 000. 00 42, 000. 00 1, 859. 55 22, 500. 00 1, 486. 77 1, 647. 23 146, 537. 67 316, 031. 22 Farmers' National Bank, Mansfield. No. 800. W. "W. COCKLEY, President Loans and discounts () verd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption.fund with Treas. U. S. Due from Treasurer U. S |_ Total . EDWARD REMY, Cashier. $235,227.90 !i Capital stock paid in 512.56 37, 500. 00 ;| Surplus fund | Undivided profits, less current j j expenses and taxes paid 3, 000. 00jj National-bank notes outstanding. 13, 750. 75ji State-bank notes outstanding 25, 000. 00 112.00 1 Due to other national banks 1 10, 946.47 ji Due to State banks and bankers.. 982.77 15,874.20 Dividends unpaid 5,199. 55 Individual deposits 2,801.00 United States deposits 740. 68 Deposits of U.S.disbursingofficers 13,447.23 24,100. 00 Notes and bills rediscounted. Bills payable 1, 687. 50 | Liabilities other than those above i stated 390, 882. 61 Total . $150, 000. 00 3, 000. 00 1, 921. 46 33, 750. 00 3, 073. 68 14, 620. 65 184, 516. 82 390, 882. 61 856 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Marietta. W. W. MILLS, President. No. 142. J. S. GOEBEL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S $528, 041. 56 3, 252. 86 100, 000. 00 12, 000. 00 15,000. 00 12,000.00 4, 000. 00 9, 754. 75 9, 372. 22 90, 269.09 11,217.54 266. 00 270. 80 24, 913. 50 35,478. 00 Capital stock paid i n . 30, 000.00 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 9, 512. 33 10,670.51 23, 708. 28 90, 000. 00 Dividends unpaid I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursingofficers. 546,445. 20 Notes and bills rediscounted. Bills payable 4, 500.00 Liabilities other t h a n those above stated I 860, 336. 32 Total . $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 10, 336. 32 Citizens' National Bank, Marietta. A. T. NYE, President. No. 4164. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse,f urniture,and fixtures Other realestate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $208, 372.15 692.00 25, 000. 00 E. M. BOOTH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2, 500. 00 National bank notes outstanding. 13, 000.00 State-bank notes outstanding 26, 000.00 Due to other national banks 6,003.43 Due to State banks and bankers.. 63, 207. 78 Dividends unpaid 267. 78 Individual deposits 670.00 United States deposits 159.30 Deposits of U .S.disbursin gofiicevs. 11, 531. 50 5, 395. 00 Notes and bills rediscounted "i," 125." 66' Bills payable Liabilities other than those above stated 363, 923.94 Total. $100, 000. 00 20, 000.00 7, 056. 39 22,180. 00 2,416. 87 7,199.81 205, 070. 87 363, 923. 94 First National Bank, Massillon. C. STEESE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total J . M. SCHDCKERS, Cashier. No. 216. $737, 614.63 Capital stock paid in. $150, 000. 00 1, 296. 91 150,000.00 Surplus fund 50, 000. 00 Undivided profits, less current 77, 318. 58 expenses and taxes paid 12,100. 00 National-bank notes outstanding. 135, 000. 00 69, 798.45 State-bank notes outstanding 3, 000.00 18, 660. 26 Due to other national banks i 809.14 Due to State banks and bankers.. I 5, 005.44 3, 642. 94 I 31,861.01 450. 00 j 660.15 Dividends unpaid 526, 735. 43 Individual deposits 676.00 United States deposits 19.87 DepositsofU.S.disbursingofficers. 42, 534.62 10, 000.00 Notes and bills rediscounted 103,514.01 Bills payable 6, 750.00 Liabilities other than those above stated 4, 080.00 1,070,763.72 Total 1,070,763.72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 857 OHIO. Merchants' National Bank, Massillon. JAMES W. MCCLYMONDS, President. No. 4286. WM. F. KICKS, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniture^ndfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $524,310. 86 248.00 56, 000.00 19, 500. 00 98376 26, 560.14 5, 649. 68 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $150, 000. 00 30, 000. 00 13, 864. 63 50, 400. 00 9, 420.14 1, 528.68 Dividends unpaid Individual deposits 600.00 United States deposits 34. 64 Deposits of U. S.disbursing officers. 19, 400. 00 3, 000. 00 Notes and bills rediscounted Bills payable 2, 520. 00 Liabilities other than those above 2.50 stated U. S. bond account Total. 658, 809. 58 323, 096.13 24, 500. 00 56, 000. 00 658, 809. 58 Union National Bank, Massillon. No. 1318. J . COLEMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $429,815.71 1,324.43 50, 500. 00 5, 050.00 12, 073. 01 6, 000. 00 1,101. 50 3,128. 96 651. 00 J. H. HUNT, Cashier. Capital stock paid in. $150, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 30, 000. 00 19, 375.13^ 45, 450. 00' 5, 775. 24 373. 58 Individual deposits United States deposits Depositsof U.S. disbursing officers. 32, 268. 39 1,175. 00 892.50 269, 310.02 Notes and bills rediscounted Bills payable Liabilities other than those above stated 23, 696.53 Total. 543, 980.50 543, 980.50 Vinton County National Bank, Me Arthur. D. WILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall>anks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. N o . 2036. $86, 333. 39 815. 74 35, 000. 00 263.12 44,097. 67 2, 000. 00 2, 500.00 4, 099. 30 J. W. DELAY, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 Due to other national banks Due to State banks and bankers.. 1, 712. 02 1,944.95 18,674. 95 Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted. Bills payable 4,180.15 31, 500. 00 Dividends unpaid 1, 000. 00 38.74 20, 657. 00 5, 000. 00 10,000. 00 1,575.00 222, 054. 91 Liabilities other than those above stated U. S. bond account Total. 110, 217. 79 12,500.00 222, 054. 91 858 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, McConnelsville. . JONES, President. No. 2712. J. T. STANTON, Cashier. Resources. Liabilities. .89,467.31 Capital stock paid iu j 2,635.21 ' 25,000.00 j!i Surplus fund i Surplus fund ! I Undivided profits, less current Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cas>h items Exchanges for clearing house Bills of other national banks. • I expenses and taxes paid || National-bank notes outstanding . ji State-bank notes outstanding $100,000.00 14,000.00 3, 082. 30 21, 050. 00 1, 450. 00 'i'Yi'o'.ii 10. 946. 09 2, 606. 70 Fractional currency,nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . Due to other national banks j Due to State banks and b a n k e r s . . j . 229. 01 Dividends unpaid. 123,530.50 ! | Individual deposits 2, 878. 00 !; United States deposits «o an DepositsofU.S.disbursingofflcers. 16,000.00 8, 000. 00 Notes and bills rediscounted. Bills payable 1,125.00 10.60 |i Liabilities other t h a n those above l| stated 261, 891. 81 Total. 261,891.81 Old Phoenix National Bank, Medina. R. M. MCDOWELL, President. No. 4842. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits I U. S. bonds on hand Premiums on TJ. S. bonds ! | Stocks, securities, etc j Bank'g house,furniture,and fixtures1 Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. j Due from approved reserve agents. j Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $265, 654.13 618.26 19, 000. 00 B. HENDRICKSON, Cashier. Capital stock paid in. $75, 000.00 Surplus fund I Undivided profits, less current i expenses and taxes paid 1,500.00 National-bank notes outstanding. 28, 000.00 State-bank notes outstanding 41,941.95 670. 64 463.00 161.23 G 974. 45 , 400. 00 855. 00 2, 000. 00 3, 598. 37 17,100. C O Due to other national banks Due to State banks and bankers..! Dividends unpaid. 3,424. 63 Individual deposits j United States deposits DepositsofU.S.disbursingomcers. | 265,115. 66 Notes and bills rediscounted Bills payable I j i Liabilities other than those above j stated i. Total Total. 366, 238. 66 First National Bank, Miamisburg. N. J. CATROW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,aud fixtures Other real estate aod mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ; U. S. certificates of deposit j Redemption fund with Treas. U. S. j Due from Treasurer U. S No. 3876. W. A. BLACK, Cashier. $484,917.21 | Capital stock paid in j 1,353.53 25,000.00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 26, 000. 00 State bank notes outstanding 13, 000. 00 Due to other national banks i Due to State banks and b a n k e r s . . i. 50, 000. 00 24, 350.18 22, 500. 00 6, 055. 84 22,449.23 |! Dividends unpaid. 536.68 | Individual deposits 258.00 i United States deposits 166.36 j Depositsof U.S.disbursingofficers. 32,837.00 ; 5,000.00 Notes and bills rediscounted. Bills payable ! 1,125.00 Liabilities other than those above stated Total. $100, 000. 00 612,643.01 Total. 409, 736.99 , 612, 643.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 859 OHIO. Citizens' National Bank, Miamisburg. No. 4822. WILLIAM GAMBLE, President. TOM V. LYONS, J R . , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand ; Premiums on U. S. bonds I Stocks, securities, etc j Bank'ghouse.furniture^and fixtures; Other real estateand mortgs owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S Liabilities $241, 575. 94 73.66 25. 000. 00 Capital stock paid in $100, 000. 00 20, 000. 00 8,891.69 22, 500. 00 2, 000. 00 I Due to other national banks 1,008.40 I Due to State banks and bankers 15 647.42 I Dividends unpaid 606. 07 | Individual deposits | 180. 00 i United States deposits ; 118.47 Deposits of U.S.disbursing officers, j. 12,105. 65 3,168.00 Notes and bills rcdiscounted Bills payable 1,125. 00 Liabilities other than those above stated 305,108. 61 Total. | Surplusfund Undivided profits, less current | expenses and taxes paid 2, 500.00 ! National-bank notes outstanding. ; State bank notes outstanding 1,233.62 152,483. 30 305,108. 61 Total . Middleport National Bank, Middleport. GRIFF MICHAEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. E. C. Fox, Cashier. No. 4472. $71, 668. 90 | Capital stock paid in. | "i2," 500." 66'| Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 635. 64 State-bank notes outstanding 7, 500. 00 Due to other national banks 228. 52 Due to State banks and bankers.. 1,041.55 2, 696. 21 Dividends unpaid 346.93 Individual deposits "828. 00 United States deposits 62.85 Deposits of U. S.disbursing officers. 1, 615. 50 6, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 105, 686. 60 $50,000,00 4, 800. 00 11, 250. 00 1,537.57 33, 099. 03 5, 000. 00 105, 686. 60 Total . First National Bank, Middletown. R. WILSON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents.j Checks and other cash items | Exchanges for clearinghouse j Bills of other national banks j Fractional currency, nickels, cents.| Specie Legal-tender notes. • U. S. certificates of deposit Kedemption fund with Treas. U. S.i Due from Treasurer U, S j Total. No. 1545. $310,061.66 3.62 40,000. 00 5, 250. 00 19,286. 37 4,000. 00 34,130. 20 37,681.10 88.55 1, 550. 136. 19, 330. 4, 000. 00 77 05 00 1,800.00 477, 318. 32 F. A. JONES, Cashier. Capital stock paid in ! $150,000.00 Surplus fund Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.| State-bank notes outstanding.. 50, 000. 00 11,214.78 36, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposit s of U.S.disbursing officers . 230,103. 54 Notes and bills rediscounted Bills payable Liabilities other than those above j stated L Total . 477, 318. 32 860 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Merchants' National Bank, Middletown. No. 2025. PAUL J. SORG, President. Loans and discounts Overdrafts TL S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate andmortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $496,618.78 10.22 100. 000. 00 53,000. 00 12, 000. 00 80, 085. 00 21, 715. 54 26, 710. 00 112.73 27,437. 63 1, 545. 38 215.00 422.18 11,934.20 7, 821. 00 4, 500. 00 Liabilities. Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding [. Due to other national b a n k s j D u e to State banks a n d b a n k e r s . . ' . Dividends unpaid |j Individual deposits j United States deposits I Deposits of U.S.disbursingoflScers. I Notes and bills rediscounted Bills payable $200, 000. 00 100, 0Q0.00 119,149.54 90, 000. 00 11, 218. C 37.50 278, 722. 54 45, C O 00 O. i ! Liabilities other than those above stated 844,127.66 Total. J. W. Bo YD, Cashier. II Resources. Total . 844,127. 66 Milford National Bank, Milford. J. B. IUEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned! Due from other national banks Due from State banks and bankers. P u e from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3234. F. L. Coox, Cashier. $82, 526. 38 Capital stock paid in. $50, 000.00 6.31 50, 000. 00 Surplus fund 3, 400. 00 Undivided profits, less current expenses and taxes paid 2, 003.15 6, 000. 00 National-bank notes outstanding. 44, 995. 00 18, 366. 30 State-bank notes outstanding j 1,930.00 Due to other national banks !. Due to State banks and bankers.. \. 10. 736. 30 j 164. 63 Dividends unpaid j llh. 00 Individual deposits 219. 22 |j United States deposits !. 4,124. 60 1 1, 215. 00 1 Deposits of U.S.disbursing officers.! j Notes and bills rediscounted 2,250.00 Bills payable I. Liabilities other than those above stated 177, 653. 74 Total . 39.00 77, 216.59 177,653.74 First National Bank, Monroeville. H. P. STENTZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,fumiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2438. $155,904.47 6, 560. 81 50, 000. 00 5, 000. 00 630. 60 8, 000. 00 2, 370. 92 12. 500. 00 8, 385. 09 233. 07 22, 845. 43 7.00 " """480."66" 23.19 14,600.00 3, 500. 00 B. W. SALISBURY, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 10, 000. 00 1, 049.38 45, 000. 00 | Due to other national banks Duo to State banks and bankers.. Dividends unpaid Individual deposits j 185,731.20 United States deposits L. Depositsof U.S.disbursingofficers. 1 .. Notes and bills rediscounted. Bills payable 740. 00 Liabilities other than those above j stated 291, 780. 58 Total I 291, 7'80. 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 861 OHIO. First National Bank, Mount Gilead. W. M. CAELISLE, President. No. 258. J. G. RUSSELL, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbou8e,furniture, and fixtures Other real estate and mortg's owned Due from other national bauks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $110, 770. 61 563. 76 12, 500. 00 2, 675. 00 5, 700. 00 593. 84 284. 50 13, 000. 22 810.20 1, 250. 00 38.80 9, 467. 90 800. 00 562. 50 Capital stock paid in. Due to other national banks Due to State banks and bankers. Dividends unpaid 3,500. 00 2, 323. 22 11, 250. 00 1,362.48 22.50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 90, 559.13 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 159,017.33 Total . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 159, 017.33 Total . Morrow County National Bank, Mount Gilead. M. BURR TALMAGE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2459. $113, 889.15 1,201.01 25, 000. 00 1,406.25 3,000. 00 8,047. 28 1,178. 21 "i,"253.'49' 26, 942. 02 595. 00 10.86 6, 608. 00 3, 000. 00 1,125. 00 Total . SAMUEL P. GAGE, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 1, 768. 02 22, 500.00 Dne to other national banks Due to State banks and bankers.. Dividends unpaid 317.44 210. 58 Individual deposits United States deposits Deposits of U.S. disbursingofficers. 108, 307.23 153. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 193, 256. 27 Total . 193, 256. 27 First National Bank, Mount Pleasant. R. W. CHAMBERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Kxchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Total No. 492. $248,206. 86 50,000. 00 6,100. 00 21, 297. 06 4, 350.00 788. 54 8,085. 75 7, 205. 91 » 7,435. 00 49.54 5,650 00 4, 390.00 2,250.00 I. K. RATCLIFF, Cashier. Capital stock paid in. $175,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35,000, 00 Due to other national banks Due to State banks and bankers.. 384. 37 966.09 5, 272. 86 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 104,185. 34 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 365, 808. 66 Total . 365, 808. 66 862 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Mount Vernon. No. 908. C. DELANO, President. FRED. D. STURGES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock s, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. $72, 789. 95 220. 39 12, 500. 00 60, 500. 00 13, 695. 00 11,650.00 49, 922. 27 2, 452. 01 16,415.97 1, 244. 95 2, 770'bb 172.06 23,105.15 41, 932. 00 562. 50 Capital stock paid in $50, 000. 00 fund Surplus lund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15,000 00 Due toother national banks Due to State banks and bankers.. Dividends unpaid 4, 625. 38 247.90 Individual deposits United States deposits Deposits of U.S.disbursing officers 237, 938. 54 2, 020. 43 100. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 309. 932.25 Total. 309, 932.25 Knox National Bank, Mount Vernon. HENRY L. CURTIS, President. N o . 3328. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds ' Stocks, securities, etc I Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels.cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $136, 261. 26 710. 88 23,000. 00 J N O . M. EWALT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 10, 300. 00 State-bank notes outstanding 760.00 Due to other national banks 4,474. 74 Due to State banks and bankers.. 1, 390.75 11,154. 06 Dividends unpaid 762. 26 Individual deposits 12,800. 00 United States deposits 57.76 Deposits of U.S.disbursing officers. 14,450. 00 10, 000. 00 Notes and bills rediscounted. Bills payable 1, 035. 00 Liabilities other than those above stated 227,156. 71 Total. $50, 000.00 6,400. 00 1, 300. 51 20, 700. 00 1,416. 02 4, 525. 87 142, 814.31 227,156. 71 First National Bank, Newark. J . BUCKINGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. F. S. WRIGHT, Cashier. No. 858. $236,167. 32 Capital stock paid in. $100, 000. 00 1, 541. 62 30, 550. 00 Surplus fund 20,000. 00 Undivided profits, less current 16, 608. 38 expenses and taxes paid 2,246. 52 National-bank notes outstanding. 27,495. 00 10, 053. 01 State-bank notes outstanding 16, 804.92 Due to other national banks 14,437.58 9, 966.16 Due to State banks and bankers. 894. 76 11, 032. 52 Dividends unpaid. 4, 377. 01 170, 388. 98 Individual deposits. 3,144. 00 United*States deposits 21.25 Deposits of U.S.disbursingofficers. 15, 745. 00 Notes and bills rediscounted. 5, 000. 00 Bills payable 1, 374.75 11.10 Liabilities other than those above stated 348,929. 94 Total. 348, 929. 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 863 OHIO. People's National Bank, Newark. W. N. FULTON, President. No. 3191. J. H. FRANKLIN, J R . , Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... 13. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items: Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S Liabilities. $340,184.57 1, 260. 94 50, 000. 00 4, 800. 00 4,830. 80 10, 000. 00 3, 000. 00 2, 900. 00 2, 499. 74 4,210.38 34,101.11 5, 222. 36 5, 700.00 181.92 11,000.00 15. 000. 00 2, 250. 00 Capital stock paid in 30,000. 00 Duo to other national banks Due to State banks and bankers.. Dividends unpaid 2, 704.14 1, 699. 27 Individual deposits United States deposits Deposits of U.S. disbursing officers. 250, 699. 05 17, 039. 36 45, 000, 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 497,141. 82 Total. $150, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 497,141. 82 First National Bank, New Lisbon. J. F. BENNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and ii xtures Other real estate and mortg's owned Due from other national banks. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item Exchanges for clearing house. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . M. J. CHILD, Cashier. No. 2203. $83, 052. 08 Capital stock paid in. $50, 000. 00 4, 591. 57 12,500.00 Surplus fund 689.23 Undivided profits, less current 1, 838.49 expenses and taxes paid 9,800. 00 National-bank notes outstanding. State-bank notes outstanding 7,850. 00 769.45 Due to other national banks 408.65 Due to State banks and bankers.. 1, 055. 96 Dividends unpaid 3, 335.18 60, 930. 30 Individual d posits 5, 539. 00 United States deposits 36.63 Deposits of U.S. disbursing officers. 14, 454. 90 638. 00 Notes and bills rediscounted. Bills pajrable 10, 000. 00 562. 50 3.00 Liabilities other than those above stated 134,027.47 134, 027.47 Total . New London National Bank, New London. E. E. TOWNSEND, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation .. U. S. bouds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S., Due from Treasurer U. S Total. No. 4712. $109, 080. 08 562. 58 12t 500. 00 300.00 3. 000. 00 3, 600. 00 3, 072. 86 12,202. 72 41.50 307. 00 100. 83 3, 911. 50 1, 938. 00 562. 50 151,179.57 H. W. TOWNSEND, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding $50, 000.00 2, 300. 00 3, 583. 37 11,247.50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 710. 79 103. 59 Individual deposits United States deposits Deposits of U.S. disbursing officers. 82, 234. 32 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 151,179. 57 864 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Citizens' National Bank, New Philadelphia. S. O'DONNELL, President. Xo. 1999. B. P. SCOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits $284,094.88 Premiums on U. S. bonds Stocks securities etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1,000. 00 Total 12, 500.00 3, 500. 00 2,104. 09 4,088. 47 45, 262. 75 945. 23 5,500. 00 246. 36 3, 230.00 15,800. 00 562. 50 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 426. 30 11, 250. 00 Due to other national banks Due to State banks and bankers.. 2,152. 53 2, 658. 03 Dividends unpaid 10, 000. 00 30.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 284, 862. 67 14,454. 75 Liabilities other than those above stated 378,834.28 Total 378,834. 28 First National Bank, New Richmond. FRANK DAVIS, President. No. 1068. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owuedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $109, 871. 32 28.08 80, 000. 00 13, 636. 00 4, 500. 00 1,773. 26 14, 405. 77 934. 63 2,000.00 20.87 1, 920. 00 3, 000. 00 3, 600. 00 G. W. MCMURCHY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. $80, 000. 00 19, 000.00 1,155.10 70,110.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 65, 424.83 Notes and bills rediscounted Bills payable Liabilities other than those above stated 235,689.93 Total. 235, 689.93 First National Bank, Niles. R. G. SYKES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4190. $183,890.16 350. 32 12, 500. 00 1,371.54 70, 885.15 2, 377. 71 W A D E A. TAYLOR, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers. Dividends unpaid 4,107. 32 54.93 190.06 Individual deposits 1. 810. 00 United States deposits 43.32 Deposits of U.S.disbursingofncers. 9, 313. 50 11,060.00 Notes and bills rediscounted Bills payable '"562." 50' 100.00 Liabilities other than those above stated 298,616.51 Total . $50,000.00 10, 000.00 3, 544. 90 11,250.00 6, 056.89 16.32 166,662.40 20, 000.00 31,086.00 '8, 616.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 865 OHIO. City National Bank, Niles. No. 4977. H. H. MASON. President. W M , HERBERT, Cashier. Resources. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bondsonhand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and.fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. ] Checks and other cash items > Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . Liabilities. $124,565.19 :| Capital stock paid in ! 643.40 ! ; 15,000.00 ;j Surplus fund ;; Undivided profits, less current j i expenses and taxes paid j National-bank notes outstanding. 1 2,175.00 \ State-bank notes outstanding 6, 000. 00 12, 071. 33 Due to other national banks ,, 5, 929. 20 j! Due to State banks and bankers..! J 7,396.62 I Dividends unpaid 269.64 |j Individual deposits.... 1, 243. 00 United States deposits. 81.87 Deposits of U.S.disbursingofficers.;. 5,145. 00 4, 000. 00 Notes and bills rediscounted Bills payable ;. 675. 00 Liabilities other than those above I stated 185,195. 25 Total . 0, 000. 00 4, 324.12 13, 500. 00 364. 83 6, 016. 53 100, 959. 77 185,195. 25 First National Bank, North Baltimore. A. EMERINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... !I U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds • Stocks, securities, etc ! Bank'g house, furniture, and fixtures | Other real estate and mortg's owned' Due from other national banks j Due from State banks and bankers, j Due from approved reserve agents. { Checks and other cash items j Exchanges for clearing house , Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S L. WOOSTER, Cashier. No. 4347. $164, 243. 03 Capital stock paid in. $60, 000.00 1, 249.46 15,000.00 Surplus fund 2, 000. 00 Undivided profits, less current expenses and taxes j>aid 2, 678.17 13,500.00 1, 500. 00 i National-bank notes outstanding. State-bank notes outstanding "l6"758~2o' Due to other national banks ! i20.*55 Due to State banks and bankers..I 6, 799.06 ! 'y6^247"75" Dividends unpaid. 1,100. 00 I Individual deposits 232, 115. 69 7, 000. 00 | United States deposits 42.87 I Deposits of U.S.disbursing officers. 9,150. 00 I 10,000.00 j Notes and bills rediscounted Bills payable 675.00 I Liabilities other than those above stated 317,092.92 ; Total . 317, 092. 92 Total First National Bank, Norwalk. No. 215. E. Q. GARDINER, President. Loans and discounts : Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand i PremiumsonU. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks . Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie I Legal-tender notes i U. S. certificates of deposit Redemption fund with Treas. U. S. • Due from Treasurer IT. S Total CUR, http://fraser.stlouisfed.org/ PT Federal Reserve Bank of St. Louis 205, 178. 85 -55 J. S. W H I T E , Cashier. $143,060.44 !! Capital stock paid in j 512.97 ji ! 12,500.00 ; Surplus fund Undivided profits, less current j 100.00 I! expenses and taxes paid National-banknotes outstanding.\ State-bank notes outstanding 2,221.00 \l 4,035.00 i Due to other national banks 1,743.89 i Due to State banks and bankers.. 4,794.08 I' 19,697.92 ji Dividends unpaid 1,824.32 1 1 jj Individual deposits l| United States deposits 256.73 j!Deposits of U.S.disbursingofficei 9,870.00 jj 4, 000. 00 || Notes and bills rediscounted !j Bills payable 502. 50 j !; Liabilities other than those above stated Total. $50, 000.00 10, 050. 00 4, 437. 37 11.250.00 2, 462. 34 95.83 126, 883. 31 205,178. £ 866 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Nor walk National Bank, Nor walk. ' J O H N GARDINER, President. No. 931. CHAS. ^Y. MILLEN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture;and fixtures Otherreal estate and mortg's owned j Due from other national banks ! Due from State banks and bankers.1 Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house \ Bills of other nationaibanks i Fractional currency,nickels, cents. \ Specie j Legal-tender notes ! U. S. certificates of deposit ! Redemption fund with Treas. U. S.j Due from Treasurer TJ. S Capital stock paid in. 1,000.00 2, 000.00 5, 800. 00 1,184. 00 4, 549. 58 2, 800. 30 15, 838. 90 3,400. 00 306. 98 62,190.00 22,150. 00 2, 250.00 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 22, 622.15 43, 700. 00 Due to other national banks j Due to State banks and bankers..; Dividends unpaid ' 3, 607.73 153.06 Individual deposits United States deposits Deposits of U.S. disbursing officers.:. 277,465.51 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . Total . 467, 548.45 Citizens' National Bank, Oberlin. ALBERT H. JOHNSON, President. A. H. JOHNSON, Cashier. No. 2718. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house.furniture,and fixtures Otherreal estateandmortg's owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $169, 748. 54 15,000.00 1, 000.00 24, 000. 00 1,950.00 44(5. 93 155. 00 30, 514.49 1, 491. 51 3,140.00 56.68 17, 362. 00 8, 435. 00 675. 00 Capital stock paid in | I Surplus fund | Undivided profits, less current I expenses and taxes paid National-bank notes outstanding. | State-bank notes outstanding 15, 000.00 5, 783.50 13, 500.00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursiugomcers- 179, 691. 55 Notes and bills rediscounted Bills payable Liabilities other than those above ! stated 273, 975. 05 Total . $60,000.00 Total 273,975. 05 First National Bank, Oxford. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S. Total C. A. SHERA, Cashier. No. 4599. F. S. HEATH, President. $127,523.50 1, 297. 06 37, 500. 00 1, 500. 00 8. 553. 09 7, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 742. 24 Due to other national banks Duo to State banks and bankers.. . 16, 617. 80 181.08 '"" 80.00 114.12 6, 967. 00 8, 756. 00 Individual deposits I United States deposits Deposits of U.S.disbursingofficers 1,687 231,019.39 $50,000.00 5,180.00 1,896.49 33, 750. 00 1, 679. 67 Dividends unpaid 138, 513.23 Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total 231,019.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 867 OHIO. Painesville National Bank, Painesville. C, O. CHILD, President. No. 2842. C. H. FRANK, Cashier. Resources. Liabilities. LORDS and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure d e p o s i t s . . . U. S. bonds on band Premiums on XT. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures! Other real estate and mortg's owned; Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $318, 051.82 I Capital stock paid in 3, 746.92 50, 000.00 Surplus fund Undivided profits, less current 000.00 expenses and taxes paid 600.00 National-bank notes outstanding. J 425. 66 State-bank notes outstanding 000. 00 Due to other national banks I Due to State banks and bankers.. j Dividends unpaid 750. 00 44.84 380.00 004. 00 2, 250. 00 14, 000. 00 4, 616.08 45, 000. 00 8, 699. 60 542. 22 ! 200. 00 Individual deposits j United States deposits I Depositsof U.S.disbursing officers J 262, 339. 32 j Notes and bills rediscounted \ Bills payable Liabilities other than those above stated 535,397.22 ! Total . $200, 000. 00 Total . 535, 397. 22 Third National Bank, Piqua. No. 3750. L. LEONARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie j Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U. S $311, 617.44 226. 39 37, 500. 00 3, 000. 00 5, 800. 00 5, 750. 00 226. 96 10, 689. 29 2, 369. 08 3, 000. 00 150.18 4, 000. 00 15, 000. 00 " "527*50* $150, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bauk notes outstanding. State-bank notes outstanding..... 10, 000. 00 Due to otber national banks Due to State banks and bankers.. Dividends unpaid 874. 49 Individual deposits United States deposits Depositsof U.S.disbursing officers. 175,941.12 Notes and bills rediscounted Bills payable Liabilities other than those above stated 26, 552. 70 3, 471. 53 32, 990. 00 27.00 Total. 399,856. 84 Total. J . A. SCHAFER, Cashier. Capital stock paid in. 399, 856.84 Citizens' National Bank, Piqua. W. P. ORB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand : Premiums on U. S. bonds • Stocks, securities, etc j Bank'g house,!"urniture, and fixtures' Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers.' Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie *.. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1061. $405, 061. 47 95.03 37, 500.00 16, 000. 00 HENRY FLESH, Cashier. Capital stock paid in Due to other national banks Due to State banks and bankers.. 32, 282. 26 1,171.29 13, 100. 00 470. 50 8,650. 00 30.000. 00 1,646.90 | Surplus fund j Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.; ! State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofficers. $150, 000.00 30, 000.00 27,827. 97 33, 750. 00 5, 670. 72 92.00 300, 355. 55 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 547,696.24 Total. 547, 696. 24 868 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Piqua National Bank, Piqua. No. 1006. FRANCIS JARVIS, President. JOHN S. PATTERSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X S. bonds to secure deposits L U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and li xtures Other real estate and mortis owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. Liabilities. $416,894.61 2. 399. 92 50,000.00. Capital stock paid in $200, 000. 00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 45,400.00 State-bank notes outstanding 40, 000. 00 45, 330.54 44. 050. t0 19,740.00 4, 684. 58 109. 50 45, 886. 96 952.20 Due to other national banks Due to State banks and bankers..'. • Dividends unpaid ! Individual deposits "i.'ioo.'oo" I United States deposits 360.99 | Deposits of U.S.disbursing officers. 9,850.00 17,000.00 Notes and bills rediscounted. Kills payable 980.00 | 19, 929. 04 1,393.00 269, 455.58 Liabilities other than those above | stated i Total . 620,158.70 020,158. 76 First National Bank, Plymouth. W. B. CUYKENDALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc B.nik'g house, furniture, a nd fixtures Other real estate and mortg's owned Due from other national b a n k s . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1904. 5,175. 67 1,750.19 Dividends unpaid 1,550.00 98.00 5, 500. 00 3,000.00 ' Noles and bills rediscounted Bills payable 200. 00 $50, 000. 00 10,000.00 2, 700.17 45, 000. 00 273.79 j. Individual deposits " n i l ' States deposits United ~' ' ' ep. Depositsof U.S.disbursingofficers. i Liabilities other than those above stated 200, 755. 20 Total . A. M. TKAGO, Cashier. $97, 755. 56 ; Capital .stock paid in. 513. 28 50, 000. 00 I Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid :io ooo oo National-bank notes outstanding. 4, 462. 50 j 2, 000. 00 State-bank notes outstanding 2, 500. (O J Due to other national banks Due to State banks and b a n k e r s . Total . 88, 775. 04 10,000.00 0.20 206, 755. 20 Pomeroy National Bank, Pomeroy. I). H. MOORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andtixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1980. JOHN MCQUIGG, Cashier. $110, 045. 86 j Capital stock paid in j 482.51 | 25, 000.00 1 Surplus fund \ Undivided profits, less current j 15,500.00 expenses and taxes paid | 2,150.00 National-bank notes outstanding.: 18, 626. 71 State-bank notes outstanding 14, 000.00 Due to other national banks 2, 232. 36 Due to State banks and bankers..! 1,165,46 23,438.81 Dividends unpaid 27.18 BOO. 66 145.98 17,302.25 9,543.00 Individual deposits ! United States deposits ' Depositsof U.S.disluirsingollicers. Notes and bills rediscounted.. Bills payable $50, 000. 00 3, 560. 00 2, 491.40 22,150.00 13, 452. 52 8, 020.64 141. 410. 56 Liabilities other than those above ! ! stated 241, 085.12 Total . 241, 085.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 869 OHIO. First National Bank, Portsmouth. No. 68. J . W. BANNON, President. Louis "W. TERRY, Cashier. Resources. Loans and discounts \ Overdrafts ' U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S.bonds Stocks, securities, etc Bank'g kouse,furniture v and fixtures. Other realestate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and"other cashitems Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Liabilities. $294,832. 47 623.18 50, 000. 00 Capital stock paid in . . . Surplus fund. Undivided profits, less current , expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 718. 75 4, 800. 00 8,500.CO 21,262.00 3, 225. 34 4, 629. 07 19, 869. 74 775.12 Due to other national banks 2, 174. 73 76. 31 Due to State banks and bankers.. 57.15 Dividends unpaid '\ """329*66" Individual deposits 105.80 United States deposits i 1,777.00 Depositsof U .S.disbursingofticers 14, 000. 00 Notes and bills rediscounted ! 2,250.00 Bills payable i -253, 254. 85 9, 387.12 j . 432,697.47 , Total . 4, 247. 31 45, 000. 00 Liabilities other than those above ! stated ! Total. 432, 697. 47 Farmers' National Bank, Portsmouth. M . STANTON, President. N o . 1088. Loans and discounts Overdrafts U. S. bonds to secure circulation...' TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'ghouse,furniture,andtixtures Other real estate and mortg's owned Due from other national banks \ Due from State banks and bankers. j Due from approved reserve agents. | Checks and other cash items ! Exchanges for clearing house Bills of other national banks Frac tion a 1 c urren cy, n i ckel s, c en t s. Specie Legal-tender notes I U. S. certificates of deposit ! Redemption fund with Treas. U. S. j Due from Treasurer U.S. Total. J . M. W A L L , Cashier. $476, 917. 34 : C a p i t a l stock paid in . . . ' $250, 000. 00 1,780. 63 50, 000. 00 Surplus fund 50, 000. 00 Undivided profits, less current 1, 359. 75 expenses and taxes paid 6, 500. 00 National-bank notes outstanding. 45, 000. 00 37, 072. 82 State-bank notes outstanding 9, 000. 00 25, 000. 00 Due to other national banks < , 686. 31 > 15, 750. 46 Due to State banks and bankers.. 459. 04 \ 32, 480. 00 ; Dividends unpaid 790. 12 j I i Individual deposits j 299,814.09 750. 00 ; Uuited States deposits j 50.25 Depositsof U.S. disbursingofhcers.! 1, 700. 25 I • 23,146. 76 18,500.00 '! Notes and bills rediscounted ! ! ; Bills payable 2, 250. 00 j i Liabilities other than those above I : stated ! 679, 006. 91 679, 006. 91 Total. Portsmouth National Bank, Portsmouth. JNO. CT. PEEBLES, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation...! TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtitres Other real estate andmortg'sowned Due from other national banks ! Due from State banks and bankers.] Due from approved reserve agents.! ! Checks and other cash items Exchanges for clearing house Bills of other national banks ; Fractional currency, nickels, cents. Specie ". Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S Total. No. 935. $327, 530.47 441. 32 50, 000. 00 25, 632.49 3, 800. 00 19, 801. 52 4. 674. 53 4. 560. 38 15.583.30 2, 044. 89 C. B. TAYLOR, Cashier. Capital stock paid in $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid ; National-bank notes outstanding.' State-bank notes outstanding 4,394.12 45,000. 00 Due to other national banks 27, 736. 68 [ Due to State banks and bankers.. 9. 730.16 i Dividends unpaid " 5,415.66* Individual deposits 123.47 United States deposits 13,761.75 Depositsof U.S.disbursingofficers. . 13,100. 00 i Notes and bills rediscounted [. 2, 250. 00 ; Bills payable Liabilities other than those above stated ; 488, 779.12 30,000. 00 Total . . . 236,918.16 10, 000.00 488, 779.12 870 REPORT OF THE COMPTROLLER OF THE CURRENCY. O II 1 O . Quaker City National Bank, Quaker City. No. 1989. JNO. K. HALL, President. I. P. STEELE, Cashier Resources. Loans and discounts ()verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes ! TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.I Due from Treasurer U. S Liabilities. $224, 549. B O 3,032.27 100, 000. 00 22,000,00 5,400.00 3,000.00 54.02 I i557L24: 1,817.63 | Capital stock paid in. ' $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bailk notes outstanding State-bank notes outstanding.. . ! 20, 000. 00 Due to other national banks Due to State banks and bankers "i,5o6."66'|j 145. 00 192, 242. 09 Notes and bills rediscounted Bills payable Liabilities other than those above stated 410, 337. 66 Total. 0, 534.58 ! Dividends unpaid Individual deposits i, 745. 00 ! United States deposits 140.20 ! Depositsof U.S.disbursing officers, 26,028.00 3,000.00 1. 415. 99 90, 000. 00 Total . 410, 337. 66 First National Bank, Ravenna. No. 106. CHAS. HERTS, President. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to seem e deposits ' U. S. bonds on hand • Premiums on U. S. bonds ! Stocks, securities, etc I Bank'ghouse,furniture,andnxtures| Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. . Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. It. B. CARNAHAN, Cashier, 202,439. 55 Capital stock paid in $100,000.00 823.92 60,000. 00 : Surplus fund ' 20, 000.00 Undivided profits, less current j 5,173.10 expenses and taxes paid ! 3,487. 50 National-bank notes outstanding J 53, 700. 00 ! 9, 700. 00 State-bank notes outstanding 12, 500.00 6,851.54 | Due to other nationalbanks 2, 826. 20 707.38 ; Due to State banks and bankers..\. 5,891.74 : Dividends unpaid 1,408.90 ! ! Individual deposits j 143, 285.62 1, 305. 00 | United States deposits I 17.89 1 Deposits of U.S.disbursingofncers.! 5, 010. 50 12,141. 00 2, 700. 00 324, 984.92 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 324,984.92 Second National Bank, Ravenna. W. H. BEEBE, Cashier. No. 350. $265, 600.89 I Capital stock paid in Loans and discounts ' . 'I $150,000.00 427.93 Overdrafts ! 50, 000.00 j| Surplus fund TJ. S. bonds to secure circulation... I ! 23, 600. 00 TJ. S. bonds to secure deposits j ! Undivided profits, less current 7,091.14 TJ. S. bonds on hand ' expenses and taxes paid I Premiums on TJ. S. bonds i 45, 000. 00 i National-banknotes outstanding. 13, 225. 00;j State-bank notes outstanding..... . Stocks, securities, ei,c | 17, 500. 00 Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned 3, 377.65 j Due to other national banks ] " 17," 220." 28' Due to State banks am1 bankers..; Due from other national banks 81.43 i 1, 505. 07 Due from State banks and bankers. 21, 005. 62 I Dividends unpaid. Due from approved reserve agents. ! 60.00 ' Checks and other cash items 1, 582.17 Individual deposits Exchanges for clearing house 191,199.80 p 2, 532. 00 ! United States deposits Bills of other national panks 59.06 DepositsofU.S.disbiirsingotfieers. Fractional currency, nickels, cents. 2,850.00 Specie 25,400.00 j | Notes and bills rediscounted Legal-tender notes | Bills payable U. S. certificates of deposit ""i," 562*66"! I Redemption fund with Treas. U.S.! Due from Treasurer U. S | Liabilities other than those above stated C. A. REED, President. Total . 420, 410. 02 Total . 420, 410. 02 REPORT OF . H 4 COMPTROLLER OF THE CURRENCY. T1 871 OHIO. Citizens.' National Bank, Ripley. No. 3291. *W. A. GILLILAND, President. J. C. SHUMAKER, Cashier. Resources. Liabilities $193,735.79 Capital stock paid iu Loans and discounts ' $100, 000. 00 2,126.11 Overdrafts 25, 000. 00 Surplus fund ; 1, 500. 00 IT. S. bonds to secure circulation... Undivided profits, less current ; IT. S. bonds to secure deposits :. 21.250.00 expenses and taxes paid 10, 470. 77 IT. S. bonds on hand 2, 620. 00 National-bank notes outstanding.; 22,500.00 Premiums on U. S. bonds 3,166. 60 State-bank notes outstanding Stocks, securities, etc I 9, 000. 00 Bank'ghouse,furnituraand fixtures 7,989. 00 Due to other national banks 1, 824. 30 Other real estate and mortg's owned! ! 262. 38 Due to State banks and bankers..! 387. 69 Due from other national banks Due from State banks and bankers. |. Due from approved reserve agents.! 8, 415.91 , Dividends unpaid... Checks and other cash items . 156, 376. 88 ' Individual deposits Kxchanges for clearing house 1,318.00 .j United States deposits Bills of other national panks , 50.79 Deposits of. U.S. disbursing officers Fractional currency, nickels, cents, j 8,000.00 Specie 9,000.00 ; Notes and bills rediscounted Legal-tender notes i ' \ T. S. certificates of deposit 'j 1,125.00 I Bills payable Redemption fund with Treas. IT. S.l ' Liabilities other than those above Due from Treasurer U, S 293,059.64 Total . I stated Total . ' 293, 059. 64 Ripley National Bank, Ripley. W. A. BLAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... LT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks I Due from State banks and bankers.; Due from approved reserve agents.! ! Checks and other cash items Exchanges for clearing house j Bills of other national banks j Fractional currency, nickels, cents, j Specie ! Legal-tender notes IT. S. certificates of deposit ' Redemption fund with Treas. U. S.[ Due from Treasurer IT. S Total. No. 2837. W. T. GALBKEATH, Cashier. $321,669.95 i; Capita] stock paid in j $100, 000. 00 5. 501. 09 25, 000. 00jj Surplus fund | 80, 000.00 Undivided profits, less current j | expenses and taxes paid | 7, 946. 97 976. 00 I National-bank notes outstanding.; 22,500.00 ! 4, 000. 00j| State-bank notes outstanding 7, 300. 00II I 6, 215.16 !: Due to other national banks ! 138. 58 20, 600. 89; Due to State banks and bankers.. 36,193.24 ;! Dividends unpaid. • ! ! Individual deposits 15,612.00 ; United States deposits ' 162.91 ; DepositsofU.S.disbursingofficerH. 26, 800. 00 13, 000. 00 • | Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above j stated Total . 484,156. 24 273, 570. 69 484,156. 24 First National Bank, Saint Clairsville. GEORGE BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. ('hecks and other cash items Exchanges for clearing house ] ills of other national banks Fraction 1 currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S....... Total. No. 315. J. R. MITCHELL, Cashier. $199, 406. 28 j Capital stock paid in 268.06 100,000. 00 Surplus fund 1 10, 000. 00 6.450. 00 3, 200. 00 1, 642. 72 2, 296. 95 380. 17 5100, 000. 00 Undivided profits, less current d taxes paid id expenses and t National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . ' Dividends unpaid 45, 000. 00 4,058. 38 90, 000. 00 1, 551. 68 650.61 ! ! • j Individual deposits 9,450. 00 i United States deposits '.. 66. 12 DepositsofU.S.disbursingofficers. . . 6, 900. 00 10, 000. 00 Notes and bills rediscounted M Bills payable * L. 4, 500. 00 j 113,299.63 Liabilities other than those above I stated ;! 354,560.30 Total. 354,500. 30 872 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Saint Clairsville. N. K. KBNNON, President. No. 4993. I. II. GASTON, Cashier. Kesources. Loans and discounts ' [ Overdrafts U. S. bonds to secure circulation... ] V. S. bonds to secure deposits , U. S. bonds on Land '; Premiums on U. S. bonds i Stocks, securities, etc j Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $28, 905. 00 31,666.66 5, 000. 5, 752. 4, 247. 2, 020. 00 00 80 29 1, 956. 81 6.19.56 224.00 270. 00 36.47 1, 923. 45 520. 00 i* 395." 66 83, 930. 38 Capital stock paid in I Capital stock not certified j Surplus fund )1>on ! Undivided x ts, less current j expenses and taxes paid j National-bank notes outstanding.) State-bank notes outstanding j $45, 238. 65 3, 041. 35 725.95 21, 350. 00 Due to other national banks | Due to State banks and bankers. Dividends unpaid ' Individual deposits United States deposits Deposits of U .S.disbursing officers Notes and bills rediscounted. Bills payable 13 Liabilities other than those above stated Total . 83, 930. 38 First National Bank, Saint Marys. FRED. DIEKER, President. Loans and discounts Overdrafts 17. S. bonds to secure circulation... IT. S. bonds to secure deposits. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie " Legal-tender notes IT. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total O. E. DUNAN, Cashier. No. 4219. $00, 000. 00 $242,843.16 Capital stock paid in jj 228.16 15, 000. 00 Surplus fund 12. 000. 00 ' Undivided profits, less current ! expenses and taxes paid i 3, 123. 36 National-hank notes outstanding.: 33, 500. 00 6, 663.10 State-bank notes outstanding . . . . ; 1,600.00 ! 5, 241. 54 Due to other national banks 52, 323. 65 Due to State banks and bankers 99,*i69. 60 184. 50 Dividends unpaid 46.71 6, 214. 50 15,140. 00 675. 00 445,329.92 Individual deposits ' United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted i Bills payable < Liabilities other than those above , stated ...• Total . 350, 706. 56 445, 329. 92 First National Bank, Saint Paris. D. J . BRUBAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bnnk'g house, furniture, and fixtures Other real estate and mortg's owned' Due from other national banks j Due from State banks and bankers, j . Due from approved reserve agents. j Checks and other cash items. ' Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2488. H. M. BLACK, Cashier. $83,391.96 Capital stock paid in. j $52,100. 00 4. 567. 51 13, 050. 00 I Surplus fund 10, 500. 00 I Undivided profits, less current 34, 952. 44 i expenses and taxes paid 11,745.00 National bank notes outstanding, 60,377.40 i State-bank notes outstanding 6, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpa'd ! 479. 62 Individual deposits j " l , 635.' 66' United States deposits 40. 33 Deposits of U.S.disbursingofficers. 9, 406. 40 3, 259. 00 Notes and bills rediscounted Bills payable \ 587. 25 97, 585. 04 "4," 022.'88' i9, 991. 89 1, 060. 48 28.00 Liabilities other than those abovestated 207,390. 10 Total. 207, 390.10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 873 OHIO. First National Bank, Salem. FURMAN GEE, Ko. 2091. President. RICHARD Pow, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand . Premiums on U. S. bonds ! Stocks, securities, etc !. Bank'g house, furniture,and fixtures . Other real estate and mortg's owned . Due from other national banks j Due from State banks and bankers. . Due from approved reserve agents.; Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie '. Legal-tender notes U. S. certificates of deposit '. Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $•212,296.11 631.27 80,000.00 Surplus fund Undivided profits, less c u r r e n t • expenses and taxes paid 5,000.00 '! National-bank notes o u t s t a n d i n g . •'i State-bank notes o u t s t a n d i n g •. 5, 038. 49 Due to other national b a n k s D u e t o State b a n k s and b a n k e r s . 70,909.79 ' Dividends unpaid 652.49 Individual deposits i 1,598.00 United-States deposits 42. 51 DepositsofU.S.disbursingoffieers. 15,300.00 10 ; 000. 00 ; Notes and bills rediscounted Bills payable $100,000.00 20, 000. 00 16, 913. 74 71,350.00 87. 30 196, 717. 62 3, GOO. 00 405,068.06 Total. ! Capital stock paid in Liabilities other than those above | stated \ Total. 405, 068. 66 Farmers' National Bank, Salem. J . T . BROOKS, Ko. 973. President. Loans ami discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand P r e m i u m s on U. S. bonds Stocks, securities, etc B a n k ' g house,furniture, and fixtures Other real estate and mortg's owned D u e from other national banks D u e from State b a n k s and b a n k e r s . D u e from approved reserve agents . Checks and other cash it ems E x c h a n g e s for clearing house Bills of other national b a n k s . Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit '. Redemption fund w i t h Treas. U. S.' D u e from T r e a s u r e r U . S !. 472, 343. 24 Total . R. V. HAMPSOK, Cashier. $307,007.81 i Capital stock paid in $200, 000. 00 319.07 | 75,000.00 ! Surplus fund 40, COO. 00 Undivided profits, less c u r r e n t | expenses and taxes paid | 3,155. 71 6,000.00 j National-bank notes o u t s t a n d i n g . 65, 700. 00 7,250.00 | State-bank notes outstanding 11,600.00 ! 4,500.00 ! Due t o other national b a n k s ! 12,314.66 ! Due t o State b a n k s and b a n k e r s . . . 3,915.26 i 10,263.19 I Dividends unpaid . 2,064.35 Individual deposits ! 160,119.07 ! 2, 483. 01) United States deposits . 150. 00 Deposit s of U.S.disbursing officers. . 16,100.90 10,000.00 Notes and bills rediscounted. Bills payable 3,375.00 j Liabilities other t h a n those above stated Total . 472, 343. 24 Second National Bank, Sandusky. R. B. H U B B A R D , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house, furniture, and fixtures! Other real estate and mortg's owned; Due from other national banks i Due from State banks and bankers.' Due from approved reserve agents, i Checks and other cash items ' Exchanges for clearing house ! Bills of other national banks ' Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. W. P R O U T , Cashier. No. 210. $295, 917. 33 Capital stock paid in j! $100,000.00 11,039.54 50,000. 00 Surplus fund ! 45, 000. 00 Undivided profits, less current expenses and taxes paid ' 4, 337. 25 45, 000. 00 National-bank notes o u t s t a n d i n g . ! 45,175, 00 State-bank notes o u t s t a n d i n g . . . . . ! . 9. 000.00 ! 20,150.00 Due to other national banks 14, 055. 58 16,897.07 Due to State b a n k s and b a n k e r s . . ; 1, 266. 54 2, 647. 84 17,071.87 Dividends unpaid ' 60. 00 4,658. 45 | Individual deposits • 334. 804. 23 6." 746." 00' United States deposit s 550. 00 Deposits of n.S.disbursingom'cers.;. 32, 830. 50 30, 000. 00 Notes and bills redisconnted Bills payable !. i , 840.'00 Liabilities other than those above ! stated !. 544, 523. e Total . 544, 523.60 874 REPORT OF THE COMPTROLLER OF THE CURRENCY*. O II I O . Third National Exchange Bank, Sandusky. No. 4792. LAWREXCK CABLE, President. F . P. ZOLLTNGER, Cashier. Liabilities. Resources. Loans and discounts j Overdrafts | TJ. S. bonds to secure circulation... ! U. S. bonds to secure deposits : U. S. bonds on band [ Premiums onU. S. bonds j Stocks, securities, etc j Bank'g house,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks J Due from State banks and bankers, i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S ;778, 623. 20 15,898.49 50,000.00 Capital stock paid in ___j I 50, 000. 00 9,822.01 45, 000. 00 7, 061. 69 6, 438. 53 160. 00 800,618.09 stated 1,119,100.32 ! Total. $200, 000. 00 Surplus fund Undivided profits, less current ! expenses and taxes paid National bank notes outstanding. | 29. 793.64 State-bank notes outstanding j 2, 500. 00 19, 624. 22 I Due to other national banks | 12.801.14 i Due to State banks and bankers.. i 10, 620. 88 93, 255. 63 Dividends unpaid . 5, 984. 82 Individual deposits lual 6,237.00 ; U nited States deposits 272.50 ! Deposits of U.S.disbursing officers 75,900.00 ' 14,000.00 i Notes and bills rediscounted Bills payable 2,250.00 | 1,338.80 i Liabilities other than those above Total. 1,119.100.32 Citizens' National Bank, Sandusky. T. B. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture and fixtures Ot her I eal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. •Checks and other cash items Exchanges for clearing house ! Bills of other national panks ! Fractional currency, nickels,cents. Specie ." Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer TJ. S Total. HENRY GRAEFE, Cashtir. No. 3141. $431,132. 76 S Capital stock paid in j $100,000.00 18, 884. 08 I 25,000.00 j Surplus fund I 25. 000. 00 Undivided profits, less current j expenses and taxes paid j 6,169. 92 2,000. 00 National-bank notes outstanding- j 22, 500. 00 33, 500. 00 State-bank notes outstanding.....! 1, 000. 00 879. 75 Due to other national banks ' 429. 87 2,967.18 Due to State banks and bankers 89.51 55, 569. 40 Dividends unpaid . 63. 00 7, 373. 63 Individual deposits ...! 517,576.81 17,878.'00' United States deposits 108.17 Depositsof U.S.disbursingoflicers J 63,181. 00 j 10, 000. C Notes and bills rediscounted O Bills payable 1,125. 00 1, 048.12 Liabilities other than those above ! I stated '. 671,736.60 I Total. 671,736.60 Moss National Bank, Sandusky. JAY 0. Moss, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand | Premiums on U.S. bonds j Stocks, securities, etc | Bank'g house.furniture.and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S total. No. 2810. $273, 953. 59 19. 256. 20 100, 000. 00 39, 044. 95 6, 357. 31 4. 200. C O 5, 251. 73 3, 510.19 9,025. 49 926. 49 2. 662. 00 322. 03 33,436. 10 1,600.00 C H A R L E S I I . M o s s , Ccuhier. Capital s t o c k p a i d in j $150, 000. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid i National-bank notes outstanding.! State-bank notes outstanding I 33, 500. 00 Due to other national banks Due to State banks and bankers.. 3, 769. 88 90, 000. 00 2, 761. 02 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 223, 235. 98 Notes and bills rediscounted. Bills payable 3, 720. 80 Liabilities other than those above stated , 503, 26(5. 88 Total . 503,266. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 875 OHIO. First National Bank, Shelby. No. 1929. JNO. DEMPSEY, President. B. J. WILLIAMS, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts ; IT. S. bonds to secure c i r c u l a t i o n . . . | TJ. S. bonds to secure deposits U. S. bonds on b a n d • P r e m i u m s on U. S. bonds Stocks, securities, etc j B a n k ' g h o u s e ^ f u r n i t u r e a n d fixtures! Other real e s t a t e and inortg's owned D u e from other national b a n k s : D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house I Bills of other national bank s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund w i t h T r e a s . TJ. S. D u e from T r e a s u r e r TJ. S $181,596.78 1,232.71 12,500.00 I 257,390.09 Total . 6, 25)5. 0D 9,127. 29 1, 292. 95 29, 751.86 1. 000. 00 31.00 10. 940. 00 3. 000. 00 562.50 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers. J 2, 340.15 Dividends unpaid 3, 209. 00 10, 850. 00 • Individual deposits : ! United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted Bills payable. 170,990.04 > '' Liabilities other than those above stated Total . 257, 390. 09 First National Bank, Smithfield. JOHN OALBRAITH, President. Loans and discounts O vei drafts TJ. S. bonds to secure circulation.. TJ. S. bonds to secure deposits II. S. bonds on hand I Premiums on U.S. bonds ! Stocks, securities, etc I Bank'g house, furniture,and fixtures! Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 501. W M . VEBMILLIOX, Cashier. $136,584.35 ' Capital stock paid in. $100, 000. 00 2,507.20 I 100, 000. 00 i Surplus fund 10,000.00 Undivided profits, less current i expenses and taxes paid i 4, 068. 77 11,000.00 National-bank notes outstanding.i 90. 000. 00 35,035. 50 State-bank notes outstanding 2, 850. 00 10, 300. 29 Due toother national banks 477.16 140. 92 Due to State banks and bankers.. 19,453.80 i- Dividends unpaid. 86.45 7, 248. 21 3,448. 00 4, 500. 00 Individual deposits I ; United States deposits ; Depositsof U.S.disbursingom'cers.; Notes and bills rediscounted I | Bills payable | Liabilities other than those above stated 333,154. 72 Total. 122, 572. 94 25.85 333,154. 72 First National Bank, Springfield. . S. BUSHNELL, President. Loans and discounts j Overdrafts I TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds i Stocks, securities, etc ! Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned ] Due from other national banks ' Due from State banks and bankers. | Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house Bills of other national banks ; Fractional currency, nickels, cents.; Specie I Legal-tender notes I U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 238. C. A. PHELPS, Cashier. $721,356.41 i| Capital stock paid in ! $600, 000.00 991.17 50, 000. 00 !| Surplus fund | 140,000.00 50, 000.00 Undivided profits, less current : expenses and taxes paid ; 24,071.98 1, 200.00 ' National-bank notes outstanding45,000.00 401, 378.24 State-bank notes outstanding...". ; |; Due to other national banks I 11, 577. 82 1 Due to State banks and bankers.. l 1 6,935. 39 58,514.58 Dividends unpaid 9, 504. 81 Individual deposits 8,58(5.00 United States deposits 300.15 Depositsof U.S.disbursingofficers. 30,000. 00 15. 000. 00 Notes and bills rediscounted Bills payable 2, 250. 00 ! . Liabilities other than those above ! stated 1,367,024.57 Total 5,008.09 508, 544. 50 44,924.00 70 00 1, 367, 624. 57 87G REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Springfield. AMOS WHITELKY, President. No. 263. J . G. BENALLAOK, Cashier. Liabilities. Resources. Loans and discounts j Overdrafts ! 1*. S. bonds to secure circulation...: 17. S. bonds to secure deposits '. IT. S. bonds on hand \. Premiums on U. S. bonds \. Stocks, securities, etc i Bank'ghouse.furniture,and fixtures . Otherrealestateandmortg's owned: Due from other national banks I Due from Statebanks and bankers, j Due from approved reserve agents. | Checks and other cash items. ' Exchanges for clearinghouse. Kills of other national banks ; Fractional currency, nickels, cents. j Specie ". j Legal-tender notes j TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.I Due from Treasurer U. S !. $385, 655.12 47.84 50, 000. 00 6, 345. 00 11.070. 76 3, 900. 40 284,97 30, 932. 65 5. 933. 46 Capital stock paid in. Due to other national banks Due To State banks and bankers 120, 000. 00 12, 768 36 45, 000. 00 2, 975. 5 Dividends unpaid . Individual deposits 8,127.00 United States deposits ] 67. 88 j Depositsof U.S.disbursing officers 13,033.70 15,000.00 ; Notes and bills rediscounted [ Bills payable 2, 250. 00 Liabilities other than those above I ; stated Total. 532,748.87 Total. $200, 000. 00 Surplus fund J Undivided profits, less current expenses and taxes paid | National bank notes outstanding j State-bank notes outstanding 129, 886. 20 22,118. 70 532, 748.87 Lagonda National Bank, Springfield. J. WARREN KEIFER, No. 2098. President. I). P. J E F F E R I E S , Cashier. Loans and discounts ! $319,136. 98 I Capital stock paid in Overdrafts \ 158.29 I U. S. bonds to secure circulation... i 93, 000. 00 j Surplus fund U. S. bonds to secure deposits ' > Undivided profits, less current ; U. S. bonds on hand 18,300.00 expenses and taxes paid ! Premiums on U. S. bonds | 1, 090. 00 National-bank notes outstanding.; Stocks, securities, etc ! 5, 040. 00 State-bank notes outstanding ' Bank'ghouse,furniture,and fixtures; 25, 000. 00 Due to other national banks Other real estate and mortg's owned j Due from other national banks 7, 738.41) Due to State banks and b a n k e r s . . Due from State banks and bankers. j 8, 863. 90 Due from approved reserve agents.! 5, 872. 36 Dividends unpaid Checks and other cash items ' 6, 898. 71 I Individual deposits Exchanges for clearing house Bills of other national banks 1,142. 00 ' United States deposits Fractional currency, nickels, cents.: 530. 96 ; Deposits of U.S.disbursing officers. Specie ' 2, 838. 51 Legal-tender notes 20, 070. 00 Notes and bills rediscounted IT. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. j 4,185. 00 Due from Treasurer U. S 507. 50 Liabilities other than those above stated 520, 372. 70 Total. Total . $100, 000. 00 43, 000. 00 20, 516. 54 83, 100. 00 9, 835. 34 11,365.65 252, 555.17 520, 372. 70 Mad River National Bank, Springfield. T. F . M C G R E W , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds No. 1146. I ' Stocks, securities, etc j Bank'ghouse,furniture.and fixtures! Other real estate and inortg's owned! Due from other national banks ! Due from State banks and bankers. I Due from approved reserve agents. I Checks and other cash items j Exchanges for clearinghouse j Bills of other national banks i Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total ! $550,410.93 1,378.80 100, 000. 00 523.66 39, 065.17 20, 000. 00 4,218.46 3,495.31 17,098.77 7,135. 76 S. F . M C G R E W , Cashier. Capital stock paid in ' Surplus fund Undivided profits, less current j expenses and taxes paid ; National-bank notes outstanding- i State-bank notes outstanding •. Due to other national banks Due to State banks and bankers..j Dividends unpaid ~$3oo76oo7ob 72, 000. 00 15, 301.95 90, 000. 00 7, 892. 26 ' 327, 618.10 : Individual deposits ! [ " s " 819." 66' United States deposits < 554. 00 Deposits of U.S.disbursing officers.' 18, 292.45 40, 000. 00 Notes and bills rediscounted ! Bills payable " " i l,820*6o' i i Liabilities other than those above stated 812.812. 31 Total 1 812,812.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 877 OHIO. Springfield National Bank, Springfield. No. 2620. P. P. MAST, President. F. S. PENFIELD, Cashier. Resources. Loans and discounts Overdrafts IJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and m o r t g s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $206,411. 27 908. 75 25, 000. 00 2, 000.00 11,050.00 4, 686, 63 9, 000.00 2, 069. 47 1,438.33 15,081.06 502. 95 1, 800. 25 3, 569. 00 161.61 11,211.35 10, 500.00 565. 00 Capital stock paid in Due to other national banks 20, 000. 00 3, 417.55 21, 540. O) f ' 3, 955. 5.'* Due to State banks and bankers..! 336. 67 Dividends unpaid Individual deposits ! United States deposits ; Deposits of U.S.disbursingoffieers.! Notes and bills rediscounted I Bills payable j 141, 634.42 15, 071. 50 Liabilities other than those above stated Total . 305,955. 67 Total. $100,0C0.00 Surplus fund. \ Undivided profits, less current . expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 305, 955. 67 National Exchange Bank, Steubenville. W. A. ELLIOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, find fixtures Other real estate and mortg's owned Due from other national b a n k s . . . . Due from-State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2160. $270, 406. 93 1, 410. 25 100,000.00 3,275.00 53,014.11 6,000.00 2,539.09 0,143.60 15,560.75 629.57 T. A. HAMMOND, Cashier. Capital stock paid in I $100,000.00 Surplus fund j Undivided profits, less current expenses and taxes paid ! National-bank notes outstanding J State-bank notes outstanding '•< 20, 000. 00 11, 012.02 90,000.00 18, 445. 02 20, 849. 89 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 6,505.00 ij United States deposits 629.77 ! I Deposits of U. S.disbursingoffieers 20, 679. 00 19, 701. 00 Notes and bills rediscounted Bills payable 3, 600. 00 249, 787.14 Liabilities other than those above stated Total . 510, 094. 07 510, 094. 07 Steubenville National Bank, Steubenville. R. L. BROWNLEE, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits \. IT. S. bonds on hand Premiums on IJ. S. bonds Stocks, securities, etc i Bank'g house, furniture, and fixtures Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers, j Due from approved reserve agents j Checks and other cash items j Exchanges for clearing house '. Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total . No. 3310. $215, 257. 41 2.23 125,000.00 6, 000. 00 31,225.00 15, 775. 00 CHARLES GALLAGHER, (Jashitr. Capital stock paid in I $125,000. 00 Surplusfund | Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 40, 000 00 i Due to other national banks ! '14*446." 37 Due to State banks and b a n k e r s . . i 1, 460. 70 3,899. 08 [ 46.24 I Dividends unpaid 7, 325.13 I l l , 600. a 7.181. '>:) 1. 543.07 " " 3 * 328." 66" I Individual deposits 80.63 j United States deposits ; 19, 875. 60 ! Deposits ofU.S.disbursing officers 15,573. 00 Notes and bills rediscounted I Bills payable 475.00 I Liabilities other than those above stated 159, 794. 55 452,444.28 | 452, 444. 28 Total . 878 REPORT OF THE COMPTROLLER OF THE CURRENCY. onto. Tiffin National Bank, Tiffin. J . M. NAYLOR, No. 3315. President. J . AV. CHAMBERLIN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds t o secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, e t c Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks D u e from State b a n k s and b a n k e r s . Due ftoni approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. I T . S. Due from Treasurer IT. S $349, 036.14 j I Capital stock x>aid in 2,357.12 50, 000. C ii Surplus fund O 2, 400. 00 4,103.87 153,897. 50 20, 000. 00 294. 04 195.55 13, 797.15 1, 793. 08 G, 980. 00 256. 62 57, 857. 50 45, 000.00 50, 000. 00 1 Undivided profits, less current 1 jj expenses and taxes paid jj National-bank notes outstanding. I State-bank notes outstanding Due to other national bunks ! Due to State b a n k s and b a n k e r s . . | Dividends unpaid 12, 394.88 44, 530.00 1,129.05 30,022. 65 ! Individual deposits ! United States deposits. •Deposits of U.S.disbursingotficers.!- 322,141.99 Notes and bills rediscounted | Bills payable ! 2, 250." 66" Liabilities other t h a n those above stated 710, 218. 57 Total . $250, 000. 00 710,218.57 Total. Tipp National Bank, Tippecanoe City. JACOB ROHRER, No. 3004. President. Loans and discounts Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . U. S. bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc B a n k ' g house, furniture, andfixtures Other real estate and m o r t g ' s owned' Due from other national b a n k s Due from State b a n k s and bankers.: Due from approved reserve a g e n t s . j Checks and other cash items ! Exchanges for clearing house Bills of other national b a n k s Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $116, 335. 33 95.10 15, 000. 00 25,230.05 7, 900.00 " i , 434. 54 8,174. 37 6, 064. 00 404. 06 22, 234. 20 675. 00 $60, 000. 00 10, 000. 00 Surplus fund Undivided profits, less current expenses a n d taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 4, 262. 39 13, 500. CO Due to other national banks D u e to State b a n k s and b a n k e r s . . 1, 374. 04 112. 39 4. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofticers. 114, 293. 83 Notes and bills rediscounted Bills payable Liabilities other than those above stated 203, 546. 65 Total . A B I J A H W . M I L E S , Cashier. Capital stock paid in 203, 546.65 Total. First National Bank, Toledo. M. N E A R I N G , President. No. 91. $1, 940, 494. 96 Loans and discounts 28, 961. 38 Overdrafts 50, 000. 00 TJ. S. bonds t o secure c i r c u l a t i o n . . . 50, 000. 00 U. S. bonds t o secure deposits TJ. S. bonds on hand P r e m i u m s on U. S. bonds 255, 750. 00 Stocks, securities, etc 20, 000. 00 B a n k ' g house, furniture, andfixtures Other real estate and m o r t g ' s owned 92, 010. 64 Due from other national b a n k s 30, 840.58 Due from State b a n k s and b a n k e r s . Due from approved reserve a g e n t s . 220,101.43 Checks and other cash items 5,310.45 E x c h a n g e s for clearing house Hills of other national banks 29,850. 00 Fractional currency, nickels, cents. 160. 84 Specie 1 280,620. 00 25,000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.' ""'2," 250." 66' 86, 951. 30 Due from Treasurer U. S Total :-(, 118, 301. 58 J . M. SPENCER, Cashier. Capital stock paid in . $500,000. 00 Surplus fund Undivided profits, less current expenses a n d taxes paid National-bank notes outstanding. State-bank notes outstanding 600, 000.00 Due t o other national banks Due to State banks a n d b a n k e r s . 49, 347. 83 109, 335. 35 107,773. 86 45,000.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingotticers. 1, 579,108. 25 127," 736.'29 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 3,118, 301. 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 879 OHIO. Second National Bank, Toledo. No. 248. GEORGE W. DAVIS, President. C. F. ADAMS, Cashier. Resources. Liabilities. Loans and discounts j $1, 681,166.23 Capital stock paid in $350, 000. 00 Overdrafts 325. 27 U. S. bonds to secure circulation... 150,000.00 Surplus fund 650, 000. 00 U. S. bonds to secure deposits 50,000. 00 Undivided profits, less current 32, 214.17 expenses and taxes paid U. S. bonds on hand 131, 850. 00 Premiums on U. S. bonds | 16, 250.00 \ National-bank notes outstandingStocks, securities, etc ! 189, 600.00 State bank notes outstanding Bank'ghouse,furniture,and fixtures -.' 144, 246. 25 Due to other national banks Other real estate and mortg's owned 169, 683.29 Due from other national banks i 344,193.05 Due to State banks and bankers..! Due from State banks and bankers. 15, 263. 68 Due from approved reserve agents. I 608,640. 90 j Dividends unpaid Checks and other cash items j 7,464.21 I Individual deposits j 1, 790,317.46 Exchanges for clearinghouse [ j 45,000.00 Bills of other national banks I 28,483.00 ! ; United States deposits 15.00 Fractional currency, nickels, cents. 480.83 i j Deposits of U.S.disbursing officers.' Specie ". 214.700. 00 | j Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit J j Bills payable j Redemption fund with Treas. U . S . 6,750. 00 | Liabilities other than those above ! Due from Treasurer U. S stated Total. Total 3,313,326.17 ; ! 3,313, 326.17 Holcomb National Bank, Toledo. No. 4585. O. A. BOSTWICK, President. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation... | U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures| Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents, and I Checks a other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J. V. SHOEMAKER, Cashier. Capital stock paid in. 5, 500. 10, 000. 7,264. 3, 864. 37 3,585. 98 62,077. 43 1,549. 94 8, 960. 400. 29, 600. 25,000. ! ! Surplus fund I Undivided profits, less current expenses and taxes paid j! National-bank notes outstanding jj State-bank notes outstanding $300, 000. 00 I j ! ! 16, 439. 60 45,000.00 i Due to other national banks |! Due to State banks and bankers.. j| 1 Dividends unpaid 1 ' Individual deposits ! United States deposits ;. Deposits of U.S. disbursing officers.'. 75, 000. 00 13, 076. 51 11, 570. 47 499, 622. 38 | Notes and bills rediscounted. I j Bills payable 2, 250. 450. Liabilities other than those above stated 960, 708.96 Total. 960,708.96 Ketcham National Bank, Toledo. E. L. BARBER, President. No. 3820. S. H. WARING, Cashier. $911,887.04 Capital stock paid in Loans and discounts I $250,000.00 6, 591. 48 Overdrafts i 52, 000. 00 Surplus fund U. S.bonds to secure circulation... > 60,000.00 U. S. bonds to secure deposits... Undivided profits, less current U. S. bonds on hand i... expenses and taxes paid 14,753.85 National-bank notes outstanding.; 45,860.00 Premiums on U. S bonds 8, 984. 29 I State-bank notes outstanding Stocks, securities, etc 5,000. 00 Bank'g house, f urni ture, andfi xtures 53, 375.50 33, 000. 00 i Due to other national banks Other real estateand mortg's owned 5, 245. 41 | Due to State banks and bankers.. Due from other national banks 16,893.15 19, 569. 22 Due from State banks and bankers. 105, 049. 41 s Dividends unpaid Due from approved reserve agents. 932. 40 Checks and other cash items ! I Individual deposits 770, 701. 69 Exchanges for clearing house !.. 6,500.00 | ! United States deposits Bills of other national banks 531.94 i Deposits ofU.S.disbursing officers Fractional currency, nickels, cents. 29, 000. 00 Specie 25, 000. 00 Notes and bills rediscounted Legal-tender notes U. S. certificates of deposit I... Bills payable Redemption fund with Treas. U. S.j "2*293." 6*)"!! Liabilities other than those above Due from Treasurer U, S stated Total. 1,211,584.19 ; Total I T,HI~~5847l9 880 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Merchants' National Bank, Toledo. No. 1895. M. I. WILCOX, President. CHAS. C. DOOLITTLE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc 15ank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Billsof other national banks Fractional currency, nickels, cents. Specie [ ; Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S-> Due from Treasurer L1. S Total . ,131, 775. 57 j Capital stock paid in 029.29 ii 50, 000. 00 I; Surplus fund ; Undivided profits, less current I! expenses and taxes paid !i National-bank notes outstanding. ! State-bank notes outstanding $300,000. 00 17, 000. 00 || Due to other national banks 35. 390. 31 Due to State banks and bankers. 31.139.07 57,523.12 || Dividends unpaid 17,887. 40 Individual deposits 14,916.00 United States deposits 124. 84 Deposits of U. S.disbursing officers. 89, 635. 60 15, 000. 00 Notes and bills rediscounted Bills payable 2, 250. 00 630. 01 Liabilities other than those above stated 65, 848. 08 14, 554. 57 Total . 1,463,901.21 150,000.00 36, 392. 72 45, 000. 00 852,105.84 1,463,901.21 Northern National Bank, Toledo. No. 809. I. E. KNISELY, President. A. E. LAWRENCE, Caahier. Loans and discounts j $1, 059, 692. 67 Capital stock paid in. 1, 379. 22 Overdrafts I U. S. bonds to secure circulation... J 65, 0U0. 00 Surplus fund X S. bonds to secure deposits L '' Undivided profits, less c u r r e n t U. S. bonds on hand ! expenses and taxes paid Premiums on U. S. bonds National-bank notes outstanding. Stocks, securities, etc j 65,160. 94 State-bank notes outstanding Bank\g house,furniture,andfixtures: Other real estate and mortg's owned 2, 780. 00 ! Due to other national banks 48, 550. 66 Due to State banks and bankers. Due from other national banks Due from State banks and bankers. 8,984. 04 Due from approved reserve agents. 132, 826. 95 Dividends unpaid Checks and other cash items 429. 72 Exchanges for clearing house. | Individual deposits 12, 400. 00 ! United States deposits Bills of other national banks . Fractional currency, nickels, c e n t s . 38. 7L Deposits of U. S. disbursing officers Specie Legal-tender notes U . S . certificates of deposit ! Redemption fund with Treas. U. S.j Due from T r e a s u r e r XL S I 51, 205. 00 15, 000. 00 2, 925." 00" 640.00 140, 000. 00 23, 017.14 58, 500. 00 179, 241. 77 89, 081.71 680,172. 29 Notes and bills rediscounted Bills payable Liabilities other than those above j stated -— |i 1,470,012.91 I Total . $300,000.00 Total . 1,470,012.91 First National Bank, Troy. H. W. ALLEN, President. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand : Premiums on U. S. bonds J Stocks, securities, etc j Bank'ghouse,furniture, and fixtures| ()ther real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XL S. Due from Treasurer XT. S *.. Total . DAN'L W. SMITH, Cashier. No. 2727. $252, 310. 86 I Capital stock paid in i $200, 000. 00 1.183.66 50, 000. 00 Surplus fund I 40,000. 00 Undivided profits, less current j expenses and taxes paid j 7, 625. 62 National-bank notes outstanding. 44,100.00 89, 503. 05 State-bank notes outstanding.. 2, 200. 00 Due to other national banks 4, 505. 09 6, 279. 75 899. 74 Due to State banks and bankers.. 29. 570. 91 200. 00 66.86 Dividends unpaid 182, 261. 32 ""7," 482." 66' Individual deposits 285. 00 United States deposits 26, 660. 20 Deposits of U.S.disbursing officers. 10, 000. 00 Notes and bills rediscounted 2, 250. 66 Bills payable ! Liabilities other than those above stated 478, 692, 03 Total 478 692 .03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 881 OHIO. Troy National Bank, Troy. No. 3825. J . M. CAMPBELL, President. NOAH YOUNT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on baud Premiums on U. S. bonds | Stocks, securities, etc | Bank'g house furniture,and fixtures! Other real estate and mortg's owned Due from other national banks \ Due from State banks and bankers.' Due from approved reserve agents. | CheckvS and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $253,205.45 1,888.43 25,000.00 2, 450. 00 3, 974.32 3, 000. 00 504. 43 18,957.45 1, 298. 39 3,676. 66 361.15 12, 716. 00 9, 500.00 Capital stock paid in. $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 20, 000. 00 6,493.22 19, 200. QJ Due to other national bauks j Due to State banks and bankers..\. Dividends unpaid Individual deposits United States deposits ! DepositsofU.S.disbursingofticers.| I Notes and bills rediscounted Bills p a y a b l e | I 5, 071. 31 577. 00 174,027.08 12,928.01 Total . First National Bank, Upper Sandusky. CUETIS B. H A R E , No. 90. President LDans and discounts ' Overdrafts I U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand I ! Premiums on TJ. S. bonds Stocks, securities, etc • Bank'g house, furniture.anunxtu res i Other real estate and mortg's owned i Due from other national bauks : Due from State banks and bankers. J Due from approved reserve agents. jJ Checks and other cash items Exchanges for clearing house .Bills of other national banks I Fractional currency, nickels, cents. Specie * Legal-tender notes ! U. S. certificates of deposit ' Redemption fund with Treas. U. S.! Due from Treasurer U. S $188,411.25 7,537.30 27,000.00 650. 00 4, 128.14 11,785.23 5,858.14 10, 999. 70 105,147.46 9,349. 84 6,105. 00 89. 20 49,384.75 20,180. 00 1, 215. 00 ; $105,000. 00 Surplus fund | Undivided profits, less current ! expenses and taxes paid j National-bank notes outstanding.; State-bank notes outstanding 40, 0C0.00 Due to other national banks ' Due to State banks and bankers..! Dividends unpaid Individual deposits j United States deposits I. DepositsofU.S.disbursingofficers-i. 1, 901.98 16: 300. 00 21, 256.87 263, 382.16 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 447, 841. 01 Total. CHAS. F . PLUMB, Cashier. Capital stock paid m Total . 447, 841.01 Champaign National Bank, Urbana. JOEL READ, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation...\ U. S. bonds to secure deposits j U. S. bonds on hand j Premiums on U. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,and fixtures; Other real estate and mortg'sowned Due from other rational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . OUR, http://fraser.stlouisfed.org/ FT 2 Federal Reserve Bank of St. Louis No. 916. W. R. Ross, Cashier. $144,572.75 I Capital stock paid in I i $100,000.00 623.18 !; 100,000.00 Surplus fund ! 20, 000. 00 Undivided profits, less current j expenses and taxes paid j 14, 721.14 5.038.32 National-bank notes outstanding.! 90,000.00 58,099.89 i State bank notes outstanding.. .^.j 8,825.00 j| Due to other national banks 6,199.69 2,256.94 ! Due to State banks and bankers.. 1,621.0i> 2,350.43 I ' 34,536 35 \ Dividends unpaid 4,061.93 Individual deposits 150, 501. 70 60.00 United States deposits | 18.79 DepositsofU.S.disbursingofficers.: 6, 600. 00 11,500.00 Notes and bills rediscounted '• Bills payable > 4, 500. 00 Liabilities other than tho.se above stated 383.043. 58 Total i ;J83,U4:>. 58 882 REPORT OF THE COMPTROLLER OF THE CURRENGY. OHIO. Citizens' National Bank, Urbana. No. 863. C. F. COLWELL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $292, 093.80 2,159. 90 100,000.00 300. 01) 11, 685. 86 1,000.00 9, 862. 37 15,081. 44 1, 250. 97 44, 959. 06 4,126. 06 500. 00 18.97 9, 500. 00 8, 500. 00 4,500.00 Capital stock paid in $10J, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 60, 000. 00 28, 354. 46 90,000. 00 j Due to other national banks \ Dividends unpaid j. Due to State banks and bankers.. 1 . j Individual deposits United States deposits Deposits of IT. S.disbursing officers 2, 483. 47 224, 700. 50 Notes and bills rediscounted Bills payable Liabilities other than those above ; stated 505,538.43 Total . W. W. WILSON, Cashier. Liabilities. Total. 505, 538.43 National Bank, Urbana. "No. 4805. FRANK CHANCE, President. Loans and discounts Overdrafts..., U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . S174.471.90 5ot 666. oo 6,000. 00 39,918.91 14, 000. 00 823. 06 10, 867. 68 339. 37 A. F. VANCE, JR., Cashier. Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid ]Srational-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Individual deposits 2, 250. 00 4, 200. 00 2,789. 49 45, 000. 00 2, 655. 60 Dividends unpaid 159,160. 62 274."66" United States deposits 130. 88 2, 730. 00 12, 000. 00 $100,000. 00 Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 313, 805. 80 First National Bank, Van Wert. ALONZO CONANT, President. Loans and discounts Overdrafts U. S. bonda to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 422. $199,432. 36 207. 41 15,000. 00 1,151.30 10,000.00 31, 920.38 2,451. 75 27,170.13 105. 69 "*2,855.66' 201. 22 9,739. 90 7, 556. 00 675. 00 308,466.14 J N O . VAN LIEW, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 27, 000. 00 3,150. 17 13, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S dis bursing officers. 204,815.97 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 308, 466.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 883 OHIO. Van Wert National Bank, Van Wert. J. S. BRUMBACK, President. No. 2628. I). L. BRUMBACK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XL S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XI. S Total. Liabilities. $280 1. 25, Capital stock paid in 589. 000. 706. 193. j $100,000.00 Surplus fund Undivided profits, less current ; expenses and taxes paid \ National-bauk notes outstanding.I State-bank notes o u t s t a n d i n g . . . . . ' . 50, 000.00 Due to other national banks j Due to State banks and bankers.. j I Dividends unpaid ! 1, 400.46 8, 382.56 303, 592. 32 ! Individual deposits 8,200.00 ' j United States deposits , 4io m 413.07 i! D e po S itsofU.S.disbursingofncers 16,670.00 5,000.00 1 Notes and bills rediscounted. Bills payable 1,125. 00 , Liabilities other than those above stated 488, 631. 86 ; 2, 756.52 22, 500. 00 Total . 488, 631.86 First National Bank, Wapakoneta. L. N. BLUME, President. No. 3157. Loans and discounts \ Overdrafts U. S. bonds to secure circulation... | U. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtuj'ess Other real estate and mortg's owned ( Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. | ! Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XL S. Due from Treasurer U. S ! Total. CHAS. F . HERBST, Cashier. $430, 858. 32 } Capital stock paid in \ 11,678.94 25, 000. 00 j Surplus fund • j Undivided profits, less current j i | expenses and taxes paid ji National-bank notes outstanding, j State-bank notes outstanding 1,000.00 !| j f \ Due to other national banks I. Due to State banks iuul bankers.. | 71, 886. 83 : Dividends unpaid 75. 00 i Individual deposits 200. 00 1 United States deposits 76.30 Depositsof U.S.disbursingofncers. 15, 000. 00 j 12,000. 00 j Notes and bills rediscounted Bills payable 1,125. 00 | I Liabilities other than those above stated 574, 900. 39 Total . $100,000.00 20, 000.00 9, 562.87 20, 900.00 | | | | j I ! 424,437. 52 574, 900.39 People's National Bank, Wapakoneta. F. J . McFARLAND, President No. 3535. LEWIS WISENER, Cashier. Loans and discounts $322,617. 35 Capital stock paid in j $100, 000.00 Overdrafts 7, 532.71 U. S. bonds to secure circulation... 25,000.00 II Surplusfund I 20,000.00 U. S. bonds to secure deposits !j Undivided profits, less current ( U. S. bonds on hand I expenses and taxes paid S 17,081.65 Premiums on U. S. bonds ' • I National-bank notes outstanding.! 22,500.00 Stocks, securities, etc j State-bank notes outstanding j Bank'ghouse,furniture,andnxturesj 12,090.00 Other real estate and mortg's owned j 5, 613.12 Due to other national banks ; Due from other national banks I Due to State banks and bankers Due from State banks and bankers Due from approved reserve agents. 37, 296.79 : Checks and other cash items 650.00 j Dividends unpaid Exchanges for clearing house I j 272, 460. 28 Bills of other national banks 310. 00 I Individuardeposits Fractional currency, nickels, cents. 83.86 ! I United States deposits Specie " 15,118.10 | DepositsofU.S.disbursingofficers Legal-tender notes 4,605. 00 i Notes and bills rediscounted ! XT. S. certificates of deposit Bills payable Redemption fund with Trens. U. S. 1,125.00 Due from Treasurer U. S Liabilities other than those above ' stated _ Total . 432, 041. 93 Total . 432, 041. 93 884 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Warren. No. 74. H. B. PERKINS, President. A\'M. R. STILES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... P. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes L l U. S. certificates of deposit •'. Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total. Liabilities. $313, 037. 83 1, 444. 80 40, 000. 00 4, 000. 00 15,100. 00 33,000. 00 24,364.45 14,110. 24 24,427. 57 5,423. 55 Capital stock paid in j Surplus fund ! Undivided profits, less current ! expenses and taxes paid ! Rational-bank notes outstanding. | State-bank notes outstanding Due to other national banks Due to State banks and bankers $150, 000. 00 10, 000. 00 22, 791.98 32, 750.00 14, 412. 91 Dividends unpaid Individual deposits ' "0*113." 00 | United States deposits 85.11 Deposits of I T .S.disbursing officers. 32, 925. 00 21,500. 00 Notes and bills rediseounted ' "I'moo" Bills payable Liabilities other than those above .stated 537,131. 55 Total . 307,176. 66 537,131. 55 Second National Bank, Warren. No. 2479. C. A. HARRINGTON, Cashier. $328, 737. 23 Capital stock paid in Loans and disconnts $100,000.00 737. 15 Overdrafts j 25,000.00 IT. S. bonds to secure circulation...! Surplus fund 30, 000. 00 U. S. bonds to secure deposits Undivided profits, less current IT. S. bonds on hand expenses and taxes paid 15,939.81 ! Premiums on IT. S. bonds .. National-hank notes outstanding. 22, 500. 00 29,240.00 Stocks, securities, etc State-bank notes outstanding 33,640.78 Bank'g house, furniture, and fixtures Other real estate and mortg's owned .. Due to other national banks 2, 403. 94 4,443.43 Duo from other national banks Due to State banks and bankers.. Due from State banks and bankers 5,241. 00 Dividends unpaid Due from approved reserve agents. Checks and other cash items 2,136. 95 i Individual deposits Exchanges for clearing house 306, 218.91 I United States deposits., Bills of other national banks 415.12 ^ Deposits of IT. S.disbursing officers Fractional currency, nickels, cents. 31,019.00 Specie ". \ 12, 000. D O Notes and bills rediseounted. Legal-tender notes I! Hills pay able U. S. certificates of deposit .. Redemption fund with Treas. l \ S. 1,125.00 Liabilities other than those above Due from Treasurer TJ, S stated HENRY C. CHRISTY, President. 477,002. 60 Total . Total. 477, 062. 66 Western Reserve National Bank, Warren. ALBERT WHEELER, President. Loans and discounts Overdrafts | U. S. bonds to secure circulation... j U. S. bonds to secure deposits < U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents.! Checks and other cash items ! ; Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents. 1 Specie I Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. IT. S J Due from Treasurer U. S Total . No. 3362. DAN. A. GEIGER, Cashier. $310, 337.12 j Capital stock paid in 1,315.37 j 25, 000.00 j Surplus fund ! I j Undivided profits, less current expenses and taxes paid j National-bank notes outstanding.! 29,862. 21 I State-bank notes outstanding ' 19, 400. 00 ! 226.80 Due to other national banks Due to State banks and bankers..! j < . '. 14, 925. 42 i Dividends unpaid 1,863. 70 | Individual deposits j. 3,190. 00 ; United States deposits 137. 30 Deposits of U.S. disbursing officers, j. 26, 410. 00 j : 6, 000. 00 Notes and bills rediseounted Bills payable | 1,125.00 Liabilities other than those above stated 439, 793. 07 Total . $100, 000. 00 20, 000. 00 16, 648. 05 22,500. 00 6, 787. 73 809. 31 257, 945. 48 5,102.50 10, 000. 00 439, 793.07 REPORT OF THE COMPTROLLER OF THK CURRENCY. 885 OHIO Midland National Bank, Washington C. H. HENRY JUDY, President. No. 476;;. Resources, ! Loans and discounts Overdrafts | U. S. bonds to secure circulation... !I U. S. bonds to secure deposits U. S. bondson hand Premiums on U.S. bonds. Stocks, securities, etc Bank'ghouse,furniture,andfixtures; O t her real estate an dmortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents.' Checks and other cash items ; Exchanges for clearing house ; Bills of other national banks ! Fractional currency, nickels, cents. Specie 1 Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer \J. S ! ! Total E. AV\ AVELSHKIMER, Cashier. j Liabilities. $128,104.94 Capital stock paid in 1,609.66 I ! 12,500.00 ; Surplus fund Undivided profits, less current I expenses and taxes paid ' National bank notes outstanding. • • ' " 1, 687.00 ,j " 17.07 \\ State-bank notes outstanding 2,613.87 Due to other national banks 2, 975, 38 Due to State banks and bankers. 3,111.25 ! 10,273. 61 i Dividends unpaid 718.371 I i Individual deposits ' 1, 730.00 !j United States deposits 205.79 ij Deposits of U.S.disbursingofficers. 7,564.40 j j 5, 000. 00 Notes and bills rediscounted Bills payable 562.50 ; Liabilities other than those above stated 178,673.84 ; Total $50. 000.00 2, 500.00 2,175. 43 10, 310. 00 4,769.17 96,419. 24 12,500.00 178,673.84 Waynesville National Bank, Waynesville. S. AY. ROGERS, President. No. 2220. Loans and discounts $111, 046. 51 Overdrafts 352. U9 U.S. bonds to secure circulation... 12,500.00 U. S. bonds to secure deposits U. S. bonds on hand 100. 00 Premiums on U. S. bonds 1,000. 00 Stocks, securities, etc 12, 000. 00 Bank'g house, furniture, and fixtures 900.00 Other real estate and mortg's owned Due from other national banks 671.11 Due from State banks and bankers Due from approved reserve agents. 8, 489. 40 Checks and other cash items Exchanges for clearing house Bills of other nationalbaiiks • 1, 635. 00 JFractionalcurrency, nickels, cents. 6i. 12 Specie 3,915.15 Legal-tender notes 2, 653. 00 U. S. certificates of deposit Kedemption fund with Treas. U. S. 562.50 Due from Treasurer U. S Total *. AY. H. ALLEN, Cashier. Capital stock paid in ' $50. 000.00 Surplus fund Undivided profits, less current . expenses and taxes paid \ National-bank notes outstanding, !i State-bank notes outstanding 12,500.00 Due to other nat ional banks Duo to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officer* Notes and bills rediscounted Bills payable ! 6,491. 37 11,250. 00 314.51 285. 00 75, 046. 60 | ! Liabilities other than those above i stated 155,887.48;; Total 155,887.48 First National Bank, Wellington. S. S. WARNER, President. No. 2806. ! Loans and discounts Overdrafts U. S. bonds to secure circulation.. .\ U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherrealestateandmortg'sowned. Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ! Bills of other national banks j Fractional currency, nickels, cents.' Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S.| Due from Treasurer V, S < j Total i W. CUSHION, J R . , Cashier. ! $210,021.88 !' Capital stock paid in 838.75 25, 000. 00 Surplus fund Undivided profits, less c u r r e n t : expenses and taxes paid ' National-bank notes outstanding. State-bank notes outstanding...'..' 10, 000. 00 7, 884. 23 Due to other national banks Due to State banks and bankers.. 20, 374. 50 2,818.00 126.21 4,984.00 6,276. 00 1,125.00 ' 289,448.57 Di vidends unpaid ; Individual deposits United States deposits i Deposits of U.S disbursing officers.* j Notes and bills rediscounted '• Bills payable c \ Liabilities other than those above ; stated Total $100,000.00 20, 000. 00 3, 237. 06 22, 500. 00 2,171.02 141,539.89 28M48T57 886 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Wellston. H. S. WllXAKD, President. No. 3565. »3. H. SELLERS, Cashier. Resources. Liabilities. Loans and discounts $160, 558. 33 Overdrafts ' 4, 502. 02 U. S. bond8 to secure circulation.. .| 12, 500. 00 U. S. bonds to secure deposits ' II. S. bonds on h a n d . Premiums on IT. S. bonds 1, 000. 00 Stocks, securities, etc Bank'ghouse,furniture,and fixtures 9, 500. 00 Other real estate and mortg's owned 10. 825. 80 Due from other national banks 579. 4 7 * Due from State banks and bankers. 445. 55 Due from approved reserve ageuts.; 70, 047. 54 Checks and other cash items Exchanges for clearing house Bills of other national banks 1 • 250. oa Fractional currency, nickels, cents. 223.44 Specie 4,700.00 Legal-tender notes «, 100. 00 U. S. certificates of deposit ---Redemption fund with Treas. XT. S.i 322. od Due from Treasurer U. S ! Total. Capital stock paid in I ! Surplus fund Undivided profits, less current i expenses and taxes paid. National-bank notes outstanding.! State bank notes o u t s t a n d i n g . . . . ' . : . 25, 000. 00 5.119.12 11. 250. 00 fi, 595. 31 709. 76 Due to ot her national banks Due to State banks and bankers.. Dividends unpaid 25.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 195, 445. 46 ' i \ '. Total . 294, 154. 65 $50, 000. 00 294,154.65 First National Bank, Wellsville. No. 1044. J . W. BEILLY, Presid nt. Loans and discounts j Overdrafts I U. S. bonds to secure circulation . . . J IT. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks I Fractional currency, nickels, cents.J Specie I Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XT. S.i Due from Treasurer U. S Total . H. B. NICHOLSON, Cashier. $174, 012. 35 | Capital stock paid in 3. 47 40, 000. 00 | Surplus fund j Undivided xjrofits, less current i I expenses and taxes paid ! National-hank notes outstanding. 7, 200. 00 I State-bank notes outstanding 9, 000. 00 10, 825. 69 ; Due to other national banks 7,127.01 ! Due to State banks and bankers.. 4,681.60 31,175. 51 ; Dividends unpaid 105.00 Individnal deposits | 315. 00 ;! United States deposits ! 125.84 1 Dej)osit8of U.S.disbursingofficers. j. 1 18,973. 00 7,000. 00 I! Notes and bills rediscounted 1 1, 800. 00 ! Bills payable $50, 000. 00 43,681.64 2,189. 50 36, 000. 00 1.832.42 14. 22 4, 589. 00 174, 037. 69 I | Liabilities other than those above ! stated Total 312,344.47 | 312, 344. 47 First National Bank, Wilmington. A. J . WILSON, President. Loans and discounts Overdrafts XL S. bonds to secure circulation... XJ. S. bonds to secure deposits XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks , Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S Total . No. 365. $241,443. 20 4, 249. 92 25,000. 00 3, 200. 00 24, 477. 01 25, 000.00 1,260.00 778. 25 14,865.18 2, 908. 61 264. 00 80,00 19, 408. 50 5, 265. 00 "l," 1*25." 66" 369,324.67 C. C. NICHOLS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding ! j j ! J ; Due to other national banks ! Due to State banks and bankers.. $100,000.00 20,000.00 7,087.48 22,500. 00 4, 809. 44 Dividends unpaid Individual deposits ! United States deposits ! Depositsof U.S.disbursingofficers .\ Notes and bills rediscounted Bills payable 234,927.75 i Liabilities other than those above ! stated ; Total . 369, 324. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 887 OHIO. Clinton County National Bank, Wilmington. M. ROMBACH, President. No. 1997. J. V\\ DENVER, Jn., Cashier. liesourees. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse furniture,andfixtures Otber real estate and niortg' s owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Billa of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $298, 321. 98 10, 714. 56 25; 000. 00 12, 200. 00 2, 500. 00 23, 800. 00 21, 200 00 9,200 00 70.59 203.34 5, 359. 58 135, 57 7, 942. 00 106. 55 9,899. 95 5, 000 GO i."i25."66" Capital stock paid in Surplus fund "Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding-.... Due to other national banks Due to State banks and bankers.. 6G3. 9-1 1,344.00 Dividends unpaid Individual deposits ; United States deposits ;. Deposits of U.S.disbursing officers. . Notes and bills rediscounted Bills payable 220,881.03 \. '. Liabilities other than those above j stated '•. 432, 839.12 Total . 432,830.12 "Wayne County National Bank, Wooster. JACOB PRICK, President. No. 828. ! Loans and discounts Overdrafts j U. S. bonds to secure circulation... | U. S. bonds to secure deposits '\ U. S. bonds on hand ! Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and niortg's owned Due from other national banks } Due from State banks and bankers Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house ! Bills of other nationalTbanks Fractional currency, nickels, cents Specie Legal-tender notes j IT. S. certificates of deposit ' Kedemption fund with Treas. U. S. j Due from Treasurer U. S ' $214,617. 60 1,513.37 18, 750. 00 $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 16, 700. 00 10, 335. 00 2,411.00 Due to other national banks 10, 258. 52 I Due to State banks and bankers.. 65, 995. 81 2, 800. 64 55, 000.00 7, 018. 01 10,875.00 1, 643. 91 Dividends unpaid Individual deposits ! j 16, 530. 00 I United States deposits 290. 66 Deposits of U.S.disbursingofiieers J 18, 500. 00 5, 000. 00 No1 es and bills rediscounted ! | Bills payable 843. 75 Liabilities other than those above j stated ; 384, 546.41 Total . C. S. FROST, Cashier. Capital stock paid in. Total. 229, 003.49 384, 540. 41 Wooster National Bank, Wooster. MARTIN WELKEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andinortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks ana other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 4057. CURTIS V. HARD, Cashier. $193, 020. 07 j Capital stock paid in. • 2,763. 19 25, 000. 00 Surplus fund Undivided protits, less current expenses and taxes paid 2,991. 00 National-bank notes outstanding. 3,000. 00 State-bank notes outstanding 15,462. 27 2, 300. 00 ! Due to other national banks ' 14,311.88 ; Due to State banks and bankers.. \. 12, 485.06 j Dividends unpaid ! 6, 932. 59 j i ! Indi vidual deposits ! 8,750.00 United States deposits j. 132. 89 Deposits of U.S.disbursingofiieers.! 12,075.00 Notes and bills rediscounted ! 10, 000. 00 Bills payable ; 55.00 Liabilities other than those above | stated ' 309,27H. 95 Total $100,000.00 8, 000. 00 1, 756. 27 21, 800. 00 2, 487. 97 175, 234. 71 888 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Citizens' National Bank, Xenia. J . D. EDWARDS, President. No. 2575. W. R. MCGERVEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts j II. S. bonds to secure circulation... J U. S. bonds to secure deposits ' U. S. bonds on hand | Premiums on U. S. bonds Stocks, securities, etc i Bank'ghouse,furniture,andfixtures; Otberreal estate andmortg'sowned Due from other national banks j Due from State banks and baukers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house j Bills of other national banks ' Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $354, 549.43 5. 967. 82 50, 000. 00 Capital stock paid in Individual deposits j 3,193. 66 115.54 • United States deposits i i 14, 822. 50 | Depositsof U.S.disbursing officers. I 20, 000. 00 Notes and bills rediscounted ! | Bills payable 2,250.00 | | Liabilities other than those above | j stated i 486,203.60 j Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 250. 00 : National-bank notes outstanding 12,017.42 i State-bank notes outstanding i 4, 000. 00 ' Due to other national banks ! 5,626.94 2, 473.25 I Due to State banks and bankers..! 5, 038. 50 Dividends unpaid I 2, 899. 20 Total. 40, 000. 00 8, 148.02 45, 000. 00 13,157. 61 2,100. 64 642. 00 267,149. 33 10, 003.00 486, 203. 60 Xenia National Bank, Xenia. No. 2932. JOHN LITTLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Biiuk'g house, furniture, andfix tures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fraetionalcurreucy, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S 463, 716. 09 Total. A. S. FRAZER, Cashier. $294,064.84 I Capital stock paid in 1, 485. 93 : 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 200. 00 National-bank notes outstanding ! 4,421.25 State-bank notes outstanding 24, 000. 00 ! I Due to other national banks " l , 749. 75 ! Due to State banks and bankers . 5, 773. 01 I 22, 750. 34 j Dividends unpaid 8,542.97 I Individual deposits ! * iih'.hb i; United States deposits ; 121.00 I ! Depositsof U.S.disbursing officers 23, 642. 00 ! : 19, 300. 00 | Notes and bills rediscounted Bills payable ; ""2 "250." 66* | Liabilities other than those above I stated ' $100,000.00 20,000.00 12, 721. 95 44,997. 50 1,8(2.30 336. 72 273, 817. 02 10,030.00 463,716.09 Total . First National Bank, Youngstown. ROBERT MCCURDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds {stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg'sowned Due from other national banks Dne from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bil5 s of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2693. —, Cashier. $1, 700, 727. 45 I Capital stock paid in. 21, 521. 81 50, 000. 00 j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 138, 677.10 State-bank notes outstanding 68, 368.76 Due to other national banks 56,799.07 Due to State banks and bankers.. j 9.70 172, 998. 44 Dividends unpaid i 4,638. 37 10, 000. 00 Individual deposits 201.85 United States deposits 80, 424.00 I Depositsof IT.S.disbursmgofficers. 30, 376. 00 Notes and bills rediscounted 2, 250. 00 Bills payable Liabilities other than those above stated 2,336,992.55 ; Total $500,000. 00• 100, 000. 00 195, 937. 83 45, 000. 00 6, 490. 46 2,651.39 i 1, 486, 912. 87 ! '• I I j ! 2,336,992.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 889 OHIO. Second National Bank, Youngstown. No. 2217. HENRY TOD, President. H. M. GARLIOK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. . XT. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's»owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items use Exchanges for clearing hous Bills of other national banks nks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. DI\Q from Treasurer TJ. S Liabilities. $674,421.66 ; Capital stock paid in 11,813.18 ! 70,000.00 ! S u r p l u s fund 280, 547. 20 53, 500. 00 5, 284. 0L 94.07 111,301.85 27, 555. 24 "ii.'ijii'oo* 260. 60 106, 404. 00 20, 000. 00 3.150.00 200, 000. 00 Undivided profits, less current i expenses and taxes paid ! National-hank notes outstanding. State-bank notes outstanding Due to other national banks 8, 722. 59 J58, 000. 00 | 3, 825. 56 Due to State banks and bankers..! 81, 711. 82 Dividends unpaid ! Individual deposits U i t d States deposits United S t t s Deposits of U.S.disbursing officers. .S. disbursing 840, 984. 44 Notes and bills rediscounted. Bills payable Liabilities other than those above j stated !. Total 1, 376, 244. 41 Total $200, 000. 00 l 1, 370, 244. 4L Commercial National Bank, Youngstown. G. M. MCKELVEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures O t her real estate an d mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house IBills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S No. 2482. $418, 242. 52 3, 340. 00 50, 000. 00 5, 750. 00 3, 395. 83 2. 244. 01 900.00 ! $200, C O 00 O. Surplus fund. j Undivided profits, less current j expenses and taxes paid ' National-bank notes outstanding.! State-bank notes outstanding... - 31, 000. 00 Due to other national banks j 8, 287. 79 Due to State banks and bankers.. I 103. 94 44, 892. 02 Dividends unpaid 13, 940. 86 Individual deposits ! 4,401. 00 United States deposits 288. 55 Depositsof U.S.disbursiiigofficers.; 11,186. 50 ! 33, 300. 00 Notes and bills rediscounted Bills payable ' 2, 250. 00 Liabilities other than those above stated 602, 523. 02 Total. MASON EVANS, Cashier. Capital stock paid in 11,544.48 45, 000. 00 1, 806. 87 313,171.67 602, 523. 02 Total . Malioning National Bank, Youngstown. W. SCOTT BONNELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks 1 )no from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall)anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U, S Total. J . II. MCEWEX, Cashier No. 2350. $452, 780.42 1, 700. 00 80,500. 00 2,787. 50 54, 985. 72 39, 060. 23 "i,'733.*46 71.46 65, 316. 61 968.63 3,742*00 175.12 38, 630. 00 15,000. 00 Capital stock paid in j $223, 000.00 Surplus fund I Undivided profits, less current j ! expenses and taxes paid National-bank notes outstanding.:[ State-bank notes outstanding 100, 000. 00 Due to other national banks ! Due to State banks and bankers..; 293. 46 377.85 13, 635. 01 72,450.00 Dividends unpaid Individual deposits ! : United States deposits DepositsofU.S.disbursing officers. 345,005.33 Notes and bills rediscounted Bills payable Liabilities other than tho*e above stated 761,073.65 Total . 761,073. 65 890 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO, Wick National Bank, Youngstown. No. 4970. J. C. WICK, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of ot,her national banks Fractional currency, nickels, cents. Specie \ Legal-tender notes ! U. S. certificates of deposit I Redemption fund with Treas. TJ. S.j Due from Treasurer U. S ' Total. CHAS. J . W I C K , Cashier. Liabilities. $874,506. 18 3, 274. 7:: 50. 000. 00 ! $300, 000. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding, j State-bank notes outstanding ! 60, 000. 00 Due to other national banks ! Due to State banks and bankers.. j i 86, 156. 36 18,539.23 Dividends unpaid Individual deposits 5, (00. 00 United States deposits 252.34 ji DepositsofU.S.disbarsingofficers. 1 82.866. 17 1 1 36,718.00 !| Notes and bills rediscounted. Bills payable 2, 250. 00 i Liabilities other than those above ! stated .J 18, 725. 52 2, 903. 08 2, 450 00 63,000.00 | Capital .stock paid in 56," 402." 03* Total 1,281,505.04 i 22, 526. 91 39. 670. 00 837, 079. 53 I 1,281,505.04 First National Bank, Zanesville. No. 164. W. A. GRAHAM, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... | TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on \J. S. bonds Stocks, securities, etc $594,948. 70 3,006. 75 50,000. 00 GEO. H. STEWART, Cashier. Total . j $200, 000. 00 Surplus fund Undivided profits, less current 50, 650. 00 expenses and taxes paid 80.25 National-bank notes o u t s t a n d i n g . 55. 400. 00 State-bank notes outstanding 21, 700. 00 1, 300. 00 Due t o other national b a n k s 29,473.31 Due t o State b a n k s and b a n k e r s . . 18, 843. 64 21,854.18 Dividends unpaid 12, 808. 03 Individual deposits "" 6 " 708." 6b' United States deposits , 109.16 Deposits of U.S.disbursing officers. 50,280.00 31, 236. 00 Notes and bills rediscounted Bills payable —! 2,250. 00 Liabilities other than those above stated ! 110,000.00 950,648.02 I Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S - Capital stock paid in 950, 648. 02 Total . 28, 722. 23 45, COO. 00 13,080.90 553,844. 83 Citizens' National Bank, Zanesville. WILLIS BAILEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . No. 2529. II. A. SHARPE, Cashier. $481, 042. 57 | j Capital stock paid in 1 $200, 000.00 3, 798. 78 50, 000. 00 Surplus fund 50,000.00 i Undivided p , profits, less current 4, 800. 00 9, 527. 29 dt id expenses and taxes paid 628. 00 National-bank notes outstanding 45, 000. 00 00, 384. 35 I State-bank notes outstanding 26,000. 00 21, 508. 75 1 Due to other national banks 16, 406. 43 10,490.89 6,066.00 ! Due to State banks and bankers.. 5,235.86 ! Dividends unpaid 13,807.77 j Individual deposits H . 3 U . 0 0 ; i United States deposits 268. 02 || Deposits of U. S. disbursing officers. 29, 313.10 12, 500. 00 j Notes and bills rediscounted 2, 250. 00 720, 811. P8 Bills payable Liabilities other than those above stated Total . 365, 284.95 25, 000. 00 726,811.? REPORT OF THE COMPTROLLER OF THE CURRENCY. 891 O II I O . Union National Bank, Zanesville. JOHN HOGE, 1'resident. No. 4298. E. MARTIN, Cashier. lie-sources. Liabilities. Loans and discounts $298, 718. 02 Capital .stock paid in Overdrafts 3, 534. 2(5 U. S. bonds to secure circulation... 37, 500. 00 Surplus fund U. S. bonds to secure deposits "Undivided profits, less cm-rent IT. S. bonds on hand expenses and taxes paid Premiums on U. S. bonds 3, 375. 00 National bank notes outstanding . Stocks, securities, etc 24,573.00 i State-bank notes outstanding. Bank'ghouse,furniture,and fixtures 2,500.00 j ; ! Other real estate and mortg's owned Due to other national banks Due from other national banks 30, 914. 68 i Due to State banks and bankers.. Due from State banks and bankers. 4,566.72 || | Due from approved reserve agents.! 91,152.12 |i Dividends unpaid Checks and other cash items ' 11,529.82 j i I Exchanges for clearing house jj Individual deposits | Bills of other national banks i 6,682.00 || United States deposits Fractional currency, nickels, cents.' 275. 73 j Deposits of U.S. disbursing officers.' i Specie j 14,768.00 |l i ! Legal-tender notes 25, 000. 00 Notes and bills rediscountcd U. S. certificates of deposit Bills payable Redemption fund with Treas. U. SJ 1,687.50 || ! Due from Treasurer XJ . S 500. 00 I Liabilities other than those above j ; stated ! Total . 557, 276. 85 ,| Total . $150, 000. 00 13, 000. 00 6,802.18 33, 350. 00 2, 233. 56 876.08 351. 015. 03 892 REPORT OF THE COMPTROLLER OF THE CURRENCY. O k I A II O M A . First National Bank, El Reno. No. 4830. J . T. ALLISON, President. B.F. STILL, Liabilities. Resources Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits.. IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse,furniture.and fixtures Other real estate and ruortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * . Legal-tender notes X . S. certificates of deposit T Redemption fund with Treas. U. S. Due from Treasurer U. S $36,599.20 2.238.10 12, 500. 00 $50, 000. 00 19,461.76 25,958.37 j, 500.00 Due to other national banks > 1,820.74 I; Due to State banks and b a n k e r s . . 6,664.77 |i 13,213.76 ! Dividends unpaid i 2,073.51 ;j ! Individual deposits 1,255.00 United States deposits 55.80 Deposits of U.S.disbursing officers. - 2,358.35 2,000.00 |j IS otes and bills rediscounted Bills payable 127,261.92 Total . Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid. National bank notes outstanding. State bank notes outstanding Liabilities other than those above I stated i Total 1, 000. 00 11, 250. 00 6, 007. 97 3, 578. 76 5-1, 825.19 127,201.92 Capitol National Bank, Guthrie. No. 4705. M. L. TUENER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds t o secure deposits . XT. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers. Due from approved reserve agents.; Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.; Specie Legal-tender notes ; XT. S. certificates of deposit Redemption fund with Treas. U. S. i Due from Treasurer U. S 322,554.74 j Total. OKO. E. BILLINGSLEY, Cashier. $101,186. 52 ' Capital stock paid In 3,458.20 j ! 12,500.00 Surplus fund Undivided profits, less current ; expenses find taxes paid 1. 625. 00 National-bank notes outstanding. | 82, 989. 32 State-bank notes outstanding. 1,050.00 ) ! Due to uiher national banks I 15, 331. 61 ]i Due to Stale banks and b a n k e r s . . i 7,602.61 I: 79,492.39 ji Dividends unpaid 2,705.60 1 1 | j Individual deposits | 1. 897. 00 |i United States deposits I 53. 99 ! Depositsof T .S.<lisbursingotncers. | 1,900.00 10, 200. 00 IN otes and bills rediscounted. Bills pay able 562. 50 Liabilities other than those above stated Total . $50, 000. 00 10,000.00 4,989.17 11, 250. 00 7, 447. 99 238, 867. 58 :;22,:>54.74 Guthrie National Bank, Guthrie. JOSEPH W. MCNEAL, President. Loans and discounts I Overdrafts | XL S. bonds to secure circulation... j TJ. S. bonds to secure deposits.. U. S. bonds on hand Premiums on TT. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer XJ . S Total. No. 4348. W. J . TIOBSFALL, Cashier. $68, 585.14 | Capital stock paid in 124.29 ! 12,500.00 ! Surplus fund U n d h ided profits, less current expenses and taxes paid National-bank notes outstanding. 13, 405. 65 State-bank notes outstanding 21,950.00 Due to other national banks ! 9.969.10 Due to State banks and b a n k e r s . . 1,227. 24 14,569.87 Dividends unpaid 1,141.85 717.26 Individual deposits 1, 505. 00 United States deposits 562.41 Deposits of U.S.disbursingofficers. 7, 789. 55 2, 500. 00 Notes and bills rediscounted. liills pay a ay able 562. 50 Liabilities other than those above stated $50,000.00 157,109.92 157,109. 92 Total. 10, 000. 00 3, 217. 79 11, 250. 00 54. G4 1.781.66 80, 775.83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 893 OKLAHOMA. First National Bank, Oklahoma. T. M. RICHARDSON, President. No. 4402. J. P. BOYLE. Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on band j Premiums on U. S. bonds Stocks, securities, etc Bank.'gbouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ... I Fractional currency, nickels, cents. j Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $95,277. 69 1, 596. 58 12, 500. 00 1, 300. 00 19, 715. 02 2, 500. 00 Capital stock paid in 11,982.00 90.40 12,890.00 10, 000. 00 1. 942. 84 JO, 870 00 ! i Individual deposits ;! United States deposits i Depo3itsofU.S.disbursingofficers $50, 000.00 10., 000. 00 ;! Due to other national banks 6, 903. 57 ij Due to State banks and bankers..: 9, 387. 62 ji : 21,960.44 1 Dividends unpaid 1 1,080.68 4, 839. 77 1, 378. 46 128,715.43 Notes and bills rediscounted Bills payable """562." 50* Liabilities other than those above j stated Total .. 207, 740. 50 Total.. j Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding. 207, 746. 50 State National Bank, Oklahoma. HENRY WILL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... ; U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j I>ank'gbou8e,furnitnre,aiid fixtures1 Other real estate and mortg's owned Due from other national banks ; Due from State banks and bankers. Due from approved reserve agents. l Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. I Specie ; Legal-tender notes i U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4862. $83,769. 54 845.70 12, 500. 00 6,624. 55 4,500.00 EDW. H. COOKK, Cashier. Capital stock paid in !! Surplus fund : Undivided profits, less current j expenses and taxes paid National-bank notes outstanding.'! State-bank notes outstanding.. $50, 000. 00 1,900.00 2, 875. 51 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2. 553. 32 2,120. 20 Individual deposits 3,160. 00 United States deposits 10H. 75 Depositsof U.S.disbursing officers. 3,750.00 10, 000. 00 ; Notes and hills rediscounted Bills pa vable 562. 50 Liabilities other than those above stated 147, 361. 48 8,249.77 331. 54 80,842.53 2, 817.63 218, 060. 51 Total. 218,060.51 894 REPORT OF THE COMPTROLLER OF THE CURRENCY. OREGON. First National Bank, Albany. L. FLINN, President. No. 2928. E. AV. LANGDON, Cashier. Resources. Liabilities. Loans and discounts j $194,880.63 Capital stock paid in Overdrafts ! 15,239.55 j U. S. bonds to secure circulation...• 20, 000. 00 j Surplus fund j 11. S bonds to secure deposits Undivided profits, less current i U. S. bonds on hand expenses and taxes paid I 1 Premiums on IT. S. bonds | 2,400.00 I! National-bank notes outstanding.j Stocks, securities, etc 605.15 |i State-bank notes outstanding..."..! Bank'ghouse,furniture,and fixtures 15,000.00 ji Other real estate and mortg's owned 22,740.26 i! Due to other national banks > 29,099.63 !, Due from other national banks 18,902.12 Due to State banks and bankers..j Due from State banks and bankers. 18, 912. 49 Due from approved reserve agents. \ 521. 57 Dividends unpaid Checks and other cash items j Exchanges for clearing house \ Bills of other national ]>anks ! 10 00 \ Individual deposits Fractional currency, nickels, cents, j 4.00 I United States deposits \. Specie I 26,192.85 ' Legal-tender notes i 28.00 ;. Deposits of U.S.disbursingotncers.j Notes and bills rediscounted IT. S. certificates of deposit ; Kedemption fund with Treas. IT. S. 900. 00 ji Bills payable i Due from Treasurer U. S Liabilities other than those above stated 365,436.25 ; Total . Total . $80, 000. 00 16, 000. 00 16, 657. 5o 10,450.00 1,067.93 241, 260. 77 365, 436. 25 Arlington National Bank, Arlington. D. AV. FRENCH, President No. 3918. Loans and discounts ' Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'ghouse,furniture,andfixtures Other real estate and mortg'a owned; Due from other national banks ; Due from State banks and bankers.; Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie j Leg_ al-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. j Due from Treasurer U. S $77, 656.47 3,520.01 12, 500. 00 $50, 000. 00 Snrplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 3, 321.22 7,105. 35 j 6, 023. 81 ! Due to other national banks 962. 55 i Due to State banks and bankers. 7, 201. 77 ! 1, 274. 94 | Dividends unpaid 92. 88 I Individual deposits j | United States deposits ' ; Deposits ofU.S.disbursing officers. | 7, 034. 75 j \ Notes and bills rediscounted Bills payable 562. 00 \ Liabilities other than those above stated 127,255.75 Total. F. T. HUKLBURT, Cashier. Capital stock paid in. Total . 8, 000. 00 904. 20 11, 250. 00 57,101. 55 127, 255. 75 First National Bank, Astoria. JOHN A. DEVLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... [ U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds j Stocks, securities, etc \ Ban k'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks | Fractional currency, nickels, cents, j Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 3486. $170,105. 65 4,741.69 12, 500. 00 S. S. GORDON, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,250.00 I National-bank notes outstanding. 11,938.82 State-bank notes outstanding 53, 051. 50 9, 550. 00 5, 576. 83 Due to other national banks 24.196. 00 47, 947. 26 Due to State banks and bankers.. 88, 289. 34 9.37 Dividends unpaid 66. 66 i Individual deposits 47.95 | United States deposits ! 84,300. 00 Deposits of U.S.disbursingofiicers . j 15.00 Notes and bills redisconnted 562." 50* Bills payable Liabilities other than those above ' stated 451, 546. 41 Total . 10, 000. 00 842. 80 784.47 327, 317. 64 451,546.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 895 O R E GO^f. Astoria National Bank, Astoria. No. 4403. D. K. WARREN, President. J. E. HIGGINS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S. Due from Treasurer U. S $50,000.00 213,140.08 I Total . $88,589.73 Capital stock paid in j 199.51 12, 500. 00 Surplus fund ; Undivided profits, less current expenses and taxes paid 1 500. 00 National-bank notes outstanding. !j 9 278.73 State-bank notes outstanding ! 3,823. 61 Due to other national banks 12, 620. 36 Due to State banks and bankers.. 37, 737. 57 20, 396. 54 Dividends unpaid. 948. 69 Individual deposits "35*66" United States deposits 172.84 Deposits of U.S. disbursing officers.! 24, 775. 00 Notes and bills rediscounted.. Bills payable 562.50 Liabilities other than those above stated 21.3,140.08 6, 000.00 2, 743.18 10,900.00 8, 517.17 134,979.73 Total . First National Bank, Athena. L. D. LIVELY, Cashier. No. 4516. CLARK WALTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $99,732. 34 2, 736. 96 12, 500.00 Capital stock paid in. ! j Surplus fund Undivided profits, less current expenses and taxes paid 1,500.00 1 National-bank notes outstanding. 1 State-bank notes outstanding "l,"967." 92*11 Due to other national banks : 1,653.60 2, 570.36 Due to State banks and bankers.. 3 601.85 Dividends unpaid ;. 12.37 5, 776. 25 562. 50 300. 00 332,914.15 Individual deposits United States'deposits \. Deposits of U.S.disbursing officers. \ Notes and bills rediscounted Bills payable ' Liabilities other than those above | stated \ Total. $50, 000.00 . 20, 307.89 84.89 11, 250. 00 1, 881.39 24. 08 49, 365. 90 132, 914.15 First National Bank, Baker City. LEVI ANKENY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds '.. Stocks, securities, etc Bank'g house,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. T. DONNELLY, Cashier. No. 2865. $155,967.02 ! Capitalstock paid in $75, 000.00 10,899.74 20, 000. 00 Surplus fund 15, 000. 00 Undivided profits, less current expenses and taxes paid 29, 996. 63 2, 400. 00 National-bank notes outstanding 18, 000. 00 32. 553.11 State-bank notes outstanding 12, 907. 35 9, 000. 00 Due to other national banks 17.20 50, 213. 84 Due to State banks and bankers.. 37, 597. 55 112,509.13 Dividends unpaid 604. 36 Individual deposits 322, 958. 32 United States deposits Deposits of U.S.disbursing officers.: 900. 00 65.00 460, 972.15~ Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 460,972.15 896 REPORT OF THE COMPTROLLER OF THE CURRENCY. O H E OON. First National Bank, Corvallis. M. S. WOODCOCK, President. No. 4301. -, Cashier. Resources. Liabilities. oansand discounts $107,373.77 Capital stock paid in Overdrafts 712.05 U. S. bonds to secure circulation... j 12, 500.00 Surplus fund IT. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand ' expenses and taxes paid Premiums on U. S. bonds : 1, 500. 00 Ij National-bank notes outstanding. tilbk t tt Stocks, securities, etc \ 24,519.88 : State-bank notes outstanding Bank'gbouse,furniture,and fixtures 3, 903. 42 Other real estate and mortg's owned 835. 00 I Due to other national banks Due from other national banks 22, 405. 77 i Due to State banks and bankers.. Due from State banks and bankers. 20,228. 57 j Due from approved reserve agents. | 7, 392.53 1 Dividends unpaid Checks and other cash items • 712. 56 Exchanges for clearing houae I Individual deposits I! Hill3 of other nationalbanks i 55.00 j j United States deposits . Fractional currency, nickels, cents. j 5. 57 j Deposits of U.S.disbursingofficers.j. Specie I 27,170. 30 Legal-tender notes • 45.00 j Notes and bills rediscounted. I Bills payable U. S. certificates of deposit Redemption fund with Treas. IT. S.! 562. 50 Liabilities other than those above Due from Treasurer IT. S stated Total. 4, 500.00 669. 62 10, 450. 00 2, 460. 55 161,841.75 , Total . 229, 921. 92 $50, 000. 00 229, 921. 92 • First National Bank, East Portland. No. 3025. B. H. BOWMAN, President. Loans and discounts Overdrafts". U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S 207. 38 120. 00 24.65 14, 509. 20 40. 00 j Individual deposits • I United States deposits i DepositsofU.S.disbursing officers 57, 824. 95 1 Notes and bills rediscounted 1 Bills payable Liabilities other than those above 1,125. 00 | 198,883.38 I Total. E. T. HOLGATE, Cashier. $112,056. 58 Capital stock paid in ! $100, 000. 00 364. 01 25, 000. 00 ; Surplus fund 20, 000.00 Undivided profits, less current es expenses and taxes paid 8.43 21,050.00 2, 937.50 i National-bank notes outstanding. S State bank notes outstanding ' 2,500. 00 19,950. 85 ij Due to other national banks 13, 408. 34 !' Due to State banks and bankers. 0,639.87 Dividends unpaid. stated Total. 198, 883. 38 Wallowa National Bank, Enterprise. ROBERT M. STEEL, President. W. R. HOLMES, Cashier. No. 3912. Loans and discounts $61,414.47 !! Capital stock paid i n . . . 689.77 |j Overdrafts j 12,500.00 ij Surplus fund IT. S. bonds to secure circulation...> j ! U. S. bonds to secure deposits Undivided profits, less current ' IT. S. bonds on hand expenses and taxes paid. Premiums on U. S. bonds 1,000. 00 j National-bank notes outstanding. Stocks, securities, etc 251.84 I State-bank notes outstanding Bank'g house,!"urniture, and fixtures 9,003.30 ' ()therreal estate and mortg's owned 11,098.53 ! Due to other national banks ! Due from other national banks 11, 975. 69 i Due to State banks and bankers..] Due from State banks and bankers. ! ; Dividends unpaid Due from approved reserve a g e n t s . . . . Checks and other cash items ! 84.93 i Individual deposits | Exchanges for clearing house j Bills of other national banks j 520*00* I United States deposits Fractional currency, nickels, cents. ; .20 Deposits of U.S. disbursing officers, i Specie ; 0,872.90 , ' Legal-ten demotes 2,815.00 ' Notes and bills rediscounted Bills payable • U.S. certificates of deposit "7>62.*5o" Redemption fund with Treas. U. S. i ! Due from Treasurer U. S ... Liabilities other than those above i stated ! Total . 118, 780.13 Total. $50, 000.00 10, 000. 00 3, 504. 97 11,250.00 1,420.12 579.39 42, 034.65 118,789.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 897 OREOON. First National Bank, Eugene. No. 3458. T. Gr. HENDRICKS, President. S. B. EAKIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Otherrealestateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. $171, 659. 43 1,447.12 12, 500. 00 9,367.25 ' 3,459. 54 21, 572. 23 2, 318. 84 28,254. 03 339.20 315. 00 6.79 34, 823. 75 400.00 562. 50 600, 00 Due to other national banks Due to State banks and bankers.. | Dividends unpaid Individual deposits United States deposits ' Deposits of U.S.disbursingofificers.j 50,000. 00 1, 932. 25 11, 250.00 71. 99 167, 574. 99 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 298, 973.13 Total. $50, 000.00 Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 1,000, 00 National-bank notes outstanding 10,347.45 i State-bank notes outstanding 18,143.90 Total. First National Bank of Southern Oregon, Grants Pass, S. F. CASS, President. No. 4168. R, A. BOOTH, Cashier, Total. $98, 946. 26 Capital stock paid in 2.12 12,500.00 | Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 I National-bank notes outstanding. State-bank notes outstanding ! 12,900.00 3, 000. 00 I Due to other national banks 9, 686. 74 i Due to State banks and bankers.. 786.58 ! 17,362.34 I Dividends unpaid 4,309.03 i Individual deposits 100.00 I United States deposits j 3.50 i Deposits of U.S.disbursiug officers, j 4,423.00 i 351.00 I Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated $50, 000. 00 166,433/07 i Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 166,433.07 Total. 10, 000. 00 7,151,95 10,420.00 773.00 88,088. .12 First National Bank, Heppner. No. 3774. C. A. RHEA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned; Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 875.00 8,180. 54 3,884.44 15,147. 56 2,158.72 29, 330. 88 62.30 2 57 GEO. CONSER, Cashier. Capital stock paid in Surplus fund Undivided profits, less- current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding Due to other national b a n k s . . . . . . . Due to State b a n k s and b a n k e r s . . $50,000.00 12,000.00. 1$ 996. 75 10,500. 00 773.118 Dividends unpaid J Individual deposits 600.00 United States deposits 137.00 Deposits ofU.S disbursing officers. 10, 390. 00 Notes and bills rediscounted. Bills payable , 108, 450.1 562.50 I Liabilities other t h a n those above stated 201,720.10 ! Total. CUR, PT $111,409.23 !! 6,481.93 !| 12,500.00 ii Total. 201, 720.10 898 REPORT OF THE COMPTROLLER OF THE CURRENCY. ORE OON. National Bank, Heppner. No. 3953. W M . PENLAND, President. ED. R. BISHOP, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certiticates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $80, 436. 00 4, 075. 88 12,500. 00 800. 00 6, 062. 57 2, 509. 30 290.00 4, 505.14 6, 394. 53 6, 851. 25 178. 82 260. 00 8.75 3, 747.50 200. 00 562. 50 Capital stock pair! in. Due to other national banks Due to State banks and bankers. Dividends unpaid 10, 000. 00 2,330. 09 11, 250. 00 431. 40 219. 57 1, 250. 00 Individual deposits United Stat es deposits Deposits of U.S. disbursing officers. 53,901.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 129, 382. 24 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Total . 129, 382.24 First National Bank, Hillsboro. JOHN W. SHDTE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing houae Bills ot other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S certificates of deposit U. S. Redemption fund with Treas. Due from Treasurer U. S Total J. D. MERRYMAN, Cashier. No. 3966. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 18,645. 32 State-bank notes outstanding $91,157.51 31.16 12,500. 00 4, 000.00 3, 218.11 1, 463. 31 4, 405. 39 248. 05 10.00 6.29 5, 986. 20 25. 00 562.50 142, 258.84 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits.. DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 58, 609. 85 5, 000. 00 142, 258. 84 First National Bank, Independence. J. S. COOPER, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3972. $106,737.27 I 1,213.95 I 12,500.00 | 1, 500. 00 4, 709. 98 1, 000.00 5,799. 96 970. 29 1,230. 60 57.94 1.65 16, 032.10 562.50 ! 152, 316. 24 W. H. HAWLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 14, 000. 00 1, 744. 77 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid i Individual deposits | United States deposits Deposits of U.S. disbursing officers. \ 19, 421. 47 i Notes and bills rediscounted | Bills payable Liabilities other than those above stated Total. 5, 900. 00 152, 316. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 899 ORE OON. Independence National Bank, Independence. H. HIRSCHBERG, President. No. 3979. W. P. CONNAWAY, Cashier. Resources. Liabilities. Total. $78, 071. 60 I Capital stock paid in. 3, 661. 84 12,500.00 I! Surplus fund ! Undivided profits, less current ; expenses and taxes paid 1, 500. 00 I National-bank notes outstanding. 1,743.88 I State-bank notes outstanding 1 17,932.21 Due to other national banks j. 1, 886. 72 Due to State banks and bankers..] 159.13 i 40.12 Dividends unpaid 462. 85 Individual deposits United States deposits 11.54 jj Deposits of U.S.disbursingomcers. 4, 860. 25 5.00 j Notes and bills rediscounted Bills payable j "*562.'5O 870. 00 Liabilities other than those above stated $50, 000.00 124, 270. 64 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 124, 270. 64 Total . 10, 000. 00 4,146. 07 11,250.00 1,186.40 600.00 47, 088.17 First National Bank, Island City. R. M. STEEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand . ... Premiums on U. S. bonds Stocks securities etc Bank'g house,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3313. FRED. J. HOLMES, Cashier. $57,164. 45 Capital stock paid in. 3, 368. 82 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding. State-bank notes outstanding 2, 804. 89 5, 550.00 Due to other national banks 10,429.83 I Due to State banks and bankers. 1,123. 96 1, 516. 56 Dividends unpaid 864. 24 Individual deposits 29.66 United States deposits 7.02 Deposits of U.S.disbursingofficers. 2,165.10 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated Total . 99, 086. 37 $50, 000. 00 10, 000.00 846. 83 11,250.00 26, 989.54 99, 086. 37 Farmers and Traders' National Bank, La Grande. J". H. RiNEHART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture,andfixtures Other real estate andmortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. No. 4452. $88, 712. 20 3, 473. 92 15, 000. 00 J. W. SCRIBER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1, 800. 00 Nationnl-bank notes outstanding. 673.19 State-bank notes outstanding 10, 089. 75 Duo to other national banks 5, 290. 90 Due to State banks and bankers.. 1,655.01 9, 622. 05 Dividends unpaid 538. 57 Individual deposits 20.00 United States deposits 50.10 Deposits ofU.S.disbursing officers. 12,129. 20 36. 00 Notes and bills rediscounted. Bills payable 675.00 Liabilities other than those above 149, 765. 89 stated Total. $60, 000. 00 4, 500. 00 212.48 13, 500. 00 7, 409. 91 325.00 63, 818. 50 149,765.89 900 REPORT OF THE COMPTROLLER OF THE CURRENCY. ORE GON. La Grande National Bank, La Grande. No. 3655. R. M. STEEL, President. J. M. CHURCH, Cashier. Liabilities. Resources. Loans aiid discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits X S bonds oil hand T Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $115,561.77 1 Capital stock 3, 047. 43 15, 000. 00 Surplus fund $60, 000.00 Undivided profits, less current expenses and taxes paid 1,800.00 | National-bank notes outstanding. 1,755.20 j State-bank notes outstanding- 14,200.00 1 6,128.05 1 Due to other national banks 7, 797. 20 Due to State banks and bankers 75.24 8,795.27 1 Dividends unpaid 902.46 | 12, 000.00 4, 515. 82 13, 500. 00 6, 759. 04 .. Individual deposits 135*66 i United States deposits 25.65 ! Depositsof U. S.disbursingoffi cers. 12, 907. 25 i 230.00 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above stated 189,535.52 Total paid in . Total . 92, 760. 66 189, 535. 52 First National Bank, McMinnville. JACOB WORTMAN, President. Loans and discounts Overdrafts U. S. bonds to securec irculation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3399. W. D. MCDONALD, J R . , Cashier. $124,707. 73 | Capital stock paid in . 3, 370. 73 12,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 2,721.47 State-bank notes outstanding 3,315.75 3, 000. 00 Due to other national banks 3, 699.12 Due to State banks and bankers -. 416. 84 32, 280. 96 Dividends unpaid 1,170. 46 Individual deposits United States deposits .35 Dopositsof U.S.disbursingofficers. 6, 330. 00 ! 401. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total . 194,482.91 $50, 000.00 10, 000. 00 30,413. 08 11, 250. 00 5,020.85 87, 798. 98 194,482.91 McMinnville National Bank, McMinnville. J. W. COWLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes "U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3857. $105, 140. 48 3, 067. 60 12, 500. 00 E. C. APPERSON, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid 1, 200. 00 National-bank notes outstanding. 8, 361. 58 State-bank notes outstanding 8, 500. 00 Due to other national banks Due to State banks and bankers . 1,433.76 5, 582. 34 Dividends unpaid 173.90 Individual deposits 335. 00 United States deposits 25.50 Depositsof U.S.disbursingoffieers11,277.00 270. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 172, 491. 01 Total . $50, 000^00 10, 000. 00 4, 027. 64 10, 950. 00 20.00 97, 493. 37 172,491.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 901 ORE GON. First National Bank, Pendleton. LEVI ANKENY, No. 2630. President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund Avith Treas. U. S. Due from Treasurer U. S Total . SAM. P. STUKGIS, Cashier. Liabilities. $321, 763. 20 176. 52 18, 000. 00 42, 843. 62 16, 000. 00 " 15," 445.' 87* 5,601.93 26,173.02 318.15 "l, 9:55." 00 96.60 33, 009.10 2,008. 00 Capital stock paid in. $70, 000. 00 Surplus fund Undivided profits, less c u r r e n t expenses and t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 18, 287. 81 10, 780. 87 16, 200.00 Due to other national b a n k s | D u e to State b a n k s and b a n k e r s . . | 3, 682. 06 188. 27 i Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 365, 642.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 484, 781. 01 484, 781. 01 First National Bank, Portland. HENRY FAILING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1553. $1, 685, 401.15 9, 367. 40 50, 000. 00 400, 000.00 600, 000. 00 81, 000.00 1,159, 718. 54 75, 000. 00 2, 000.00 13, 259.41 116, 022. 69 424, 390.01 3, 817.08 30, 466. 38 10, 500. 00 100.11 460, 886. 05 11, 059. 00 2, 250. 00 G. E. WITHINGTON, Cashier. Capital stock paid in $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding I 557, 071.14 27, 750. 00 100, 000. 00 Due to other national banks I 538,895. 81 Due to State banks and bankers.. i 156,158. 64 Dividends unpaid Individual deposits j 2, 906, 733. 21 United States deposits 43, 714.18 Deposits of U.S.disbursing officers. 304. 974. 84 Notes and bills rediscounted Bills payable Liabilities other t h a n those above stated 5,135, 297. 82 Total . 5,135, 297.82 Ainsworth National Bank, Portland. L. L. HAWKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total. No. 3402. J. P . MARSHALL, Cashier. $236,650.88 j Capital stock paid in I $100, 000.00 5, 006. 69 25, 000. 00 I Surplus fund I 50, C O 00 O. 1 Undivided profits, less current ! expenses and taxes paid 3, 729.37 National-bank notes outstanding. 22,500.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 30.56 73,074.40 550. 00 1,125. 00 393,014. 29 Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills pavable 14,914. 30 1, 440.11 2, 500. 00 167, 930. 51 30, 000. 00 Liabilities other than those above stated Total. 393, 014. 29 902 REPORT OF THE COMPTROLLER OF THE CURRENCY. ORE OON. Commercial National Bank, Portland. JOHN J. VALENTINE, President. No. 3422. EDW'D COOKINGHAM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total . Liabilities. , 160,790. 73 6, 565. 50 50, 000. 00 Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 500. 00 National-bank notes outstanding. 224, 672. 01 State-bank notes outstanding 29, 316. 83 5, 366.89 24,571.62 100,158. 24 2, 084. 75 7, 757. 22 116. 00 191.21 126, 293. 50 1, 612. 00 30, 000. 00 21, 445. 72 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 107, 239.13 80, 679. 95 Individual deposits j United States deposits |. DepositsofU.S.disbursingomcers.|. 955, 881. 70 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 1, 746, 246.50 1,746,246.50 Merchants' National Bank, Portland. N o . 3536. J . F . WATSON, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. other Checks and o t e cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. R. W. HOYT, Cashier. $313,516.31 Capital stock paid in. j 1,849.91 ; 50,000.00 ; Surplus fund Undivided profits, less current expenses and taxes paid 4, 000. 00 National-bank notes outstanding. 13,364.65 State-bank notes outstanding 2,000.00 80, 370. 64 55.12 6, 979. 40 3, 204. 38 592. 85 740. 00 21.60 41, 012. 90 256. 00 * "2," 250." 00 $250 : 000.00 43, 500. 00 6, 291. 11 44, 200. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10, 241. 63 7,363.87 Individual deposits United States deposits Deposits of U. S.disbursing officers. 153, 317.15 Notes and bills rediscounted Bills payable Liabilities other than those above stated 5, 300. 00 Total. 520, 213. 76 520,213.76 Portland National Bank, Portland. W. S. MASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3184. $6, 409. 44 1, 427. 36 25,000.00 103, 305. 60 2, 732.10 20 00 J . A. ARMENT, Cashier. Capital stock paid in i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.i State-bank notes outstanding i $100,000.00 22, 500.00 Due to other national banks Due to State banks and bankers.. j Dividends unpaid. 802. 47 .20 8.55 Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 17, 330. 72 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 139, 830. 72 Total. 139, 830. 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 903 O R E OO N . United States National Bank, Portland. T. WOODWARD, President. No. 4514. F. C. MILLER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson band Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Lf gal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U. S $386, 371. 88 13, 886. 40 50, 000. 00 4, 000. 00 4,720.54 4,093.82 20, 380. 68 60, 080. 45 68, 570.17 68, 214. 78 988. 82 3,162. 53 14.55 97, 815. 65 817.00 2, 250.00 Capital stock paid in 41, 806. 29 44, 200. 00 Due to other national banks Due to State banks and bankers. 5,039. 02 27,805.10 Dividends unpaid Individual deposits •. -. United States deposits Deposits of U.S. disbursing officers. 416, 516.86 Notes and bills rediseounted. Bills payable Liabilities other than those above stated 785,367.27 Total. $250,000.00 Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding State-bank notes outstanding Total. 785, 367.27 First National Bank, Prineville. T. M. BALDWIN, Cashier. No. 3851. B. F . ALLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S. Total. $75,103. 73 1, 084. 42 12,500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 1. 500.00 National-bank notes outstanding. 8,182. 01 State-bank notes outstanding 5,000.00 Due to other national banks 9 511.53 Due to State banks and bankers. 9, 799. 59 7,751.80 Dividends unpaid 120.00 Individual deposits 410. 00 United States deposits 1.24 Deposits of U.S.disbursingofficers. 8,110. 00 1,000. 00 Notes and bills rediseounted Bills payable 562. 50 Liabilities other than those above stated 140,636.82 Total. $50,000.00 10, 000. 00 14,008.42 10, 700.00 55,928.40 140, 636.82 First National Bank, Roseburg. THOMAS R. SHERIDAN, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. W. T. WRIGHT, Cashier. No. 4624. $114,946.34 Capital stock paid in. $50,000.00 6, 914. 88 12,500. 00 Surplus fund 6,000.00 Undivided profits, less current expenses and taxes paid 3, 673.59 1,200.00 National-bank notes outstanding. 11, 250.00 1,156.22 State-bank notes outstanding 1, 886.15 Due to other national banks 1,518. 00 17,363. 35 Due to State banks and bankers.. 1,287.34 8, 744. 02 1,033.62 Dividends unpaid 998. 02 Individual deposits 106,364.37 2, 520. 00 United States deposits 27.00 Deposits of U. S.disbursing officers. 8, 840. 20 1, 401. 00 Notes and bills rediseounted. Bills payable 562.50 Liabilities other than those above stated 180, 093.30 Total. 180,093.30 904 REPORT OF THE COMPTROLLER OF THE CURRENCY. O R E OO H . T First National Bank, Salem. J. W. BICKFOUD, Cashier. No. 2816. E. P. MCCORNACK, President. Liabilities. Resources. Loan8 and discounts Overdrafts ' U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing houso Bills of other national oanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total $140, 044. 01 1, 096. 05 25, 000. 00 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 500.00 2, 382.66 22, 500. 00 1, 000. 00 548.42 22, 600. 00 16, 359. 31 i Due to other national banks 6, 626. 82 Due to State banks and bankers. 10, 020. 00 21,364.23 Dividends unpaid 236. 58 Individual deposits 45.00 United States deposits 12. 07 Deposits ofU.S.disbursingofficers. 15,321.30 15.00 j Notes and bills rediscounted. | Bills payable 1,125.00 j Liabilities other than those above ! stated 121,031.13 Total . 261, 413. 79 261, 413.79 Capital National Bank, Salem. J. H. ALBERT, Cashier. No. 3405. "W. A. CUSICK, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate andmortg's owned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $248,945.33 13, 602. 40 19, 000. 00 2, 280. 00 14, 239. 55 23,069.65 1,500.00 2,310.87 1, 835. 01 11,977,28 2, 339. 63 205. 00 17.55 53, 686. 40 370.00 855. 00 Capital stock paid in. $75, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 920. 50 1, 821. 93 Individual deposits United States deposits Deposits of U. S. disbursing officers. 278, 591. 25 7, 374. 99 17,100. 00 425. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 396, 233. 67 Total . 396, 233. 67 First National Bank, The Dalles. JOHN S. SCHENCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand i Premiums onTJ.S. bonds j Stocks, securities, etc j Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit I Redemption fund with Treas. U. S.j Due from Treasurer U. S Total . No. 3441. $93,143. 62 2,483. 61 12, 500.00 1, 500. 00 6,017.85 1,581.85 19, 378. 54 4, 421. 68 2,861.09 15.30 J. M. PATTERSON, Cashier. Capital stock paid in ] Surplusfund I Undivided profits, less current expenses and taxes paid I National-bank notes outstanding. State-bank notes outstanding Due to other national banks.. Due to State banks and bankers.. I 15, 000. 00 5,439.17 10,900.00 , i Dividends unpaid j Individual deposits 135.00 • United States deposits 10.30 I DepositsofU.S.disbursingofficers. 22, 659. 75 40.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 167,311.09 $50,000.00 Total . 85,971.92 167,311.09 REPORT OF THE COMPTROLLER OP THE CURRENCY. 905 O R E OOIV. The Dalles National Bank, The Dalles. ZENAS F. MOODY, President. No. 3534. M. A. MOODY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $127, G52.11 38, 843.15 12, 500. 00 1,462.50 G. 119.12 4, 505. 66 23, 207. 95 2, 460. 70 328. 67 6, 974. 95 ' 814.48 1.00 12,781.45 21.00 Capital stock paid i n . $50,000.00 Surplus fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding Due to other national b a n k s j Due to State banks and b a n k e r s . . j 7, 994. 55 1], 140. 00 1. 20 2,653.04 Dividends unpaid I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 156,446. 45 10, 000. 00 > 562.50 Liabilities other t h a n those above stated Total. 238,235.24 |j 238, 235. 24 First National Bank, Union. W. T. WEIGHT, President Loans and discounts j Overdrafts ! U. S. bonds to secure circulation.. J U. S. bonds to secure deposits j U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtuTes| Ot her real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2947. $75, 879.14 12,800.00 1, 200. 00 11, 956. 25 6, 700. 00 630.00 7, 952. 43 302.04 12, 952. 23 6.10 W I L L W R I G H T . Cashier. . Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks $50, 000. 00 > 10, 000. 00 > 2, 265. 92 ' 6, 400. 00' 282.96: Due to Statj banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable j Liabilities other than those above ! stated ! Total . 66, 888. 66' 135, 837.54 906 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Allegheny. No. 198. JOHN THOMPSON, President. E. R. KRAMER, Cashier. Resources. Loans ami discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes tJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $920,260.98 j Capital stock paid in j 1,135.03 50,000.00 i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 72,200.00 State-bank notes outstanding 82, 723.00 20,758. 52 Due to other national banks 18, 986. 39 Due to State banks and bankers.. 3, 099. 69 54, 016. 58 Dividends unpaid 2,106.12 43, 749. 35 Individual deposits 2, 737. 00 United States deposits 200.00 Deposits of U.S.disbursingofficers. 83, 513. 05 33, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 1,390,736.31 I Total. Total $350, 000. 00 70, 000. 00 32, 406. 79 45, 000. 00 2, 258. 65 891, 070. 87 I 1,390,736.31 Second National Bank, Allegheny. No. 776. J. N. DAVIDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g liouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S Total - 960, 776. 39 3, 854. 61 40, 000.00 A. S. CAMERON, Cashier. Capital stock paid in . $150, 000. 00 Surplus fund Undivided profits, less current | expenses and taxes paid I 4, 000. 00 National-bank notes outstanding. 2, 400. 00 State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers.. 101, 013. 97 Dividends unpaid 1, 698. 83 2, 890. 79 Individual deposits 758. 00 United States deposits 61.73 Deposits of U.S.disbursing officers . 51,190.00 7, 000. 00 Notes and bills rediscounted Bills payable " i , 800*00 Liabilities other than those above stated 250, 000.00 Total. 1, 227, 444. 32 8, 090. 46 36, 000. 00 163. 29 1, 960. 00 781,230.57 1, 227, 444.32 Third National Bank, Allegheny. W. M. MCKELVY, President. Loans and discounts Overdrafts U.S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing liouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2235. $654,196. 80 453.23 100, 000. 00 6, 700. 00 25, 750. 00 3, 265. 00 418.06 71,582. 20 816.07 10, 294. 99 8,151. 00 322. 69 24, 943. 75 18,106. 00 H. A. SPANGLER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposit s of U. S.disbursingofficers $200,000.00 150, 000. 00 21, 896. 95 90, 000. 00 3, 650. 00 463,952.90 Notes and bills rediscounted. Bills payable 4,500.00 j Liabilities other than those above stated 929,499. 85 Total. 929,499.85 REPORT OF THE COMPTRO JLER OF THE CURRENCY. 907 PENNSYLVANIA, Enterprise NaVonal Bank, Allegheny. FRED'K GWINNER, President. No. 4991. T. LEE CLARK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures' Other real estate and mortg's owned! Due from other national banks ! Due from State banks and bankers -! Due from approved reserve agents. Checks and other cash items Exchanges for clearing hoase Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . Liabilities. $689,014.63 2, 970. 20 50, 000. 00 9, 750. 00 13, 254. 54 31,858.96 30, 706. 04 28, 976. 85 4, 297. 79 270. 00 92.24 36, 537. 35 2,539.00 2, 250. 00 650. 00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers..| Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $200, 000.00 90, 000.00 4,225. 83 45, 000. 00 172.50 543, 769. 27 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 883,167. 60 883,167. 60 German National Bank, Allegheny. No. 2261. F. N. HOFFSTOT, President. Jos. STRATMAN, Cashier. $1, 411,194. 64 i Capital stock paid in. Loans and discounts 1,935.78 I Overdrafts 150, 000. 00 I Surplusfund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 29, 750. 00 National-bank notes outstanding. Premiums on U. S. bonds 364,762.36 State-bank notes outstanding Stocks, securities, etc 27, 000.00 Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned! Due to other national banks 2,143. 23 Due to State banks and bankers Due from other national banks I Due from State banks and bankers. | 2, 946. 72 Due from approved reserve agents.! 394,120. 34 Dividends unpaid Checks and other cash items I 12,122. 37 ! j Individual deposits Exchanges for clearing house Bills of other national banks 8,035.00 1 United States deposits 1 662. 35 j Depositsof'U.S.disbursingofncers. Fractional currency, nickels, cents. 108, 615. 30 Specie 15, 385. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 6, 750. 00 Liabilities other than those above Due from Treasurer U. S $200,000.00 200,000.00 79,122.55 135, 000. 00 1,150.42 972. 00 1,919,178.12 stated Total Total 2, 535,423. 09 2,535,423.09 Second National Bank, Allentown. No. 373. W M . H. AINEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $474, 646. 90 6, 993. 00 50, 000. 00 W. K. KLEIN, Cashier. Capital stock paid in. Surplusfund j Undivided profits, less current j expenses and taxes paid 6, 500. 00 j National-bank notes outstanding 132,784.12 State-bank notes outstanding 43, 18, 35, 5, 28, 9, 934.06 804.12 844. 05 341. 95 771.10 242. 96 310. 00 1, 280. 77 23, 821.00 26, 251.00 "¥,25O."od"|| 866,775.03 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable $200, 000.00 95, 000. 00 14, 374.83 45,000. 00 65, 423. 02 1.246.00 620.00 425, 111. 18 20, 000. 00 Liabilities other than those above stated Total . 866,775.03 908 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Allentown National Bank, Allentown. R. E. WRIGHT, President. No. 1322. C. M. W. KECK, Cashier. Resources. Liabilities. Loans and discounts '. I $1.193, 987. 63 Overdrafts 7,270.97 IT. S. bonds to secure circulation... | 50,000.00 U. S. bonds to secure deposits i U. S. bonds on hand | Premiums on U. S. bonds | 6,500. 00 Stocks, securities, etc I 280, 576.40 Bank'ghouse,furniture,andiixtures! 51, 580. 88 Otlierreal estate and inortg's owned 92,416. 02 Due from other national banks 82, 628.31 Due from State banks and bankers. 7, 883. 77 Due from approved reserve agents. 106,488 45 Checks and other cash items 40,470.42 Exchanges for clearing house Bills of other national banks I 1,100.00 Fractional currency, nickels, cents. I 433.26 Specie 86,667.25 Legal-tender notes 39,142. 00 U. 3. certificates of deposit Redemption fund with Treas. TJ. S.I 2,250.00 ! Due from Treasurer TJ. S Total. I Capital stock paid in. $500,000.00 Surplus fund. Undivided profits, less current expenses and taxes paid National-bask notes outstanding. State-bank notes outstanding. 100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 118, 294.16 5,179.34 32,021.52 45,000.00 897. 60 Individual deposits i 1,248,002.74 United States deposits ! Deposits of U .S.disbursing officers.! Notes and bills rediscounted Bills payable I I Liabilities other than those above stated 2, 049, 395. 36 Total . 2, 049, 395. 36 First National Bank, Altoona. JOHN LLOYD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds onhand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total HENRY CRYDER, Cashier. No. 247. $361,184.50 l Capital stock paid in I $150,000.00 3,832.24 i j 50,000.00 i Surplusfund 68, 000. 00 J 50,000.00 i Undivided profits, less current 3, 585. 73 expenses and taxes paid 45, 000. 00 jj National-bank notes outstanding. 125, 412. 86 !i State bank notes outstanding 37,715.40 | 7, 200. 00 I Due to other national banks 4, 725. 50 49,703. 79 i Due to State bauks and bankers.. 21,363.94 114, 000.54 ii Dividends unpaid 34,391.58 817,691.45 Individual deposits 30, 000. 00 United States deposits 40, 000. 00 644. 04 Deposits of U.S.disbursingofficers. 171,830.00 83, 014. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 1, 709. 79 Liabilities other than those above stated 15,250.00 1,144,252. Total 1,1447252^68 Second National Bank, Altoona. JOHN P. LEVAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S Total. No. 2781. ;309, 095. 77 2, 275. 26 25, 000. 00 FRANK HASTINGS, Cashier. Capital stock paid i n . . . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 000. 00 15, 353. 00 14, 589.66 20, 665. 98 ! Due to other national banks 4, 312.48 j Due to State banks and bankers. 344.13 i 48, 961. 23 Dividends unpaid 1, 266. 71 Individual deposits 260.00 | United States deposits ! 208.28 i DepositsofU.S.disbursiugofficers.! 15, 464. 00 5, 725. 00 I Notes and bills rediscounted Bills payable ! 665.00 Liabilities other than those above stated 467,186.50 Total. $92,100.00 20,010.96 22, 500. 00 53.74 332, 521.80 467,186.50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 909 PEWBfSYLVAI^IA, First National Bank, Ambler. No. 3220. J . HAY WOOD, President. JNO. J . HOUGHTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits..-•-.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks ) Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of oilier national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. $257, 992. 76 i Capital stock paid in 1,081.46 li 25, 000. 00 i Surplus fund jj Undivided profits, less current expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 37,214.11 State-bank notes outstanding 13, 771. 03 9, 000. 00 Due to other national banks | 324. 00 Due to State banks and bankers.. j 38,034. 93 Dividends unpaid. 484.49 Individual deposits I ! 875. 00 United States deposits 267.11 Deposits of U.S.disbursing officers. [. 6, 216. 55 5,421.00 Notes and bills rediscounted. Bills payable 1,124. 75 j Liabilities other than those above I ij stated ! 399,307.19 Total . Total . $100, 000.00 50,000.00 6, 835. 01 22,495.00 20, 906. 33 184, 070. 85 15,000 399, 307.19 Annville National Bank, Annville. ANDREW KREIDEB, President. No. 2384. GEO. W. STINE, Cashier. $225,218.66 ! Capital stock paid in. 793.35 I 50,000. 00 \ Surplus fund Undivided profits, less current U. S. bonds on hand I j expenses and taxes paid Premiums on U. S. bonds ;National-bank notes outstanding. Stocks, securities, etc ! 3,162.86 j State-bank notes outstanding Bank'ghouse,furniture, and fixtures < Other real estate and mortg's owned; 9,546.09 j Due to other national banks Due from other national banks 1 632.53 Due to State banks and bankers.. Due from State banks and bankers. 110.19 Due from approved reserve agents. 8,564.03 j Dividends unpaid Checks and other cash items 513.00 Exchanges for clearing house Individual deposits Bills of other national banks 150. 00 United States deposits Fractional currency, nickels, cents. 34.83 DepositsofU.S.disbursingofficers. Specie 9, 317. 50 Legal-tender notes 1, 031. 00 Notes and bills rediscounted U. S. certificates of deposit Bills payable Redemption fund with Treas. U . S . 2, 250. 00 Due from Treasurer U. S Liabilities other than those above Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Total. 311, 324. 04 stated Total . $100,000.00 40, 000.00 7,641.90 44, 500.00 17,063. 61 561.81 180. 00 101, 376. 72 311,324.04 Citizens' National Bank, Ashland. WILLIAM H. HEATON, President. No. 2280. GEO. H. HELFRICH, Cashier. Loans and discounts I $231,959.42 Capital stock paid in. Overdrafts ' U. S. bonds to secure circulation... I 15,000.00 Surplus fund U. S. bonds to secure deposits | Undivided profits, less current U. S. bonds on hand [ expenses and taxes paid Premiums on U. S. bonds ; National-bank notes outstanding. Stocks, securities, etc I 105,226.59 State-bank notes outstanding Bank'g house, furniture, and fixturesj 8> 207.50 Other real estate and mortg's owned Due to other national banks Due from other national banks i 13,812.14 [ Due to State banks and bankers.. Due from State banks and bankers. I 1, 650. 38 Due from approved reserve agents-I 75, 317. 82 Dividends unpaid Checks and other cash items ; 538.74 Individual deposits Exchanges for clearing house ! Bills of other national banks | 5,510.00 United States deposits Fractional currency, nickels, cents. j 50.92 Depositsof U.S.disbursingofficers.j Specie ! 16,197.10 Legal-tender notes | 8, 224. 00 Notes and bills rediscounted. ! U. S. certificates of deposit • Bills payable Redemption fund with Treas. TJ. S.I 675.00 J Due from Treasurer U. S \ j Liabilities other than those above Total . 482, 369. 61 stated Total . $60, 000.00 30, 000. 00 10, 348. 39 12, 800. 00 68, 783.14 5, 316.09 295,121. 99 482, 369. 61 910 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Athens. No. 1094. NATHANIEL C. HARRIS, President. CHAS. T. HULL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bank'guouse,furniture,andnxtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S.certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $200, 302. 36 3, 571.14 25, 000. 00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid | I National-bank notes outstanding. 1, 039. 61 State-bank notes outstanding 11,200.00 27, 685. 00 Due to other national banks 1,979.21 Due to State banks and bankers. 1,838.18 20,471.96 Dividends unpaid. 256. 39 Individual deposits 182. 00 United States deposits 52.02 DepositsofU.S.disbursingofncers. 7, 923. 55 2, 356. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated 304, 982.32 Total. 40, 000. 00 3, 643. 69 22,500.00 127, 288. 63 11, 450. 00 304, 982. 32 Farmers' National Bank, Athens. No. 4915. J O B GRIFFIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $197,807. 79 249. 68 50, 000. 00 5, 680. 00 14, 100. 00 1, 600. 00 500. 00 27, 441. 48 O. L. HAVERLY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000. 00 10, 000. 00 2, 206. 71 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 059. 28 176. 64 Individual deposits 7io. bb" United States deposits 35. 04 Deposits ofU.S.disbursingofficers14, 880. 00 4, 250. 00 Notes and bills rediscounted. Bills payable 2,250.00 I Liabilities other than those above stated 261, 286. 21 53, 676. 83 2, 548. 02 Total.. 375, 728. 84 375, 728. 84 National Bank, Avondale. SAM'L WICKERSHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bankghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4560. $140,136.15 4.83 12, 500. 00 1,200.00 1, 390. 00 3, 245. 53 16.615.90 1, 926. 64 E. PUSEY PASSMORE, Cashier. Capital stock paid in. 10, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 416. 81 ! Individual deposits 10.00 j: United States deposits 11.08 1 Depositsof U.S.disbursingofticers. 1 6,278.10 3,602.00 502.50 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...'. 2, 257. 78 11, 250. 00 105, 558.14 J | Notes and bills rediscounted !j Bills payable I j Liabilities other than those above |[ stated 187, 482. 73 Total. 187,482.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 911 PENNSYLVANIA. First National Bank, Bangor. No. 2659. J. E. LONG, President. A. M. PAFF, Cashier. Resources. Loans and discounts Overdrafts V. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. !S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's ownedj Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S ! Liabilities. ;330, 613.47 1, 928.10 50, 000. 00 5, 500. 00 700. 00 6, 280. 00 " 2," 345* 96" 12, 624. 83 1, 625. 80 Capital stock paid in. 23, 500.00 Due to other national b a n k s . . , . . Due to State banks aud bankers.. 7, 948. 02 29.58 Dividends unpaid 4, 832. 45 3, 585. 00 2, 250. 00 10, 281.92 45, 000. 00 189. 00 | Individual deposits I United States deposits 136.69 I Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated 422, 422. 30 Total. ;170, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 142,140. 50 23, 333. 28 422,422.30 Merchants' National Bank, Bangor. No. 4513. WM. BRAY, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned; Due from other national banks ! Due from State banks and bankers, j Due from approved reserve agents, j Checks and other cash items Exchanges for clearing hoase Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ANDREW EYER, Cashier. $105,145. 69 Capital stock paid i n . . 234. 58 12. 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 250.00 National-bank notes outstanding . State-bank notes outstanding 'i4,'32i*6i" Due to other national banks Due to State banks and bankers.. 15,319.62 || Dividends unpaid. Individual deposits 130. 00 | United States deposits 137. 91 Deposits of U.S.disbursing officers. 3, 325. (30 5, 060. 00 Notes and bills rediscounted . Bills payable 562.50 I .jj Liabilities other than those above stated 157, 987. 51 Total . $50, 000. 00 7, 000. 00 2,137. 20 11, 250. 00 8, 375. 71 495. 00 78, 729. 60 157, 987. 51 First National Bank, Beaver. EDWARD B. DAUQHERTY, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on D. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U> S Total . EDWARD J . ALLISON, Cashier. No. 3850. $253,387.04 ! Capital stock paid in $50, 000. 00 203.49 | 12.500.00 i Surplus fund 34, 000.00 Undivided profits, less current expenses and taxes paid 2, 873. 88 National-bank notes outstanding. 11,250.00 State-bank notes outstanding 1, 200. 00 1, 875 00 Due to other national banks 403. 63 | Due to State banks and bankers. 602. 53 Dividends unpaid 52, 001. 11 15.00 165. 00 Individual deposits 239, 718.16 640.00 United States deposits 82.74 1 Deposits of U.S. disbursing officers. 1 7,164.00 |l 7,070.00 I i Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated , 337,857.04 Total . 337, 857.04 912 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Beaver Falls. No. 3356. JOHN REEVES, President. J . T. REEVES, Cashier. Resources. Loans and discounts Overdrai ts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents ! Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $212, 619. 06 404.56 37, 500.00 3,380.00 56*500.00 Capital stock paid in. . Due to other national banks . j Due to State banks and bankers.. 52 716.78 Dividends unpaid 5, 231. 38 I Individual deposits 566.66" j| United States deposits 230. 90 || DepositsofU.S.disbursingofficers. 19 423.40 5, 500. 00 ! i Notes and bills rediscounted. I Bills payable 1, 687. 50 Liabilities other than those above stated 389,693.58 Total. $150, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 7,100. 00 4, 422. 73 33, 750. 00 7, 284.87 318. 00 186, 817. 98 389, 693.58 Farmers' National Bank, Beaver Falls, FRANK F. BRIERLY, President. No. 4894. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits [ U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc ' Bank'ghouse,furniture,andfixtures ! Other real estate and mortg's owned Due from other national banks ' Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national paiiks I Fractional currency, nickels, cents. j Specie I Legal-tender notes. I U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S ' Total. GEO. W. MORRISON, Cashier. $199,419.71 j j Capital stock paid in. 114.76 25,000.00 Surplus fund • Undivided profits, less current expenses and taxes paid 2, 500.50 National-bank notes outstanding. State-bank notes outstanding 4, 000. 00 Due to other national banks Due to State banks and bankers.. 20, 068. 55 Dividends unpaid 2, 975. 31 Individual deposits 640. 00 United States deposits 27.12 Deposits of U.S.disbursing officers. 10,817.85 5, 500. 00 i Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above ! stated , 278,188. 80 $100, 000. 00 1, 500. 00 1, 326. 69 22,500. 00 1, 076. 57 30.00 151,755.54 278,188. 80 Total. First National Bank, Bedford. E. F. KERR, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghoiise,fnrniture,and fixtures Other real estate and mortg's owned | Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. EDM'D S. DOTY, Cashier. No. 3089. $216,741.23 812. 80 100, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current i expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000T00 28, 000. 00 4, 920. 47 90, 000. 00 30, 200. 00 Due to other national banks 9, 273. 55 I Due to State banks and bankers. 4, 314. 62 28, 044. 03 Dividends unpaid 3,451.47 Individual deposits 810. 00 United States deposits 181.75 Deposits of U .S. disbursing officers. 24, 358. 45 5, 000. 00 Notes and bills rediscounted Bills payable 4, 500.00 Liabilities other than those above stated Total . 6,922. 97 30.00 197, 814. 46; 427, 687. 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 913 PENNSYLVANIA. First National Bank, Bellefonte. GKO. F . HARRIS, President. No. 459. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. Liabilities. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $459, 823. 40 9, 692. 51 65, 000. 00 10, 000. 00 9,138.75 12, 797. 00 30,000. G O Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingotficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 8, 532. 75 78, 331. 85 4, 030. 52 746. 88. 58, 318. 18, 007. JNO. P. HARRIS, Cashier. 00 41 00 00 !, 925. 00 767, 431.19 $100,000, 00 65,000. 00 14,618. 64 58, 500. 00 40, 995. 38 488; 317.17 767, 431.19 First National Bank, Belle Vernon. W. J . MANOWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing how Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Jos. A. COOK, Cashier. No. 4850. I $5o,oooToo Capital stock paid in. Surplusfund 2, 500. 00 Undivided profits, less current 902. 28 expenses and taxes paid 1,500. 00 National-bank notes outstanding. 11, 250. 00 State-bank notes outstanding $61, 307.10 270.50 12,500.00 'I *266." 66" Due to other national banks Due to State banks and bankers. Dividends unpaid 200. 00 9,287.48 17.00 Individual deposits United States deposits 950.00 60.19 5, 728. 25 3, 280. 00 Deposits oiU.S.disbursiiigonicers. Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated , Total . .3.02 Total. 201. 00 32, 009. 74 96, 863. 02 First National Bank, Berwick. B. F. CRISPIN, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank 'g house,furniture, and fixtures Other real estate andmortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items .Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. OCJR, PT 2 No. 568. -58 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 655. 00 65, 819. 00 1, 500. 00 $75,000.00 50, 000.00 3, 937. 91 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 51,167. 79 2.25 1, 250. 00 170.91 9, 890. 40 530.00 12, 628. 60 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 2,199. 74 159, 498.09 Notes and bills rediscounted Bills payable 2, 250.00 I 346, 064.60 S. C. JAYNE, Cashier. Capital stock paid in. $154, 233. 69 4, 395. 82 50, 000. 00 Liabilities other than those above stated Total. 346, 064. 60 914 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Berwyn National Bank, Berwyn. No. 3945. J o s . "W. SHARP, President. J . COMLY HALL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $50,000.00 145,487.10 Total. $87, 296. 29 |! Capital stock paid in ! 216. 08 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 300. 00 National-bank notes outstanding. 9, 887. 03 State-bank notes outstanding. 8,900. 00 Due to other national banks "i ,708* 26* Due to State banks and bankers.. 846. 27 16, 648. 61 Dividends unpaid 1,158.00 Individual deposits 200. 00 United States deposits 156.81 Deposits of U.S.disbursing officers. 3,107. 25 1, 000. 00 Notes and bills rediscounted Bills payable 562.50 | Liabilities other than those above 145,487.10 stated Total. 10,000.00 1, 336.93 10, 930. 00 8,046.77 351. 84 10.00 64,811. 56 First National Bank, Bethlehem. GEORGE H. MYERS, President. Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 138. C. E. BREDER, Cashier, $570,135. 88 I Capital stock paid in | $300,000. 00 1,073.51 I 50, 000. 00 I Surplus fund 62, 000. 00 Undivided profits, less current expenses and taxes paid 43, 280. 72 4, 000. 00 National-bank notes outstanding. 44, 010. 00 64,447. 50 State-bank notea outstanding 30, 960.00 28, 943. 95 Due to other national banks 35, 617. 01 Due to State banks and bankers.. 1, 321. 28 2,357.12 49,152. 29 Dividends unpaid 139. 00 2, 703. 42 Individual deposits 9,751.34 4, 574. 00 United States deposits 235. 56 Deposits of U .S.disbursing officers. 31, 659. 00 20, 281. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated , 869,446.29 Total . 869,446. 29 Lehigh Valley National Bank, Bethlehem. ROBERT P . LINDERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2050. GEO. A. REED, Cashier. $877,007.90 | Capital stock paid in $300, OOOTOO 8, 004. 67 50,000. 00 Surplus fund 200, 000.00 Undivided profits, less current expenses and taxes paid 77, 230.77 5,000. 00 National-bank notes outstanding. 34, 270. 00 50, 000.00 State-bank notes outstanding 60,000. 00 9, 785. 00 Due to other national banks 32, 611. 24 9, 280. 39 Due to State banks and bankers.. 2, 542.52 96, 989. 71 Dividends unpaid. 5, 289. 44 Individual deposits 598,494.43 4,620.00 !! United States deposits 298.50 !! Deposits of U.S.disbursing officers . 55,553.35 11,065.00 Notes and bills rediscounted. Bills payable 2, 250.00 5.00 Liabilities other than those above I stated J 1,245,U8.9G ! Total, . , j 1,245,148.9 REPORT OF THE COMPTROLLER OF THE CURRENCY. 915 PENIVS1LVANIA, First National Bank, Birdsboro. No. 3905. EDWARD BROOKE, President. Win. LINCOLN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,f urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $169,481.25 24.94 12,500.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding. 15, 000. 00 State-bank notes outstanding 500. 00 Due to other national banks 10,814.45 Due to State banks and bankers. 25,428. 53 Dividends unpaid 413. 98 Individual deposits 300. 00 United States deposits 40.85 Deposits of U.S.disbursing officers. 10, 289. 00 1, 800. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 25, 000. 00 Total. 248,155. 50 18, 520.91 11,250.00 276.10 143,108.49 248,155. 50 First National Bank, Blairsville. PAUL GRAFF, President. T. D. CUNNINGHAM, Cashier. No. 867. koans and discounts $186,133. 48 Capital stock paid in. $80, 000. 00 Overdrafts 1, 226. 69 U. S. bonds to secure circulation... 60, 000. 00 Surplus fund 50, 000.00 Undivided profits, less current U. S. bonds to secure deposits U. S. bonds on hand expenses and taxes paid 5, 380.48 Premiums on U. S. bonds J 52, 943. 00 National-bank notes outstanding. Stocks, securities, etc | 4,300.00 State-bank notes outstanding Bank 'ghouse, furniture, and fixtures 7, 000. 00 Other real estate and mortg's owned 1, 650.00 Duo to other national banks Due from other national banks 9, 266. 44 Due to State banks and bankers. Due from State banks and bankers. Due from approved reserve agents. 14, 849.41 Dividends unpaid 255. 00 Checks and other cash items 1, 366.68 Individual deposits 109,325.01 Exchanges for clearing house Bills of other nationalbanks 140.00 United States deposits Fractional currency, nickels, cents. 141.84 Deposits of U.S.disbursing offic Specie 4, 628. 95 Legal-tender notes 4, 500. 00 Notes and bills rediscounted Bills payable U. S. certificates of deposit 2, 700. 00 Redemption fund with Treas. U. S Liabilities other than those above Due from Treasurer U. S stated Total. Total. 297, 903.49 297, 903. 49 Blairsville National Bank, Blairsville. JNO. H. DEVERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4919. ROBT. M. WILSON, Cashier. $82, 670. 22 Capital stock paid in. 16.05 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 000. 00 2, 250. 00 National-bank notes outstanding. 9, 750. 00 State-bank notes outstanding 8, 000. 00 Due to other national banks Due to State banks and bankers. 14,016.89 Dividends unpaid 393.36 Individual deposits 325.00 United States deposits 133. 60 Deposits of U.S.disbursing officers. 5, 514.05 1, 275. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above $50, 000. 00 1,000.00 1,364.50 11, 250, 00 6.00 78, 786.17 stated 142, 406. 67 Total. 142,406. 67 916 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Bloomsburg. No. 293. E. W. M. Low, President Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bondson hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture* Other real estate and ruortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of othernationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S Total. $202, 278. 58 477.46 50, 000. 00 89,520.00 21, 000. 00 268. 32 10, 848. 66 814. 88 54, 858.17 2, 578. 82 214.66 418.63 12, 410. 25 7, 945. 00 2, 250. 00 E. B. TUSTIN, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 75, 000.00 22, 907. 96 45,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 34, 298. 28 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated 228, 676. 53 455, 882. 77 Total. 455, 882. 77 Farmers' National Bank, Bloomsburg. No. 4543. WM. S. MOYEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Check s and other cash item s Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S Total $112, 043.19 7.69 50, 000. 00 5,487. 50 30,550. 00 4, 500. 00 268. 34 2, 534. 61 15, 255. 68 501.15 776.66 12.47 8, 704. 75 9, 652. 00 2, 250.' 66 242, 537. 38 A. H. BLOOM, Cashier. Capital stock paid in $50, 000. 0,0 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 645. 07 45, 000. 00 Due to other national banks Due to State banks and bankers.. 5, 772.12 5,874.68 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 10, 000. 00 168.00 121,077. 51 Notes and bills rediscounted Bills payable Liabilities other than those above stated . . . Total 242, 537.38 Miners' National Bank, Blossburg. S. W. POMEROY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. L. SMITH, Cashier. No. 5007. $41,160.00 Capital stock paid in 100. 00 Capital stock not certified Surplus fund 900. 00 Undivided profits, less current expenses and taxes paid 521.40 2, 859. 75 1, 300. 00 National-bank notes outstanding. 20,000. 00 State-bank notes outstanding 9,653. 50 Due to other national banks 1, 692. 82 446. 86 Due to State banks and bankers... 31,084.88 773.27 Dividends unpaid 83,514. 53 265.00 I Individual deposits 9.18 j United States deposits 8,403.43 Deposits ofU.S.disbursing officers. 2,474.00 Notes and bills rediscounted. Bills payable $55, 062. 05 1.33 12, 500. 00 562. 50 136, 642. 25 Liabilities other than those above stated , Total. 136, 642.25 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Farmers' National Bank, Boyertown. No. 2900. T. J. B. RHOADS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand , Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banksand bankers. Due from approved reserve agents. j Checks and other cash items I Exchanges for clearing house..' 1 Bills of other national Tbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. B. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total . M. L. HARTMAN, Cashier. Liabilities. $167, 432. 58 299. 79 12,500. 00 1,250.00 654. 02 18,831.55 8.70 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 6, 956. 70 11,250.00 4, 028.10 Individual deposits I United States deposits |. DepositsofU.S.disbursingofficers. 1 9, 314.12 472. 56 Due to other national banks j Due to State banks and bankers.. j. Dividends unpaid j 121, 769. 06 250. 00 189.89 6, 544.15 6, 360. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 224, 669. i Total. 666. 00 5, 000.00 224, 669.86 National Bank, Boyertown. No. 2137. DANIEL L. RHOADS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $308, 717.40 2,518.71 90, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6,100. 00 22,638.11 8, 800. 00 7, 858. 82 Due to other national banks 5, 057. 29 Due to State banks and bankers. 4,129. 85 Dividends unpaid 57.90 Individual deposits 75.00 United States deposits 131.36 Deposits of U.S.disbursingomcers. 4, 690. 65 8, 035. 00 Notes and bills rediscounted. Bills payable 1,480.00 Liabilities other than those above stated 470, 290. 09 Total. MILTON A. MOEY, Cashier. Capital stock paid in . Total. $100, 000.00 65, 000.00 3, 061.94 81, 000.00 10,446.76 849. 00 209, 932.39 470, 290. 09 First National Bank, Braddock. W. H. WATT,*President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Banlrgbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2799. H. C. SHALLENBEKGER, Cashier. $259. 732. 21 Capital stock, paid in $75, 000.00 104. 39 19,000. 00 Surplus fund 15,000.00 Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 30,211.17 State-bank notes outstanding 3, 000. 00 6, 345.16 17,100. 00 Due to other national banks 1, 618. 47 Due to State banks and bankers..! i 57,139. 89 Dividends unpaid 1, 036. 66 Individual deposits " 1,170. 00 United States deposits j 65. 96 Deposits of U.S.disbursingofficers. I 7, 885. 30 ! 5, 580. 00 Notes and bills rediscounted. 77.67 275, 376. 22 Bills payable 855. 00 388, 899.05 Liabilities other than those above stated Total . 388, 899. 05 918 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Braddock National Bank, Braddock. No. 2828. R. E. STEWART, President. J . Gr. KELLY, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furnit ure,and fixtures Other real estate and mortg's owned: Due from other national banks '' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit [Redemption fund with Treas. U . S . Due from Treasurer U. S Total Liabilities. $703, 470. 37 Capital stock paid in | 410. 64 50,000.00 | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 98, 595.00 State-bank notes outstanding 16, 000.00 Due to other national banks Due to State banks and bankers. 49, 059. 97 76, 896. 40 Dividends unpaid 1,751.71 Individual deposits U nited States deposits 380. 61 Deposits of U.S.disbursingofficers. 16,917.80 21,893. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 1, 037, 625. 50 i Total $100, 000.00 170, 000. 00 7, 071.42 45, 000. 00 715, 554. 08 1,037,625.50 First National Bank, Bradford. F . W. DAVIS, President. N o . 2470. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national b a n k s . . . . . . . Fractional currency, nickels, cents. vSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 878,500.59 j Total. "W. W. BELL, Cashier. $600,899.20 i Capital stock paid in. 3,061.56 i| 37,500,00 :j Surplus fund Undivided profits, less current expenses and taxes paid 3, 000.00 National-bank notes outstanding. State-bank notes outstanding 3, 500. 00 6, 973. 56 Due to other national banks 3, 886. 60 Due to State banks and bankers.. 7, 403. 80 161,122.17 Dividends unpaid 237.84 Individual deposits "696.00 United States deposits 59. 01 Deposits of U. S.disbursing officers. 40, 003. 35 7, 770. 00 Notes and bills rediscounted Bills payable 1, 687. 50 700. 00 Liabilities other than those above stated $150, 000.00 50, 000. 00 36,511.01 33, 750. 00 3, 084. 02 14, 522. 21 590, 633. 35 878,500.59 Total. Bradford National Bank, Bradford. O. F . SCHONBLOM, President. Loans and discounts Overdrafts ' U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. S. P. KENNEDY, Cashier. No. 2428. $847,142.49 2, 063, 50 200.000.00 154,000.00 63, 617. 50 8, 000. 00 15, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 90,000. 00 9, 776.17 180. 000. 00 Due to other national banks 17,520.96 Due to State banks and bankers. 12. 570. 53 129,539.13 Dividends unpaid 80.00 503. 47 Individual deposits i 1, 068, 276.42 2,456* 66" United States deposits... .* 445. 01 Deposits of U. S.disbursing officers 70, 274. 00 16, 000. 00 I Notes and bills rediscounted. Bills payable 9,000.00 Liabilities other than those above stated 1, 548,132.59 Total 1,548,132.59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 919 PENNSYLVANIA. Commercial National Bank, Bradford. C. H. LAVENS, President. No. 4199. W. H. POWERS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankgbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $296,829.68 6,224. 53 25,000. 00 Capital stock paid in I $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 10, COO. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 126. 46 16, 845. 90 Individual deposits ""2," 598." 66' United States deposits 98.11 Deposits of U. S.disbursing officers - 370,715.14 2, 750. CO 7,319.50 20, 000. 00 10,913.25 45.126.23 68, 012. 89 23. 75 29, 898. 30 11,800.00 1,125.00 7, 531. 74 22.500.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 527, 719. 24 527, 719. 24 Farmers' National Bank of Bucks County, Bristol. B. J. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits "U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bo use, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S No. 717. $92, 220.00 Surplus fund Undivided profits, less current 6, 000. 00 expenses and taxes paid 551.06 National-bank notes outstanding. 51,143. 75 State-bank notes outstanding 9, 500. 00 Due to other national banks 2,518.88 Due to State banks and bankers.. I 59,187.17 | Dividends unpaid 1,793. 00 120, 000. C O Individual deposits United States deposits Deposits of U.S.disbursing officers. 407,134.93 40,000.00 1, 395. 00 34.02 43, 540. 00 18, 060. 00 1, 800. 00 12,299 70 34, 370.00 45, 571. 67 1, 389.18 393. 60 Notes and bills rediscounted Bills payable Liabilities other than those above stated 713, 379.08 Total . CHAS. E. SCOTT, Cashier. Capital stock paid in. $474, 856. 20 Total . 713, 379. 08 Jefferson County National Bank, Brookville. J . B. HENDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stock, securities, etc Bank'g bouse,furniture andfixtures Other real estate and mortg's owned Due from other national banks Due from State b?.nks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2392. $178,192.04 537. 90 50, 000. 00 47, 950.00 53,400. 00 15, 000.00 1,900. 00 7, 360. 86 234. 65 64, 667. 36 2,442.17 3, 090. 00 169. 58 35, 944. 90 15,150.00 2, 250. 00 J . S. CARROLL, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ~$5o,ooo7oo 31, 000. 00 11, 209. 41 44, 997. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 341,083.05 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 478, 289.46 920 REPORT OF THE COMPTROLLER OP THE CURRENCY* PENNSYLVANIA. National Bank, Brookville. WILLIAM DICKEY, President No. 3051. T. L. TEMPLETott, Cashier. Resources. Loans and discounts Overdrafts XL S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $226, 043.41 1,376.47 25. 000. 00 2,500. 00 3, 000. 00 24, 500. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid Kational-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 49, 426. 53 Dividends unpaid 544. 94 Individual deposits 660. 00 United States deposits 396. 22 Deposits of U.S.disbur.singotficers. 12,243.25 3, 000.00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 16,500.00 3, 370.71 22, 500.00 176. 45 Total - 349, 992. 27 15.00 207,606. 56 349,992. 27 Second National Bank, Brownsville. S. S. GRAHAM, President. Loans and discounts { Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S O. R. KNIGHT, Cashier. No. 2673. $226, 886. 43 Capital stock paid in. $100,000. 00 1,142.44 25, 000. 00 Surplus fund 55, 000.00 Undivided profits, less current expenses and taxes paid 3,774.99 2,500.00 National-bank notes outstanding. 22,500.00 6,849.86 State-bank notes outstanding 10, 296.00 27,176.68 Due to other national banks 167. 29 46,846. 50 Due to State banks and bankers.. 25,447. 94 696. 09 518. 00 755. 32 19, 280.00 10.00 1,125. 00 Dividends unpaid 118,873.48 Notes and bills rediscounted Bills payable Liabilities other than those above stated 347,683. 76 Total. 521.50 Individual deposits United States deposits DepositsofU.S.disbursingofficers 347, 683.76 Total. Monongahela National Bank, Brownsville. C. L. SNOWDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bouds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 648. $180, 375.55 3, 910.67 100,000.00 11,000.00 30,100.00 25,000.00 4, 775.39 953. 30 11, 523.40 3, 759.41 200.00 74.02 13,810. 40 1,795.00 4, 500. 00 391, 777.14 W. A. EDMISTON, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers $100,000.00 60, 000.00 8,319.97 90, 000. 00 220.56 2, 684.17 130, 552.44 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 391, 777.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 921 National Deposit Bank, Brownsville. JOSEPH S, ELLIOTT, President. 0. X. TAYLOR, Cashier. No. 2457. Resources. Loans and discounts Overdrafts • U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $281,466. 77 367. 78 50, 000. 00 Capital stock paid i n . . . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding' . j State-bank notes outstanding... 100, 000.00 5,374.37 45, 000. 00' 1, 600.00 34, 042. 04 654. 33 1,565.66 124, 30 13,115.00 3,165. 00 2, 250.00 Due to other national banks Due to State banks and bankers.. I Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 598.15400.00) 186, 977. 7» Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 388, 350. 22 388,350.22 Bryn Mawr National Bank, Bryn Mawr. W M . H. RAMSEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 376' $177,049.90 102.42 12, 500. 00 J. W. MATLACK, Cashier. Cap tal stock paid in $50, 000.00 Surplus fund 1 Undivided profits, less current expenses and taxes paid i*666." 66' National-bank notes outstanding. 10, 660.00 State-bank notes outstanding 900.00 Due to other national banks 5, 709. 25 Due to State banks and bankers 8, 643. 68 26, 634. 05 Dividends unpaid 457.96 Individual deposits 1,250. 00 United States deposits 330.82 Deposits of U.S.disbursingofficers. 5, 400. 00 2,100. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 253, 300.58 20, 000.00 5, 048. 97 11,250.00 35, 252. 61 9.00 126,740. 00 5, 000. 00 Total 253, 300. 58 Burgettstown National Bank, Burgettstown. A. H. KERR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2408. $292, C28.07 J". L. PATTERSON, Cashier. Capital stock paid in.. $80,000. 00 * 25,666.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,700.00 National-bank notes outstanding. 20,258. 85 State-bank notes outstanding 20, 000. 00 2, 200.00 Due to other national banks 729. 20 Due to State banks and bankers. 43, 025.07 Dividends unpaid 50, 000.00 18, 984.94 22,500.00 735.00) Individual deposits 500. 00 United States deposits 166. 20 DepositsofU.S.disbursingofncers 13, 750. 00 3, 000. 00 I Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 424,082.39 I Total 251,862.45 i ! 424,082.39' 922 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Butler County National Bank, Butler. No. 4374. JOSEPH HARTMAN, President. C. A. BAILEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. Liabilities. $624, 562.17 2,333. 33 25, 000.00 1G0,000.00 33, 500. 00 Capital stock paid in ! $100, 000. 00 Surplus fund Undivided profits, less current expenses aud taxes paid National-bank notes outstanding. State-bank notes outstanding CO, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 763. 87 18,180. 09 22,500.00 16, 795. 94 10,120.99 126, 214. 43 4,777.18 " ' " i , 650. 00 358. 97 36,029.10 7, 500.00 1,125. 00 Individual deposits United States deposits i Deposits of U.S.disbursing officers. j 848,523.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1,049,967.11 1,049, 967.11 First National Bank, California. No. 4622. ISAAC C. AILES, President. Loan and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $124,673. 28 671.18 25, 000. 00 2,000.00 " 1,500. 00 55.87 13, 226. 25 1,100.00 35.98 8, 900. 00 5, 000. 00 1,125. 00 JOHN S. EBERMAN, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of tJ.S.disbursingofiicers. 8, 000. 00 3,953.15 22, 500.00 899. 50 97, 934. 91 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 183,287.56 183, 287. 56 First National Bank, Canonsburg. W M . MARTIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie — Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U, S Total. No. 4570. $131,130.65 262. 50 12, 500.00 GEO. D. M C N U T T , Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 1, 350. 00 National-bank notes outstanding. 32,500. C State-banknotes outstanding O 7, 250. 00 Due to other national banks 2,342.01 Due to State banks and bankers. HI. 35 35,099. 33 Dividends unpaid 200. 00 34.97 8, 600.00 7, 500. 00 562. 50 239, 363. 31 Individual deposits United States deposits Deposits of U.S.disbursingofiicers- $50, 000. 00 15, 000. 00 6, 764. 21 11,250.00 156, 349.10 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 239, 363. 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 923 P E N N S Y L VA1VIA, First National Bank, Canton. No. 2505. DANIEL INNES, President. GEO. A. GUERNSEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $123,721.44 496. 07 50, 000. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 2,424.02 32,833.10 889.45 10, 348. 29 Due to other national banks Due to State banks and bankers. 10. 631. 72 Dividends unpaid 3,339. 27 Individual deposits 80.00 United States deposits 19.52 Deposits of U.S.disbursing officers. 10, 641. 75 4,075. 00 Notes and bills rediscounted. Bills payable 2,250. 00 Liabilities other than those above stated 251, 749. 63 Total. :; Total 10,000. 00 4, 678. 98 44, 500. 00 1,155. 63 2, 288.80 139,126. 22 251, 749. 63 First National Bank, Carbondale. W M . W. BEONSON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 664. $146,998. 76 553. 52 110,000.00 4,125.00 514, 550.00 9, 000. 00 4. 500.00 781. 68 414. 75 32,791.59 903.73 1,680.00 237.80 52,035.41 12, 525. 00 4,950.00 JAMES STOTT, Cashier. Capital stock paid in . $110,000. 00 Snrplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 80, 000. 00 20, 693. 07 99, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 31.68 738.39 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 585,174.10 410. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 896, 047. 24 Total. 896,047.24 Merchants' National Bank, Carlisle. JNO. W. WETZEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4444. $204,457. 87 114.89 100, 000. 00 37, 512. 50 2, 000. 00 4, 344.16 37, 245. 20 450. 99 57.48 6, 351. 00 5,180.00 4, 432.50 402,146.59 T. J . PARMLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding $100, 000.00 20, 000.00 11,111.83 87, 437.50 Due to other national banks Due to State banks and bankers . . Dividends unpaid 6, 435. 61 75.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 177, 050. 65 36.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 402,146.59 924 REPORT OF THE COMPTROLLER OP THE CURRENCY. PENNSYLVANIA. First National Bank, Carnegie. WM. PICKERSGILL, JR., President. No. 4762. HERBERT A. JOHNS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $178,587.74 27. 43 12, 500. 00 1,375.00 1,471.32 19, 209. 20 153. 00 ""305.'66' 174.18 6, 415. 50 1, 721. 00 562. 50 222,501.87 Capital stock paid in. $50.000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 12, 050. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 123, 456.58 Notes and bills rediscounted Bills payable 2, 745. 29 11,250.00 8, 000.00 Liabilities other than those above stated Total . 222, 501.87 National Bank, Catasauqua. FRANK M. HORN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. R. HORN, Cashier. No. 1411. $502, 386. 88 Capital stock paid in $400, 000. 00 6, 288.19 50,000.00 Surplus fund 44, 000. 00 Undivided profits, less current expenses and taxes paid 21,891.40 7, 500. 00 National-bank notes outstanding. 45, 000.00 204, 262.13 State-bank notes outstanding 24,864.00 58,891.06 Due to other national banks 29, 628. 92 18, 867. 53 Due to State banks and bankers.. 15, 479.14 1, 809. 56 60, 338. 77 Dividends unpaid 188. 09 47.62 Individual deposits 452,147.14 United States deposits 608.20 Depositsof U.S.disbursingoflicers. j 46,716. 75 23,504.00 Notes and bills rediscounted... Bills payable 2, 250.00 Liabilities other than those above stated 1, 008, 334. 69 Total 1, 008, 334. € First National Bank, Catawissa. J. H. VASTINE, President. Loans and discounts O rerdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total W. M. VASTINE, Cashier. No. 4348. $73,702.38 Capital stock paid in. ..TT........I $50,000.00 164. 54 50, 000. 00 Surplus fund 5, 200.00 Undivided profits, less current 2, 650.86 expenses and taxes paid 5,750. 00 National-bank notes outstanding. 45,000.00 29,505.05 State-bank notes outstanding 1, 000.00 9, 876.00 Due to other national banks 1,061. 65 Due to State banks and bankers.. 85.39 289. 27 13, 639. 20 Dividends unpaid 2,448.34 Individual deposits :0, 276.18 United States deposits 31.00 Depositsof U.S.disbursingofficers. 11,747. 00 1, 500. 00 Notes and bills redivscounted. Bills payable 2,250. 00 Liabilities other than those above stated 193, 088. 43 Total. 193,088.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 925 National Bank, Chambersburg. No. 593. SAML. M. LINN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $346,664.11 637.50 50, 000.00 $260, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 050. 00 202,500. 00 29,450. 00 600. 00 Due to other national banks 16,616.51 10, 767. 02 Due to State banks and bankers.. 84,952. 94 Dividends unpaid 3,959. 24 Individual deposits 8, 000. 00 United States deposits 415. 91 Deposits of U.S.disbursingofficers. 42, 547. 70 10,159. 00 2, 250. 00 25, 000. 00 5, 927. 52 45, 000. 00 25,499.07 399.00 454,744.34 Notes and bills rediscounted. Bills payable Liabilities other^ than those above stated I 816, 569.93 Total. J. S. MCILVAINE, Cashier. Liabilities. Total. 816, 569. 93 Valley National Bank, Chambersburg. JNO. R. ORE, Cashier. No. 4272. G-. H. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $178,900.89 105. 86 25, 000. 00 36, 200. 00 8.426. 25 54, 641. 60 24, 495.52 30, 685.53 24, 800.53 91, 683.75 2,853. 07 3, 000. 00 454.60 21, 805. 25 13, 055.00 1,125.00 517, 232.85 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 22,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10,436. 55 872.95 Individual deposits United States deposits Deposits of U. S. disbursing officers. 358, 785.23 6,498.12 18, 640. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. . 517,232.85 First National Bank, Charleroi. W M . D. HARTUPEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4534. $119, 445. 30 2,177.49 12, 500.00 1, 250.00 J. K. TENER, Cashier. Capital stock paid i n . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 10, 000. 00 2, 890.41 11, 250.00 "i7,"640.*67" 10.00 46.10 11, 054. 05 1, 594.10 420. 99 14, 706. 58 5,485. 00 562.50 I 188, 312. 78 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 114,172.37 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 188,312.78 926 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Chester. GEO. M. BOOTH, President. No. 332. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $492, 694.19 9.23 75,000. 00 9,150. 00 7, 070. 46 58,000. 00 2, 061. 62 81.505.66 14,124.54 2, 089. 37 2, 848. 00 121.50 21, 285. 00 10, 310.00 3, 375.00 779, 644. 57 T. EDWARD CLYDE, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $100,000.00 65, 000. 00 16, 312.00 67,500.00 19, 465. 96 36,499.91 748. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 474,118. 70 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 779, 644.57 Chester National Bank, Chester. J . FRANK BLACK, President. Loans and discounts Overdrafts " . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2904. S. H. SEEDS, Cashier. $854, 399. 84 207.36 100,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 10, 500. 00 National-bank notes outstanding 86,824. 31 State-bank notes outstanding 20,000. 00 5,000. 00 2, 860. 26 1,884. 58 40, 930. 51 10,527. 89 3,184. 67 3, 300. 00 2,799. 75 42,775. 25 7, 595. 00 4,500.00 914. 00 1,198,203.42 $300, 000. 00 150, 000.00 18, 994. 89 90, 000. 00 Due to other national banks Due to State banks and bankers. . Dividends unpaid 16, 433. 95 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 622, 624. 58 150. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,198,203.42 Delaware County National Bank, Chester. B. T. HALL, Cashier. No. 355. $1, 251,342. 38 Capital stock paid in Loans and discounts $300, 000.00 6.33 Overdrafts 150, 000. 00 Surplus fund • U. S. bonds to secure circulation... 300, 000. 09 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 57,051.11 Premiums on U. S. bonds National-bank notes outstanding. 135, 000.00 2, 000. 00 State-bank notes outstanding Stocks, securities, etc. 50, 000. 00 Bank'g house,!'urniture,and fixtures 7,000.00 Due to other national banks Other real estate and mortg's owned 40, 417. 87 4, 614. 20 Due from other national banks 26, 841.78 Due to State banks and bankers.. Due from State banks and bankers. Due from approved reserve agents. 148, 043.46 Dividends unpaid 1, 060. 00 Checks and other cash items 10, 517.95 Exchanges for clearing house Individual deposits 891, 583. 34 Bills of other nationalljanks 24,598. 00 United States deposits Fractional currency, nickels, cents. 1,356.78 Deposits of U.S. disbursing officers. Specie 75, 725. 00 Legal-tender notes 20,000. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 6, 750. 00 Due from Treasurer TJ. S Liabilities other than those above stated Total..-. 1,751,954.10 Total 1,751,954.10 J. H. ROOP, President. REPORT OF THE COMPTROLLER OF THE CURRENCY. 927 PENNSYLVANIA, National Bank, Christiana. No. 2849. I. W. SLOKOM, President. S. SLOKOM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'g bouse, furniture,andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $124,042.44 Capital stock paid i n . £2,566.6o $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid *27,"685. 95 4, 881.51 Individual deposits United States deposits Deposits of U.S.disbursing officers. 1,000. 00 "4,8'u.h'd 26, 000.00 16, 270.35 4,362.80 10, 250. 00 5.00 800. 00 2.11 8,882. 00 1,480. 00 I Notes and bills rediscounted Bills payable ""562." 50' Liabilities other than those above stated Total. 181, 769. 66 181,769.66 First National Bank, Clarion. No. 774. G. W. ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'grtouse,furniture,and fixtures Other real estate and m o r t g s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $266, 610. 64 38.11 100, 0<>0. 00 18, 650. 00 7, 449. 00 1,900.00 18, 000.00 1, 520.81 40.73 642. 25 25,715. 50 817. 32 F . M. ARNOLD, Cashier. Capital stock paid i n . $100, 000. 00 Surplus fund Undivided p , profits, less current dt id expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1 i Due to other national banks j ! Due to State banks and bankers ..' 3,620. 00 374. 57 38, 825.00 12, 269. 00 4, 500. 00 500,972.93 80, 000. 00 9, 636. 70 85, 200. 00 • 204.30 Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursingofflcers. 225,931. 93 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 500,972. 93 Second National Bank, Clarion. M. ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. I. M. SHANNON, Cashier. No. 3044. $135, 878.16 Capital stock paid in. $50, 000. 00 1, 778. 51 30, 500. 00 Surplus fund 14,000.00 Undivided profits, less current 8,950.00 I .expenses and taxes paid 14, 866. 67 5, 026. 00 1National-bank notes outstanding. 27, 450.00 63,559.58 | State-bank notes outstanding 5, 088.10 I 672.28 Due to other national banks 201.92 Due to State banks and bankers.. 455. 82 49, 424. 74 Dividends unpaid 501. 63 Individual deposits 219,189.87 80.00 United States deposits 207. 43 Depositsof U.S.disbursing officers 13,705.40 I I 9, 330. 00 Notes and bills rediscounted 821.69 Billspayable 1, 372. 50 Liabilities other than those above stated , 326, 530.15 I Total. 326,530,15 928 REPORT OP THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Claysville. No. 4273. JOHN THOMPSON, President. H. H. MILLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts X S. bonds to secure circulation... L U. S. bonds to secure deposits U. S. bonds on hand Premiums onU.S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks. Fractional currency, nickels, cents. Specie Legal-tender notes ; IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $105,431.11 2, 594.19 12, 500. 00 Capital stock paid in. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,300.00 12, 020. 85 3, 040. 00 5,800. 00 Due to other national banks 56.28 Due to State banks and bankers. 169. 59 11,443.42 Dividends unpaid 250.33 Individual deposits 266. 00 United States deposits 37.86 DepositsofU.S.disbursingofficers. 5,210.00 1, 500. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than thosi above stated Total . 102,182.12 10,000.00 3, 289. 77 11,250.00 8.00 87,634.35 162,182.12 National Bank, Claysville. J . R. MCLAIN, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures! Other real estate andmortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U, S. • W. C. KING, Cashier. No. 4255. $198,996. 62 Capital stock paid in. $50, 000.00 139.85 12,500. 00 Surplusfund 22,000. 00 Undivided profits, less current expenses and taxes paid 1,370.36 1,620.00 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding 2,108.15 Due to other national banks 2, 994. 03 50.03 Due to State banks and bankers.. 9,355.33 Dividends unpaid. 144.21 Individual deposits 155, 045.12 235.00 United States deposits 34.47 Deposits of U.S. disbursing officers. 8,913.35 8,000.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 242, 659.51 Total. Total . 242,659.51 Clearfield National Bank, Clearfield. A. R. POWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4836. $195,388.63 402. 90 25,000.00 2,800.00 42,976.32 2,313.84 3,751.44 13, 279.24 5,476. 32 68,013. 91 1, 054.11 420. 41 14, 073.00 4, 985. 00 1,125. 00 381,060.12 I E. E. LINDEMUTH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursingofficers. $100, 000. 00 18, 000.00 1,863. 69 22, 500.00 2,813.41 2,151.26 233, 731.76 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 381,060.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 929 PENNSYLVANIA. County National Bank, Clearfield. T. H. FoRCEY, President. No. 855. H. B. POWELL, Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bondsto secure deposits U. S. bonds oi> hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S $705, 633.12 5, 784. 64 100,000. 00 Capital stock paid in 37, 090. 27 41, 685. 99 9, 513.17 Due to other national banks 8, 913.40 : Due to State banks and bankers.. 5, 832. 88 216, 360. 52 j Dividends unpaid 6, 338.47 ! Individual deposits 3,'469." 66" United States deposits 1,101. 58 Deposits of U.S. disbursing officers. 85. 230. 06 860. 00 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 1, 232,313.10 Total $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 165,000.00 21, 355. 35 90, 000. 00 3, 622. 55 3, 332. 39 68.00 848, 934.81 1, 232,313.10 National Bank, Coatesville. SAM'L GREENWOOD, President, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. W. POWNALL, Cashier. No. 3990. $135,786.85 I! Capital stock paid in $100,000.00 598.41 | 75,000.00 Surplusfund 11,500.00 Undivided profits, less current 22,228.37 expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 67, 500. 00 54, 515. 02 State-bank notes outstanding 11, 585. 91 23,389.07 Due to other national banks 20,105.97 3, 013.45 Due to State banks and bankers.. 13,441.90 Dividends unpaid 816.46 Individual deposits 115,853.16 ioo.'oo" United States deposits 92.43 Depositsof U.S.disbursing officers. 8,473. 00 1, 000. 00 Notes and bills rediscounted. Bills payable 3, 375. 00 Liabilities other than those above stated 337,187.50 Total. 337,187. 50 National Bank of Chester Valley, Coatesville. J. W. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR, PT 2 No. 575. $281, 439. 82 171. 35 50, 000. 00 $200.000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks 16, 818. 49 Due to State banks and bankers. 1, 502. 49 82,008. 21 Dividends unpaid 1,455.98 Individual deposits 5, 221. 00 United States deposits 424.10 Depositsof U.S. disbursing officers. 22,450. 00 4, 000. 00 Notes and bills rediscounted. Bills payable 32, 266. 09 4, 500. 00 205,731.00 13,350.00 13,854. 37 45,000.00 300,201.98 2,250.00 Liabilities other than those above stated 691, 322.44 59 H. J . BRANSON, Cashier. Capital stock paid in. Total. 691, 322.44 930 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Cochranton. HUGH SMITH, President. N o . 4971. JESSE MOORE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... X S. bonds to secure deposits L U. S. bonds on band Premiums on D. S. bonds Stocks, securities, etc Bank'ghouse, furniture.and fixtures Otber real estate and mbrtg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S $78,994.07 89.23 22, 500. 00 i 3, 1, 6, 3, 1, Capital stock paid in. 800. 00 300. 00 990.00 355. 00 796. 05 420. 00 648.57 19, 950. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 10. 762. 188. Individual deposits United States deposits '. Deposits of U.S.disbursing officers - . " 1,625. 125. 9,120. 3, 000. Notes and bills rediscounted Bills payable 1,012.50 I 73, 639. 60 \. Liabilities other than tbose above I stated 144,658.17 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 144, 658.17 First National Bank, Columbia. No. 371. HUGH M. NORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse, furniture, and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ' Redemption fund with Treas. U. S J Due from Treasurer U. S | 884. 98 18, 862. 43 10 300. 15 27 288. 41 6, 354. 53 $200, 0000. 00 50, 000. 00 17, 887.10 44, 700.00 Due to otber national banks Due to State banks and bankers.. Dividends unpaid 13, 484. 65 Individual deposits 190.00 United States deposits 202.69 ' Deposits of U.S.disbursing officers. 301, 871. 79 19,083.55 : 6,253.00 : 2, 250.00 3, 456.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 631,399.54 il Total - S. S. DETWILER, Cashier. $462,533.52 I Capital stock paid in. 1.130. 95 I 50,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 3. 500. 00 National-bank notes outstanding. 22, 565. 33 State-bank notes outstanding Total. 631 399. 54 Central National Bank, Columbia. ANDREW J. KAUFPMAN, President. No. 3873. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total | $248, 034.10 486. 68 25, 000. 00 2, 500. 00 32, 507. 90 3, 000. 00 """631*62' 178. 08 16, 813. 73 589. 67 J. H. ZEAMER, Cashier. j! Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid ! Individual deposits 2, 310. 00 United States deposits 120.19 I Deposits of U.S.disbursing officers14, 942. 85 4, 521. 00 Notes and bills rediscounted Bills payable 1,125. 00 $100,000.00 25, 000.00 5, 572. 77 22, 500.00 1, 727. £ 450. 00 197, 510. 22 .j! Liabilities other than those above | stated !. 352, 760. 82 Total. 352, 760.82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 931 PENNSYLVANIA. Columbia National Bank, Columbia. No. 641. J. A. MEYERS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. . * XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total JOSEPH JANSON, Cashier. Liabilities. $543,936.82 Capital stock paid in 420.00 , 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 500. 00 National-bank notes outstanding. 70, 950. 00 State-bank notes outstanding 30, 000. 00 Due to other national banks 19,959. 60 Due to State banks and bankers.. 470.92 41, 260. 36 Dividends unpaid 5,806. 33 Individual deposits 1, 732. 00 United States deposits 516. 89 Depositsof U.S. disbursing officers. 34, 484. 25 10, 560. 00 Notes and bills rediscounted Bills payable 2,250. 00 817,847.17 Liabilities other than those above stated Total $300,000.00 25, 000.00 17, 279.18 45, 000. 00 36,162.48 3, 974.63 126. 00 390,304. 88 817, 847.17 First National Bank, Conneautville. J. C. STUETEVANT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TT. S. Due from Treasurer U, S Total. No. 143. J. T. SNODGRASS, Cashier. $122, 352. 27 4,969.75 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . 13, 000. 00 State-bank notes outstanding $50, 000.00 14,000. 00 12, 463.14 11, 250. 00 5, 000. 00 1, 200. 00 Due to other national banks Due to State banks and bankers . 20, 037. 39 Dividends unpaid 552. 85 Individual deposits 966. 00 United States deposits 103. 91 Deposits of U. S. disbursing officers. 5, 925. 00 2, 500. 00 Notes and bills rediscounted. Bills payable 225. 00 101, 731. 53 562. 50 Liabilities other than those above stated 189, 669. 67 Total. 189, 669. 67 First National Bank, Connellsville. JOHN D. FRISBEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2329. J. M. KURTZ, Cashier. $250,158.43 | Capital stock paid in. 145. 18, 750. 00 Surplus fund Undivided profits, less current | expenses and taxes paid j 2, 500. 00 National-bank notes outstanding.! 56, 051. 63 State-bank notes outstanding.. 28, 000. 00 Due to other national banks Due to State banks and bankers.. 10, 000. 00 69, 666. 43 Dividends unpaid 827. 60 I, 262. 00 39.44 2), 134. 05 5. L'20. 00 843. 50 472, 598. 77 Individual deposits United States deposits Deposits ofU. S .disbursing officers. Notes and bills rediscounted. Bills payable $75, 000. 00 85, 000. 00 7, 504. 87 15,120.00 3, 596.18 1, 255. 00 274,122. 72 11, 000. 00 Liabilities other than those above stated Total .. 472, 598. 77 932 REPORT OF THE COMPTROLLER OF THE CURRE?(CY. PENNSYLVANIA, Second National Bank, Connellsville. J. T. MCCORMICK, President No. 4481. J. A. ARMSTEONG, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.[ Due from approved reserve agents. I Checks and other cash items ! Exchanges for clearing house \ Bills of other national banks ' Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $141,806.67 12, 500. 00 1,500.00 15,100.00 5, 000. 00 11, 592. 76 33, 997.51 1, 867. 29 340. 60 10, 932. 05 7, 850. 00 562.50 Capital stock paid in. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.di s bursing officers. 25, 000.00 3,843. 46 11,250.00 152,955. 92 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 243, 049. 38 Total. $50,000.00 Surplus fund 243, 049.38 Total. Yough National Bank, Connellsville. JOSEPH SOISSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S J.C.KURTZ, Cashier. No. 4861. $75,000.00 Capital stock paid in . Surplus fund 50,000. 00 Undivided profits, less current 3, 986. 40 expenses and taxes paid 16, 870.00 National-bank notes outstanding. 23, 573. 44 State-bank notes outstanding $219, 374. 20 72.15 18, 750. 00 5, 000. 00 6, 420.13 50.00 58, 872. 22 2, 268. 02 400. 00 587. 82 22, 440. 00 12,500.00 843. 50 371,151.48 Total. Due to other national banks Due to State banka and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 212. 81 224, 082. 27 371,151.48 First National Bank, Conshohocken. MICHAEL O'BRIEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2078. $291,643.48 W. D. ZIMMERMAN, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers.. 39,570.91 Dividends unpaid 113.15 Individual deposits 10,573. 00 United States deposits 560.45 Deposits of U.S.disbursing officers. 17,705.44 40,000.00 4,000.00 116,062.67 16, 000. 00 29,985.00 5,000. 00 1, 800. 00 555, 308.66 8,860.56 36, 000.00 292,742.66 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 555, 308. 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 3 3 PENNSYLVANIA. Tradesmen's National Bank, Conshohocken. LEWIS ROYER, President. No. 2671. ISAAC ROBERTS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $111, 214.14 11.44 50,000.00 5, 700.00 143.011.95 11,500.00 25, 800.00 20. 693.45 ' 622. 06 400. 00 387.11 14,783.80 3,070.00 ""2,"256'o6" Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 25, 000.00 658.98 45, 000.00 2, 265.04 264, 519.93 Notes and bills rediscounted Bills payable Liabilities other than those above stated 387. 443.95 Total . 7,443.95 Citizens' National Bank, Corry. W. C. CULBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 4479. $139, 217. 98 1, 598. 80 25, 000. 00 2, 500.00 25, 300. 85 2,568.01 270.21 2,958.27 51,797.88 315.13 1, 301. 00 205.28 8, 745.90 4,220.00 1,125.00 R. S. BATTLES, Cashier. Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 3,500.00 5,820.37 22, 500.00 929.63 134,374.31 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 267,124. 31 Total. 267,124. 31 National Bank, Corry. MANLEY CROSBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency,nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4823. $137, 358. 36 1,393. 65 12, 500. 00 1,375.00 "5,"ii7.*62* 1, 927.99 7, 004.91 46,626.45 5,126.06 105.49 5, 504. 00 8,897. 00 562.50 233, 498.43 LEW. E. DARROW, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50, 000. 00 2,000.00 3, 288.44 11, 250. 00 2, 830.32 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 164,129. 67 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 233, 498.43 934 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Coudersport. No. 4948. E. L. NICHOLS, President. N. A. PINNEY, Cashier. Resources. Loans and discounts Overdrafts.. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $106, 381.17 359.93 12, 500. 00 1, 500. 00 19,357.83 9,915.59 1, 686. 88 5, 548. 77 62, 013. 24 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 700. 00 1,074.93 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 522. 00 United States deposits 91. 31 Deposits of U.S.disbursingofficers. 9,830.45 3,755. 00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total . 234,024. 67 170,999. 74 234, 024. 67 First National Bank, Danville. No. 325. D. M. BOYD, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcuriency,nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $294, 984. 53 433.19 50, 000. 00 B. R. GEARHART, Cashier. Capital stock paid in j $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks 15, 9G4. 65 Due to State banks and bankers.. 3, 482. 79 149, 877. 68 Dividends unpaid 15,834.41 Individual deposits 3, 000. 00 United States deposits 208. 47 Deposits of U. S.disbursing officers. 54, 663. 00 7, 420. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 27, 487. 55 4, 453. 44 500.00 • 1,875.00 209, 753. 23 13, 766. 75 824, 013. 70 Total 30,497. 07 44, 990. 00 1, 004. 00 465,581. 64 824, 013. 70 Danville National Bank, Danville. R. M. GROVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1078. GEO. M. GEARHART, Cashier. $291,127.49 Capital stock paid in. $200, 000. 00 89.62 50, 000.00 Surplus fund 80,000. 00 Undivided profits, less current 5,169. 61 expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 45, 000.00 69, 328. 00 State-bank notes outstanding 25, 000. 00 Due to other national banks 16, 734. 23 12, 632. 08 Due to State banks and bankers. 1, 683.12 55, 425. 80 Dividends unpaid 1,148.00 2, 533. 00 Individual deposits 191, 362. 98 150. 00 United States deposits 125.71 Deposits of U.S. disbursing officers. 17, 070. 00 6, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 539,414.82 Total . 539, 414. 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 935 PENNSYLVANIA. First National Bank, Darby. W. L A N E VERLENDEN, President. No. 4428. GEO. W. D W I E R , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S $151,941.46 j Capital stock paid in 9.03 j 12,500.00 I Surplus rund fund Undivided profits, less current expenses and taxes paid 1,150.00 National-bank notes outstanding. 3, 000. 00 State-bank notes outstanding 11,554.76 20, 000. 00 Due to other national banks 533. 82 Due to State banks and bankers. 26, 516. 91 497. 07 i.55.00 333. 79 4, 757. 85 6, 446. 00 562.50 10, 000. 00 7,917.15 11, 250. 00 18', 300. 66 4.00 Dividends unpaid 142, 486. 38 Individual deposits United States deposits DepositsofU.S.disbursingofficers Notes and bills rediscounted Bills payable Liabilities other than those above 239, 958.19 Total . $50, 000. 00 stated Total. 239, 958.19 First National Bank, Dawson. P. Gr. COCHRAN, No. 4673. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture;and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $120, 072. 48 353.40 25, 000. 00 3, 312. 50 5, 200. 00 2, 500. 00 JNO. H. WURTZ, Cashier. J $50, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000. 00 Capital stock paid in 1, 815. 89 22, 500. 00 Due to other national banks Due to State banks and bankers.. 38, 669. 71 213. 87 1,100. 00 92.63 14, 723. 25 1, 000. 00 Dividends unpaid Individual deposits United States deposits Deposi tsof U. S.disbursing officers. 123, 615.13 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above 213,362.84 stated Total. 213, 362. 84 First National Bank, Delta. y . Gr. STUBBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve asrents. Checks and other cash items.". Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. L. K. STUBBS, Cashier. No. 4205. $50, 000. 00 Capital stock paid in. Surplus fund 10, 000.00 Undivided profits, less current 8. 597. 46 expenses and taxes paid 45, 000. 0 G 6, 000. 00 National-bank notes outstanding. 500. 00 State-bank notes outstanding 12. 769. 00 1,237.87 41.00 11,803.10 1,550.83 809.00 288.56 4.515.21 3; 000.00 2, 250. 00 207, 980. 92 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 5, 854. 74 819. 51 102. 50 87, 546. 71 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 207, 980. 92 936 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Miles National Bank, Delta. No. 4367. J. H. MILES, President. ROBT. S. PARKE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Banklghouse,furniture, and fixtures; Other real estate and mortg's owned' Due from other national banks j Due from State banks and bankers, j Due from approved reserve agents.j Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $63,511.85 270.99 12,500. 00 Capital stock paid in. "7," 457." 63* 7,472.19 2, 499. 71 1, 502. 50 1,178. 51 622.00 297. 00 1,465.75 2, 055. 00 ""*232."50' 10, 000, 00 3, 897. 83 11,250.00 Due to other national hanks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursing officers. 27, 667. 80 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 102,815. 63 Total . $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 750. 00 National-bank notes outstanding. State-bank notes outstanding 102, 815. 63 Dillsburg National Bank, Dillsburg. JOSEPH DEARDOEFF, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S SoTooo. 00 5, 050. 00 1, 946. 72 13, 500. 00 12,130.40 2, 500. 00 438. 60 160. 33 14, 837. 35 110. 05 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11,131.41 5, 816. 92 *i,6oo. 66' Individual deposits United States deposits Depositsof U. S.disbursing officers. 6, 434.46 130.49 11, 892. 50 3, 973. 00 675. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 193, 879. 51 Total. G. W. COOK, Cashier. No. 2397. $117,788.41 || Capital stock paid in. 374.34 '' 15, 000. 00 Surplus fund Undivided piofits, less current expenses and taxes paid 1,650.00 National-bank notes outstanding. 11, 219. 04 State-bank notes outstanding 193, 879. 51 Downingtown National Bank, Downingtown. Jos. R. DOWNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and otber cash items Exchanges for clearing house Bills of other nationalbanks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 661. $173, 902. 56 61,32 25, 000. 00 2, 208. 00 91,100. 00 5, 000. 00 298.25 THOS. W. DOWNING, Cashier. Capital stock paid in. Surplusfuud Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 17,232.22 i Dividends unpaid 327. 40 ' Individual deposits 1,250.00 ; United States deposits 43. 09 i Depositsof U.S.disbursingofficers. 13, 976. 00 3,555.00 Notes and bills rediscounted. Bills payable , 1,125. 00 Liabilities other than those above stated 335, 078.84 Total. $100, 000. 00 20, 000. 00 31,103.38 22, 500. 00 45.00 14, 528. 56 146, 901.90 335, 078.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 937 PENNSYLVANIA. Doylestown National Bank, Doylestown. HENRY LEAR, President. No 573. JOHN J. BROCK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer TJ, S Total. Liabilities. Capita] stock paid in. $105, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 80, 775. 00 5, 000. 00 11, 583.34 Due to other national banks 61, 750. 89 Due to State banks and bankers.. 1,800.55 j 25,005.68 ! Dividends unpaid 3,100.99 ! Individual deposits 4, 563. 00 United States deposits j 284. 02 Deposits of U.S.disbursing officers. j 98, 300. 00 32, 000. 00 Notes and bills rediscounted.. Bills payable 1, 215. 00 Liabilities other than those above stated 1, 338, 509.18 Total 110,000.00 31, 285. 07 22, 600. 00 70, 030. 91 1, 617. 00 997, 976.20 1,338,509.18 Duncannon National Bank, Duncannon. JOHN WISTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S No. 4142. $121,727. 00 162.57 12,500.00 1, 250. 00 12,451.46 6, 000. 00 286. 83 38, 737. 32 1,180. 77 510. 00 151.77 7,155. 50 4, 930. 00 562.50 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 10, 500.00 4,137. 08 11, 250. 00 Due to other national banks Due to State banks and bankers.. •Dividends unpaid 8.183. 87 7,912. 51 Individual deposits United States deposits Deposits of U.S.disbursingofncers. 115, 607. 26 15.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated , 207, 605.72 Total. P. F. DUNCAN, Cashier. Capital stock paid i n . . Total. 207, 605. 72 First National Bank, Duquesne. JNO. W. CRAWFORD, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bond son hand I Premi urns on TJ. S. bonds \ Stocks, securities, etc j ; Bank ghouse,furniture,andfixtures| Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4730. $108, 068. 34 293. 26 12, 500. 00 1,250. 00 6, 475. 00 5. 969. 52 26, 093. 28 9, 878. 31 36.56 640. 00 99.11 4, 924. 45 2,695.00 W. H. BEATTY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 110,599. 27 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 179, 485. 33 Total. 179,485. 33 938 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Dushore. G. H. WELLES, No. 4505. President. Resources. M. D. SWARTS, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $78,643.54 Capital stock paid in. 72.86 12, 500. 00 Surplus fund Undivided profits, less current $50, 000.00 7, 000. 00 expenses and taxes paid 1,150. 00 National-bank notes outstanding. 16,350. 00 State-bank notes outstanding 1,816.93 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 611. 23 1, 324. 95 1, 638. 80 54, 786. 78 120.17 600. 00 30.81 6, 086. 70 4, 545. 00 562. 50 178,412.11 Individual deposits United States deposits Depositsof U.S.disbursing officers 100,733.95 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 178, 412.11 First National Bank, Easton. No. 1171. E. F. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securit ies, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $818,975. 65 6, 472. 39 50,000.00 1, 500. 00 69, 079. 00 23,428. 73 86, 753. 53 63, 830. 76 6, 205. 80 71, 085. 70 5, 990. 93 3, 205. 00 149.99 46, 329. 05 18, 331. 00 2,250. 00 1, 273,587. 53 JOHN F. GWINNER, Cashier. Capital stock paid in. $400, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 80, 000. 00 63,710.28 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 82,735.41 Individual deposits United States deposits Deposits of U.S. disbursing officers. 599, 861. 84 2, 280. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. , 1, 273, 587. 53 Easton National Bank, Easton. JAMES W. LONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1233. WILLIAM HACKETT, Cashier. $1,205,836.04 ' Capital stock paid in. 2.705.99 | 100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 11,000.00 National-bank notes outstanding. 102,475. 00 State-bank notes outstanding 40, 000. 00 16, 650. 00 55, 111.35 2, 280. 89 46, 889. 86 36, 300. 63 3,140.00 500. 00 43, 977. 85 30,189. 00 4, 500. 00 1, 701, 556. 61 $500, 000.00 100, 000. 00 118,083.43 88, 800. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 156, 783. 80 2, 836. 47 Individual deposits United States deposits Deposits of U.S. disbursing officers 682, 739. 41 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 50, 000. 00 2, 313. 50 1, 701, 556. 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 939 PENNSYLVANIA. Northampton County National Bank, Baston. THOMAS RINEK, President. No. 2385. E. J . RICHARDS, Cashier. Resources. Liabilities. Loans and discounts | Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otherrealestate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, j Checks and other cash items Exchanges for clearing houi Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j ! Due from Treasurer U. S I Total . $348,167. 24 129. 73 84, 000. 00 23, 500. 00 21, 000. 00 16,135. 39 137, 799. 92 10, 250. 52 4, 530. 00 305. 24 17. 389. 25 31,581.00 3, 780. 00 $134, 000. 00 Capital stock paid i n . 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12,193. 33 75, 600. 00 3. 709. 62 96, 647.18 Due to other national banks Due to State banks and b a n k e r s . . 111.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 326, 307.16 Notes and bills rediscounted — Bills payable Liabilities other than those above stated Total . 698, 568. 29 698, 568.29 East Stroudsburg National Bank, East Stroudsburg. MILTON YETTER, President. No. 4011. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. L. H. NICHOLAS, Cashier. $143,315.39 ; Capital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation... 199.55 12,500.00 , j ] Stocks, securities, etc j Bank'gbouse,furniture,andfixtures| Other real estate and mortg's owned; Due from other national banks ! Due from State banks and bankers. j Due from approved reserve agents. | Checks and other cash items ! Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 250. 00 8,192.97 8,157. 97 284.18 40, 230. 90 135.16 170.00 85.47 8, 016. 90 2, 995. 00 | $50, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 7, 601. 72 11,250.00 Due to other national banks Due to State banks and bankers. 42.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 147, 002. 27 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total. Total. 225, 895. 99 Elizabetlxtown National Bank, Elizabethtown. A. DISSINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ^ Premiums on U. S. bonds j Stocks, securities, etc | Bank'g house,furniture, and fixtures! Other real estate and mortg's ownedDue from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total . No. 3335. H. C. LEWIS, Cashier. $207,435. 54 Capital stock paid in. 196. 67 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... $100, 000. 00 20, 000.00 8, 776. 40 22, 200. 00 7,915.00 "*3,187.63 | ; 863.10 i 27.660.88 ! 689.69 ij i 95. 00 44.33 9,123. 00 2, 000. 0!) | Due to other national banks Due to State banks and bankers .. Dividends unpaid 4, 522.12 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 130, 337. 43 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 285,835.93 Total . 285, 835. 93 940 REPORT OF THE COMPTROLLER OF THE CURRENCY PENNSYLVANIA, First National Bank, Elwood City. J. A. GELBACH, President. No. 4818. Resources. Loans and discounts Overdrafts * U. S. bonds to secure circulation... U. S. bonds to secure deposits I TJ. S. bonds on hand i Premiums on 17. S. bonds j Stocks, securities, etc • Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents.i Checks and other cash items Exchanges for clearing house Bills of other national banks ! Fractional currency, nickels, cents, i Specie '. ! Legal-tender notes i U. S. certificates of deposit ! Redemption fund with Treas. U. S.j Due from Treasurer U. S ! Total . J. E. AIKEN, Cashier. Liabilities. $75, 351. 01 669.26 25, 000. 00 2. 500. 00 "i," 275." 96* 13, 532.79 150. 00 ""i, 791.66 130. 82 8,631.50 4, 000. 00 1,125.00 134,157. 34 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 2, 200. 00 531. 60 22, 500. 00 205.50 58, 720. 24 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 134,157.34 First National Bank, Emlenton. No. 4615. JAMES BENNETT, President. Loans and discounts i Overdrafts ' U. S. bonds to secure circulation... I U. S. bonds to secure deposits ' U. S. bonds on hand Premiums onTI.S. bonds Stocks, securities, etc ! Bank'ghouse^urniturejandfixtures'1 Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. | Due from approved reserve agents. I Checks and other cash items j Exchanges for clearing house | Bills of othernationafbanks J Fractional currency, nickels, cents.! Specie I Legal-tender notes \ U. S. certificates of deposit | Redemption fund with Treas. U. S. J Due from Treasurer U. S Total. $176, 529. 26 12, 500. 00 3, 277. 50 17, 656. 42 439. 06 374.11 1,192. 69 47,195. 29 401. 45 1, 070. 00 182. 07 13, 072. 00 5, 253. 00 562. 50 279, 705. 35 E. E. SLOAN, Cashier. Capital stock paid in. $50,000. 00 Surplusf and Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 10, 000. 00 6, 078. 84 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 202,376. 51 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 279, 705.35 First National Bank, Emporium. G E O . A. W A L K E R , President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits t U. S. bonds on hand i Premiums on U. S. bonds I Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. | Due from approved reserve agents J Checks and other cash items ! Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3255. $108, 594. 57 1, 559. 65 12, 500. 00 1, 000. 00 " 6,' 200.' bo" 2,488.18 383. 78 39, 832.14 1, 550. 00 82.60 10, 674. 20 2, 300. 00 562. 50 187, 727.62 M. P. WHITING, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $50,000.00 30,000.00 2, 687.97 10,950. 00 884. 63 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoffic 93, 205. 02 Notes and bills rediscounted.. Bills payable Liabilities otherthan those above stated Total . 187, 727.62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 4 1 PENNSYLVANIA, Ephrata National Bank, Ephrata. No. 2515. JOHN J. WEIDMAN, President. H. B. BITZER, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Due from other national basks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total . 1287, 645. 74 639. 07 52, 000. 00 4, 2, 13, 14, 4, 000. 500. 466. 000. 375. 00 00 49 00 06 9, 938. 61 427.82 Capital stock paid i n . $125, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 32, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 6, 523. 09 Individual deposits "i,"535."o6" United States deposits 61.38 DepositsofU.S.disbursing officers. 5, 300. 00 3,665.00 Notes and bills rediscounted Bills payable 6, 612.08 46, 800. 00 1, 350. 00 165,309.00 18, 500.00 2,340. 00 Liabilities other than those above stated Total . 401, 894.17 401, 894.17 Farmers' National Bank, Ephrata. No. 4923. H. J. MEIXELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andflxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $123, 969. 98 10.56 12, 500. 00 1, 500. 00 1, 033. 00 1, 500. 00 1, 830.09 11, 543. 95 79.12 10.00 115. 32 2, 358. 95 1, 645. 00 $50, 000.00 S u r p l u s fund 5, 000.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 095. 26 11, 250. 00 Due to other national banks Due to State banks and bankers.. 2, 961. 22 301. 62 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 84, 050. 37 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total. 158, 658.47 Total. H. M. SHNAVELY, Cashier. Capital stock paid in. 158, 658.47 First National Bank, Erie. No. 12. WILLIAM SPENCER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks. . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $767, 928. 07 1,278.22 37, 500. 00 50, 000. 00 1,100. 00 32, 26, 116, 56, 24, 174, 5, 250. 00 000. 00 958. 85 690. 27 442.11 934. 21 583. 95 509.00 550. 03 85, 420. 25 16, 900. 00 J. L. STERNBEEG, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 170, 000. 00 Due to other national banks Due to State banks and bankers. 13,190. 65 9, 385. 93 35, 508. 08 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 939, 518.93 43,198. 57 5,180.30 Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated 1, 399, 732.46 Total 1, 399, 732.46 942 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Second National Bank, Erie. JOSEPH MCCARTER, President. No. 606. C. F. ALLIS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S Total. Capital stock paid in. 100, 000. 00 16,011.65 74, 665. 00 15.712.05 118,932.01 74,109. 73 444. 59 167,605.36 10.906.44 20, 653. 00 255. 07 71,950.00 55, 000. 00 2, 250. 00 $300,000. 00 Surplus fund Undivided protits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 250,000. 00 57,324. 39 45, 000. 00 2,085.65 50.00 1, 306, 063. 22 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1, 960, 523.26 1. 960, 523. 26 Keystone National Bank, Erie. MATTHEW GrRiswoLD, President. No. 535. F. V. KEPLER, Cashier. Loans and discounts $445, 030. 27 Capital stock paid in Overdrafts 6,138. 61 U. S. bonds to secure circulation... 50, 000. 00 Surplus fund U. S. bonds to secure deposits ' Undivided profits, less current U. S. bonds on hand j expenses and taxes paid Premiums on U. S. bonds j . . . National-bank notes outstanding. 73,145. 89 State-bank notes outstanding Stocks, securities, etc 33, 917. 78 Bank'ghouse,furniture,andfixtures 68, 263.41 Due to other national banks Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. 4, 899. 74 Due to State banks and bankers. Due from approved reserve agents. 59, 319. 62 Dividends unpaid Checks and other cash items 3, 068.12 Exchanges for clearing house Individual deposits Bills of other nationalbanks 4,954. 00 United States deposits Fractional currency, nickels, cents. 264. 81 Deposits of U.S.disbursing officers. Specie 40, 928. 00 Legal-tender notes 6, 000. 00 Notes and bills rediscounted U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 916. 00 j Liabilities other than those above Due from Treasurer U. S stated Total .. Total . 796, 846. 25 $150, 000. 00 10, 000. 00 7, 527. 58 45, 000. 00 573,068. 67 11, 250. 00 796, 846. 25 Marine National Bank, Erie. F. F. MARSHALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 870. C. E. GUNNISON, Cashier. $628,031.93 i Capital stock paid in j 414.76 I 150,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 2, 000. 00 National-bank notes outstanding213, 550. 00 State-bank notes outstanding 3, 300. 00 Due to other national banks 67, 581. 21 47. 422. 42 311,361.54 1,217.90 Due to State banks and bankers.. $150, 000.00 185, 000. 00 46, 573. 94 135,000.00 17,861. 39 158.43 Dividends unpaid 1, 001,186. 98 * "G, 090." 00" Individual deposits 118.78 United States deposits I, 72, 442. 20 Deposits of U. S.disbursing officers. 23, 500. 00 6, 750. 00 2, 000.00 1, 535, 780. 74 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 1,535,780.74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 943 PENNSYLVANIA. First National Bank, Franklin. No. 189. SAMUEL PLUMEB, President. F. W. OFFICER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes I TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Capital stock paid in. 2, 617. 00 161,805.34 17, 000. 00 3,142.18 2,149. 64 85, 672. 67 1,038.33 3, 604. 00 15.39 34, 980. 00 10, 000. 00 "2,*256.'oo' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100, 000.00 40,157.11 41, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 150. 00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 372, 612. 68 Notes and bills rediscounted Billspayable Liabilities other than those above stated 653, 919. 79 Total. $100, 000.00 653,919. 79 Total Gap National Bank, Gap. JOSEPH C. WALKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from* Treasurer TJ. S Total. No. 2864. $101,360. 59 44.22 12, 500. 00 1, 875. 00 26, 913. 50 6, 025. 98 491. 68 13, 352. 81 85.68 420. 00 57.86 4, 396. 80 1, 325. 00 562. 50 B. MAURICE HERR, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers..\. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. $50, 000.00 20,000. 00 2, 698.87 11, 250. 00 6,158.51 79, 304. 24 Notes and bills rediscounted. Bills payable , Liabilities other than those above stated 169, 411. 62 Total . i9,411. 62 First National Bank, Gettysburg. GEORGE THRONE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bankn.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 311. $522, 798. 80 450. 22 25, 000. 00 1,200.00 16, 200. 00 2,901.17 68, 305. 55 151. 63 2, 093. 00 36.17 26, 390. 25 10, 792. 00 1,125. 00 671,443. 79 SAM'L M. BUSHMAN, Cashier. Capital stock paid in. $100, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid , National-banknotes outstanding. State-bank notes outstanding 19, 040.00 22, 500.00 Due to other national banks Due to state banks and bankers . 856. 56 6, 352.82 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 56,000. 00 150. 50 466, 543. 91 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 671,443. 79 944 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Gettysburg National Bank, Gettysburg. JOHN A. SWOPE, President. J. EMORY BAIR, Cashier. No. 611. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. Liabilities. $562, 788. 40 973.56 145, 000. 00 14,000. 00 17, 400. 00 11,221.00 13, 000. 00 2,117. 64 1,768.61 49,130. 39 2, 781. 64 1, 570. 00 53.29 20, 944. 00 13, 300. 00 6, 525. 00 862, 573.53 $145,150.00 Capital stock paid in. 66,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18,697.91 130, 500. 00 Due to other national banks Due to State banks and b a n k e r s . . 10,162.43 1.862.21 Dividends unpaid 337.50 Individual deposits United States deposits Deposits of U.S.disbursing officers. 489, 863. 48 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 862, 573. 53 First National Bank, Girardville. E. C. WAGNER, President. JESSE H. BABB, Cashier. No. 4422. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $99, 442. 71 32. 13 12, 500. 00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,250.00 1 National-bank notes outstanding. 1 5,000.00 1 State-bank notes outstanding 1 1,000.00 || Due to other national banks 9, 928. 77 Due to State banks and b a n k e r s . . 30.97 15, 092.49 Dividends unpaid 54.14 Individual deposits 15.00 United States deposits I 27.81 Deposits of U.S. disbursing officers. I 4, 719. 00 5, 843. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated Total. 155,498. 52 7, 500.00 1, 264. 75 11, 250. 00 4, 712.88 8.00 80, 762. 89 155, 498. 52 First National Bank, Glen Rock. JOSEPH DISE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U.S Total. PAUL J. BECK, Cashier. No. 435. $183,315.57 | Capital stock paid in. 9.05 26,000.00 | Surplus fund 2, 600. 00 500. 00 7, 500. 00 4, 300. 00 3, 223. 56 1, 233. 55 22, 263. 47 372.11 750. 00 10.45 11,182. 00 5, 080. 00 1,170. 00 269, 509. 76 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 15,000.00 2,093.35 22, 995.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,525. 04 804. 65 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 176,929.72 162.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 269. 509. 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 945 PENNSYLVANIA. First National Bank, Greencastle. E. J. Bo YD, President. No. 1081. J. H. SHOOK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on hand Premiums on U. S. boDds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total . Liabilities. $112, 846.15 Capital stock paid in. ""25," 666 "66' Surplus fund Undivided profits, less current expenses and taxes paid Rational-bank notes outstanding State-bank notes outstanding 2,000. 00 88, 765. 48 11,000.00 $100,000.00 20, 000. 00 14, 658. 73 22,500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 11, 008. 97 1, 642. 35 Individual deposits United States deposits Depositsof U.S.disbursing officers 3, 615. 33 447. 91 55, 326. 03 146, 091. 68 520. 00 25.83 1, 926. 00 14,165. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 316, 762.73 Total. 861. 00 316, 762.73 First National Bank, Greensburg. R. COULTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2558. J . R. EISAMAN, Cashier. $435, 526. 35 Capital stock paid in. 565. 21 75, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid 3, 000. 00 National-bank notes outstanding. 24, 000. 00 State-bank notes outstanding 30, 000. 00 10, 240. 00 Due to other national banks 118, 677. 35 Due to State banks and bankers.. 33,124. 22 100, 054. 85 Dividends unpaid 6, 388.14 Individual deposits 13, 705. 00 United States deposits 200. 48 Deposits of U.S.disbursing officers. 41, 620.10 18, 875. 00 Notes and bills rediscounted. Bills payable 3,375.00 j Liabilities other than those above stated 914,351.70 Total. $150, 000. 00 40, 000. 00 32, 400. 07 67, 500. 00 603. 06 623, 848. 57 914, 351. 70 Merchants and Farmers' National Bank, Greensburg. JOHN D. MILLEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from TreasurerU. S Total. CUR, PT 2- -60 No. 2562. J . C. CBOWNOVER, Cashier. $221,134. 92 Capital stock paid in. 351.17 50, 000. 00 Surplusfund Undivided profits, less current 10, 000. 00 expenses and taxes paid 5, 400. 00 National-bank notes outstanding. 4, 500. 00 State-bank notes outstanding 31, 000. 00 Due to other national banks 592. 62 Due to State banks and bankers.. 132,132. 88 Dividends unpaid 801.24 Individual deposits 6, 923. 00 United States deposits 200. 91 Deposits of U.S.disbursingofficers 14, 036. 50 6, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 485, 323. 24 Total. $100, 000.00 30, 000.00 9, 096. 88 35. 000. 00 15,033.11 26, 799.04 269, 394. 21 485, 323.24 946 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Westmoreland National Bank, Greensburg. LUCIEN CLAWSON, President. No. 4974. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ'. S. bonds Stocks, securities, etc Bank ghouse,furniture,and fixtures! Other real estate and mortg's owned i Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents Specie * . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $149,885. 62 155.46 25,000.00 3, 500. 00 10, 500.00 36, 230. 77 10, 804. 97 65.30 JOHN S. SELL, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding.. ' Due to other national banks ; Due to State banks and bankers.. i. Dividends unpaid. Individual deposits United States deposits Deposi ts of U. S. disbursing officers. Notes and bills rediscounted 1,125. 00 Bills payable 10.00 Liabilities other than those above stated 249,190.03 j Total . 1,380.00 61.91 7, 821. 00 2, 050. 00 $100, 000.00 4, 904.45 22, 500. 00 1,244.02 112, 541.56 8, 000.00 249,190. 03 First National Bank, Greenville. C. R. BEATTY, Cashier. No. 249. G. G. STAGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house ,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banksaDdbankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $174,602.30 2,410.81 32, 000. 00 3, 500. 00 77, 992. 42 17, 000. 00 9,087.00 749.23 1,105. 87 40, 763. 72 1, 753. 63 800. 00 607.63 17, 747. 40 2, 530.00 327.10 382, 977.11 Total. Capital stock paid in $125,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 22, 500.00 4, 585.03 28, 450. 00 Due to other national banks Due to State banks aud bankers. Dividends unpaid Individual deposits United fetates deposits Deposits ofU.S.disbursingofficers. 202,442.08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 382,977.11 Greenville National Bank, Greenville. A. F. HENLEIN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds G secure deposits O U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2251. Capital stock paid in. $105,277.03 32.41 25, 000.00 80,171.00 9, 500. 00 HARRY WATSON, Cashier. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 503.40 Due to State banks and bankers.. 165. 66 9,136. 89 Dividends unpaid 177. 75 Individual deposits 125. 00 United States deposits 157. 77 Depositsof U.S. disbursing officers. 17, 287. 75 2,160. 00 Notes and bills rediscounted.. Bills payable 1,102. 50 Liabilities other than those above stated * 250,797.16 Total . $90T000. 00 15, 750.00 4,183. 96 21, 400. 0C 119,463. 20 250, 797.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 947 PENNSYLVANIA. First National Bank, Hanover. VINCENT O'BOLD, President. No. 187. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaFbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. J. H. ALLEMAN, Cashier. Liabilities. $410,816.08 5,487. 35 150,000.00 15,400.00 63, 263.05 15, 522. 79 25,050.00 13, 938.74 3,155.95 44,558.55 5, 621.52 30.00 675. 50 13, 971. 05 863.00 6, 750. 00 775,103.58 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 33, 787. 53 Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted j Bills payable Liabilities other than those above stated Total. 328, 418. 35 60,000. 00 11, 794.70 135, 000.00 1,103.00 5, 000.00 775,103.58 First National Bank, Harrisburg. LANE S. HART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits | U. S. bonds on band Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg'aowned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 201. $628,186.75 176. 52 25, 000.00 18.75 3, 695. 99 81, 725.58 26, 048. 33 281, 261.58 70, 682.66 14, 034.00 185.91 8, 651.00 50, 000. 00 Surplus fund Undivided profits, less $100, 000.00 250, 000. 00 current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 21, 794.41 19, 950.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 202, 936.07 21,494. 70 Individual deposits ! United States deposits ! Deposits of U. S. disb ursing officers.! 663, 096.89 Notes and bills rediscounted Bills payable **i,"i25."6b" Liabilities other t h a n those above stated Total 1, 279, 272. 07 Total. J A M E S BRADY, Cashier. Capital stock paid in. 1,279, 272.07 Harrisburg National Bank, Harrisburg. E D W . BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 580. $986,980. 38 1,418.02 150,000. 00 18, 044. 85 30,000.00 42, 915.15 93, 013. 25 72,199. 96 152, 726.39 27,717.45 3,365.00 1,041.97 36, 000.00 9, 635. 00 6, 750.00 1, 631, 807.42 W. L. GORGAS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300^000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 171,493.81 1, 673. 70 185, 000. 00 31, 696.76 135, 000.00 3, 863. 25 803, 079.90 Notes and bills rediscounted Bills payable Liabilities other than those above stated , Total 1,631,807.42 948 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Merchants' National Bank, Harrisburg. No. 3713. H. D. HEMLEB, President. D. W. SOHN, Cashier. Liabilities. Resources. $269,426. 94 Loans and discounts. Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc i Bank'gtiouse,furiiiture,andnxturesi Other real estate and m o r t i s owned Due from other national banks ! Due from State banks and bankers. | Due from approved reserve agents ! Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. j Specie j Legal-tender notes ; TJ. S. certificates of deposit : Redemption fund with Treas.TJ. S.j Due from Treasurer U. S ! $100,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid | National-bank notes outstanding.! State-bank notes outstanding j 25,000.00 Due to other national banks 20, 200. 71 19, 831.73 Due to State banks and bankers.. 3, 550.63 Dividends unpaid 5, 758. 77 Individual deposits United States deposits 216. 11 Deposits of U.S.disbursingofficers. 31,892.50 1, 051.19 25, 000. 00 2, 500. 00 650. 00 1,000.00 6, 216. 00 24, 600. 00 1, 125. 00 240. 00 190,488.94 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 380, 077. 89 Total. 2, 905.26 22, 500. 00 380, 077. 89 Total. Hatboro National Bank, Hatboro. J A S . VAN HORN, Cashier. No. 2253. I . N . EVANS, President. Loans and discounts. Overdrafts. TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits \- $246, 248.14 Capital stock paid in. $52,000. 00 !- Stocks, securities, etc j Bank'ghouse, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks ' Due from State banks and bankers. | Due from approved reserve agents. j Checks and other cash items J Exchanges for clearing house jBills of other national banks Fractional currency, nickels, cents. Specie ! Legal-tender notes \ TJ. S. certificates of deposit j• Redemption fund with Treas. U. S.! Due from Treasurer U. S I• Total. 44, 000.00 Due to other national banks Due to State banks and bankers.. I Dividends unpaid 16, 526. 92 Individual deposits "i" 988." 66' United States deposits I 146.51 DapositsofU.S.disbursingoflicers.! 60, 000. 00 20, 000. 00 Notes and bills rediscounted. Bills payable 675.66 Liabilities other than those above stated 413,156. 35 549,682.69 U. S. bonds on hand Premiums on TJ. S. bonds Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 549, 682.69 15, 000. 00 111,311.56 21, 693. 63 5.25 72,281.48 333.12 Total. 10, 499. 42 13, 500. 00 First National Bank, Hazleton. A. P . BLAKSLKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds.. r Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3893. J N O . R. LEISENRING, Cashier. $308,723.91 Capital stock paid in. 504. 82 50,000.00 S Surplus fund | Undivided profits, less current 25" 666." 66" expenses and taxes paid 10, 712. 50 National-bank notes outstanding. 226,191.19 State-bank notes outstanding 3,249.75 6, 000. 00 Due to other national banks 7,938. 39 Due to State banks and bankers.. 1, 006.17 60, 547. 63 Dividends unpaid 3,149. 28 Individual deposits 9, 526.00 United States deposits 122.47 Depositsof U.S.disbursingofficers. 21, 527. 45 32, 000.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 708, 449. 56 Total. $100,000.00 20,000.00 5,233.53 43, 720. 00 18,294.47 581, 201. 56 768,449.56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 949 PENNSYLVANIA. Hazleton National Bank, Hazleton. No. 4204. I. P. PARDEE, President. C. H. LINDEMANN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $495, 621.42 20. 30 100, 000. 00 Capital stock paid in. $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid 16, 027. 50 National-bank notes outstanding. 622, 388. 08 State-bank notes outstanding 34, 986. 52 33, 575. 75 Due to other national banks 11, 535. 68 Due to State banks and bankers.. 8, 760. 24 232,124. 82 Dividends unpaid 4,790.80 Individual deposits 4,930. 00 United States deposits 1, 313.42 Deposits of U.S.disbursing officers. til, 045. 00 26, 340. 00 Notes and bills rediscounted. Billspayable 4, 500. 00 Liabilities other than those above 20, 000.00 12, 892. 69 90,000.00 15,825.81 1, 519.98 34.00 1,417,687. (15 stated Total. 1, 657, 959. 53 1, 657, 959. 53 First National Bank, Hollidaysburg. No. 2744. WILLIAM JACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ;150, 613. 23 5, 266. 35 12, 500. 00 400. 565. 24, 900. 8, 288. 00 00 00 41 1,004.15 10, 486.15 9, 262. 87 4,169. 00 O. W. GARDNER, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national banks Due to State banks and bankers. 6, 000. 00 1, 792.37 11, 250. 00 11, 246.27 2, 443.07 Dividends unpaid Individual deposits "*2,"374"6o" United States deposits 289. 34 Deposits of U.S.disbursing officers 13, 031. 00 11,859. 00 Notes and bills rediscounted Billspayable 562. 50 2.50 Liabilities other than those above stated 255, 573. 50 $50,000. 00 Total. 167, 701. 53 5,000.00 140.26 255, 573. 50 First National Bank, Homestead. JACOB TRAUTMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand . . ...... Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, an d fixtures Other realestateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total JAMES B. NEEL, Cashier. No. 3829. $163, 246. 65 Capital stock paid in $50, 000.00 156. 26 12, 500. 00 Surplus fund 6, 500.00Undivided profits, less current expenses and taxes paid 2, 765. 55 1, 250. 00 National-bank notes outstanding. 11,250. 00 18,441. 75 State-bank notes outstanding 3, 328. 62 7, 600. 00 Due to other national banks Due to State banks and bankers 55, 243. 87 444.44 2, 290. 00 101. 59 15, 304. 50 2,189. 00 562.50 282, 659.18 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 18.00 212,125. 63 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total 282, 659.18 950 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Honesdale National Bank, Honesdale. H. Z. KUSSELL, President. E. F. TOEREY, Cashier. No. 644. Resources. Xoans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $627, 251. 09 99.94 50,000.00 4, 000. 00 249,490.28 19, 839.47 5, 297. 94 4, 801.11 60, 239. 86 9, 776. 41 935. 00 321. 43 44,492.00 15,438. 00 2, 250. 00 Capital stock paid in $300,000.00 125,000.00 Due to other national banks Due to State banks and bankers -. 529. 90 22, 766.60 33, 000. 00 900. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers 612, 036.03 Notes and bills rediscounted. Bills payable Liabilities other than those above i stated ] Total 1, 094, 232. 53 Total. I Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,094,232.53 First National Bank, Honeybrook. No. 1676. JOHN S. G-ALT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $168,001. 55 319.40 25, 000.00 6, 000.00 10, 000.00 19, 544. 73 575. 67 31,983.97 731.72 300. 00 162.10 16, 514. 00 1, 609. 00 1,125.00 281,867.14 JOHN E. FINGER, Cashier. $ioo,ooo7oo Capital stock paid i n . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 6,834.33 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19,240. 73 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 123, 257. 08 35.00 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 281, 867.14 First National Bank, Hughesville. D E W I T T BODINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure- deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3902. $131,395.26 1,808.53 12, 500.00 W. C. FRONTZ. Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 Due to other national banks Due to State banks and bankers.. 22, 939. 00 Dividends unpaid 4, 888.49 2,850.23 Individual deposits 380." 00" United States deposits 102.38 Deposits of U. S.dis bursing officers. 6,142. 75 5,671.00 Notes and bills rediscounted. Billspayable 562. 50 Liabilities other than those above stated 102,082.29 1,200. 00 4,765.16 262. 06 187,728.58 Total. 10, 000.00 6, 543.57 11,250. 00 114.00 187, 728. 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 951 PEN ^SYLVA^IA, Hummelstown National Bank, Hummelsto wn. JACOB SHOPE, President. No. 2822. JOHN J . NISSLEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g house, furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $185,115. 52 198. 00 20, 000. 00 459.37 21, 882. 50 1,246. 75 993. 03 950. 43 48,175. 26 87.12 7, 800.00 12, 000. 00 900. 00 299, 807.98 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 30, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. > 11,112.93 327.10 Individual deposits United States deposits Deposits of U.S.disbursingofficers 173, 214.16 17,153. 79 18, 000. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 299, 807.98 First National Bank, Huntingdon. WILLIAM DORRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S S. R. SHUMAKER, Cashier. No. 31. $257, 944.45 J Capital stock paid in | $100,000.00 2, 807. 63 100, 000. 00 Surplus fund 30,000.00 Undivided profits, less current 17,171.57 expenses and taxes paid 10, 285. 66 National-bank notes outstanding. 88, 620.00 38, 396.01 I State-bank notes outstanding 32, 702.71 8, 500. 00 Due to other national banks 33,161.84 2, 224.41 Due to State banks and bankers.. 13, 026.51 79,771.40 Dividends unpaid 4,431. 82 Individual deposits 315, 857. 77 80.00 United States deposits 386.40 Deposits of U.S. disbursing officers-! 27, 570. 00 6, 633. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 587, 035. 59 Total. Total . 587, 035.59 Union National Bank, Huntingdon. K. A. LOVELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S total. R. J. MATTERN, Cashier. No. 4965. $112, 232.71 Capital stock paid in. $50, 000. 00 368. 26 50, 000. 00 Surplus fund 725. 00 Undivided profits, less current 15, 000. 00 1,505.49 expenses and taxes paid 8, 850. 00 National-bank notes outstanding. 44, 200. 00 2, 500. 00 State-bank notes outstanding. 2, 597. 80 2, 433. 87 Due to other national banks 1,110. 68 2, 682.83 8, 739. 62 Due to State banks and bankers.. 35,062.40 Dividends unpaid 724. 00 Individual deposits 158, 909.96 400.00 United States deposits 70.88 DepositsofU.S.disbursingofficers. 9,909.80 ! 10,641.00 j Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above stated 260, 457.15 Total . 260,457.15 952 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank of South Pennsylvania, Hyndman. -, President. No. 4063. N. A. BLAIR, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items ! Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total . Capital stock paid in. 200.00 1, 200. 00 12, 800. 00 2, 309. 30 398. 64 5,870.97 266.89 370.00 52.84 6, 997. 50 2, 565.00 562.50 .12 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 532.21 766.25 Individual deposits United States deposits Deposits of U.S.disbursing officers. 50,804. 21 3, 558. 83 11,250.00 15.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 127, 032. 22 105.72 127,032. 22 First National Bank, Indiana. A. M. STEWART, President. W. J. MITCHELL, Cashier. No. 313. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand i Premiums on TJ. S. bonds I Stocks, securities, etc J BanTt 1 gb.ouse,furniture,andnxtures Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $415,008.99 ; Capital stock paid in j 331.84 50.000.00 Surplus fund Undivided profits, less current expenses and taxes paid 5,000.00 National-bank notes outstanding. State-bank notes outstanding 8, 586. 70 225. 00 Due to other national banks 1, 210. 87 Due to State banks and bankers. 54,684.78 j Dividends unpaid. $200, 000.00 i Individual deposits - 220.00 1 United States deposits ! 3.28 Deposits of U.S.disbursingofficers. 44, 074. 95 1,185. 00 Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above 246, 567.68 9, 324. 78 44, 300. 00 482. 38 588.00 stated 582,781.41 j Total. 81, 518.57 Total . 582, 781.41 First National Bank, Irwin. J. P. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g Louse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4698. $123, 829. 45 .98 25, 000. 00 THOS. P. HERRON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2, 843. 75 National-bank notes outstanding. State-bank notes outstanding "20," 588." 02 Due to other national banks Due to State banks and bankers. 4.56 21, 825. 59 Dividends unpaid 703.19 Individual deposits 2, 060.00 United States deposits 294. 37 Deposits of U.S.disbursing officers, j 18,168.60 4, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above j stated i. 220, 443. 51 Total. $50, 000.00 16, 000. 00 3, 366.18 21, 760.00 129,317.33 220,443.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 953 PENNSYLVANIA. First National Bank, Jeannette. H. SELLERS M C K E E , President. No. 4092. C. R. SMITH, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks.. *.. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Total. Liabilities. $122,546. 85 405. 73 12, 500. 00 9,061.63 15, 232. 97 663. 09 1,100. 00 475. 35 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8, 000. 00 747. 46 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursingofficers. 101, 652. 06 4, 966. 40 4,135. 00 562. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 171,649. 52 Total. 171,649.52 Jenkintown National Bank, Jenkintown. CHARLES F. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bond s to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2249. $312,754. 82 49.48 50, 000. 00 4, 700. 00 61,600.00 10, 000. 00 1, 500. 00 121. 29 66, 707. 71 1,077.67 "i,"955. 00 44.96 44.643. 50 10,270.00 2, 250. 00 $100,000.00 Surplusfund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 10, 851. 92 45, 000. 00 Due to other national banks Due to State banks and bankersDividends unpaid 10, 873. 55 223. 62 Individual deposits United States deposits Deposits of U. S.disbursing officers 360, 710. 34 15.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 567, 674.43 Total. ANDREW H. BAKER, Cashier. Capital stock paid in. 567,674.43 Johnsonburg National Bank, Johnsonburg. F . S. JOHNSON, President. No. 4544. . _ . $104, 669. 76 Loans and discounts 28.78 Overdrafts 12, 500.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S- bonds on hand 1, 250. 00 Premiums on U. S. bonds Stocks, securities, etc 2," 238." 33 Bank'g house, furniture, and fixtures Other real estate and mortg's owned 314. 67 Due from other national banks 411.79 Due from State banks and bankers. 49,953. 44 Due from approved reserve agents. 303. 32 Checks and other cash items Exchanges for clearing house "2,196*66 Bills of other national banks 196. 57 Fractional currency, nickels, cents. 6, 319. 85 Specie 1, 500. 00 Legal-tender notes U. S. certificates of deposit 562.50 Redemption fund with Treas. U. SDue from Treasurer U. S Total. 182,445.01 E. O. ALDRICH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 6, 500.00 2,131. 26 10,790.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 119.82 Individual deposits United States deposits Deposits of U.S.disbursing officers. 112,903.93 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 182,445. 01 954 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Johnstown. JAMES MCMILLEN, President. No. 2739. J O H N D. ROBERTS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. $539,716.05 3, 786. 97 100,000. 00 Capital stock paid in.. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 49,500.00 i State-bank notes outstanding 25,152.33 : Due to other national banks 44,631.18 I Due to State banks and bankers.. 1,209.78 ! 100,012.05 ' Dividends unpaid 3,952.71 ! Individual deposits 3,530.00 United States deposits 508.06 I Deposits of U.S.disbursingofficers. 48, 888. 00 50,599.00 I Notes and bills rediscounted Bills payable 150,000.00 "i," 500." 66' 6, 943.08 90, 000.00 6, 779.09 24,809.40 597,454.56 Liabilities other than those above stated Total . 975,986.13 975,986.13 Citizens' National Bank, Johnstown. JOHN THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate andmortg's owned Due from other national banks j Due from State banks and bankers. 1 Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 4212. DWIGHT ROBERTS, Cashier. $178, 372. 86 Capital stock paid in. $100, 000.00 31.89 100,000.00 Surplus fund 32, 000. 00 Undivided profits, less current 6,199. 28 expenses and taxes paid 90, 000. 00 3, 250. 00 National-bank notes outstanding. State-bank notes outstanding "36,666.66 99,513.12 212, 867. 78 1,163.14 2, 920. 00 683.93 41, 882. 00 16,735.00 4,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 39.00 463,681.44 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 691,919. 72 691, 919. 72 National Bank, Kennett Square. E. B. DARLINGTON, President. Loans and discounts.. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'ghouse,fur«iture,andfixtures| Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2526. $277,198.32 50,000.00 4, 000.00 12, 500. 00 16, 590. 00 16, 580. 44 56.96 7, 357.01 2, 047. 37 10.00 263. 09 16, 886. 70 1,721.00 2, 250.00 407,460.89 D. DUER PHILIPS, Cashier. Capital stock paidin $100, 000. 00 38, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12,100. 60 44,870. 00 Due to other national banks Due to State banks and bankers.. 6, 592. 92 Individual deposits United States deposits Deposits of U. S.disbursing officers. 205,873.37 24.00 Notes and bills rediscounted Liabilities other than those above stated Total 407,460.89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 5 5 PENNSYLVANIA. Farmers' National Bank, Kittanning. J . A. COLWELL, President. No. 3104. G. "W. DOVERSPIKE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U S bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Total $91, 267. 95 299. 89 100 000.00 Capital stock paid in $100, 000. 00 Undivided profits less current 15, 000. 00 expenses and taxes paid 11, 500. 00 National-bank notes outstanding. 106,115. 00 State-bank notes outstanding 1, 500. 00 Due to other national banks 1,720. 21 Due to State banks and bankers.. 337. 41 48, 875. 06 Dividends unpaid 2,077. 37 Individual deposits 2,195. 66 United States deposits 230. 00 Deposits of U.S.disbursingofncers. 30, 050. 00 12, 000.00 Notes and bills rediscounted Bills payable 4, 500. 00 Liabilities other than those above stated 427, 667.89 Total 20, 000.00 2, 867. 58 84,500.00 120. 00 O9A 180 3 1 427, 667.89 National Bank, Kittanning. No. 2654. JAMES MOSGROVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $132,805. 63 ioo, 066.60 20, 000. 00 107, 807. 20 7, 000. 00 7, 409. 24 429.17 35,902. 0" 3, 364.50 4,914.66 1,177. 51 38, 791. 20 21, 045. 00 W.POLLOCK, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. i State-bank notes outstanding.. $100, 000.00 50, 000.00 6,750.64 75, 780. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 252, 614. 88 Notes and bills rediscounted. Billspayable 4, 500. 00 Liabilities other than those above stated 485,145. 52 485,145. 52 Total . First National Bank, Lancaster. N. M. WOODS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S Total. No. 333. $364, 338. 99 484. 36 210, 000. 00 102, 496.06 20, 825. 00 17,705. 66 HENRY C. HARNER, Cashier. Capital stock paid in. Surplus-fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 19, 525. 62 Dividends unpaid 562.31 Individual deposits 1,908. 00 United States deposits 42.30 Deposits of U.S.disbursing officers. 10,470. 00 10,000.00 Notes and bills rediscounted Billspayable 9,450.00 Liabilities other than those above stated 767, 808.30 Total. $210, 000.00 42,000.00 85, 829. 90 188, 000. 00 7, 697. 50 3, 645.00 230, 635. 90 767, 808. 30 956 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Conestoga National Bank, Lancaster. No. 3987. DAVID B. LANDIS, President. A. K. HOSTETTER, Cashier. Resources. Loans aiid discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . Liabilities. $474,594. 71 224.19 50, 000. 00 60, 000. 00 13,025. 00 65, 519. 08 3, 459. 00 3, 000. 00 25, 858. 66 3,907.19 13, 923.11 12, 697. 00 2,380. 00 1, 228. 23 27, 895. 00 10, 000. 00 $200, OOt).00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000. 00 Due to other national banks Due to State banks and bankers. 22, 359. 24 21, 558. 96 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 351, 074.45 51,113.00 3, 855. 52 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 769,961.17 Total . 769, 961.17 Farmers' National Bank, Lancaster. J . W. B. BAUSMAN, President. No. 597. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $1,083,192.17 39.85 110, 000. 00 68,335. 55 40, 000.00 41, 704.36 508.35 79,934. 97 27, 872. 20 12, 798. 00 369. 86 47,591.70 11, 597. 00 C. A. F O N DERSMITH, Cashier- Capital stock paid in. $450, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank, notes outstanding 300,000.00 Duo to other national banks Due to State banks and bankers.. Dividends unpaid 75, 511. 67 Individual deposits United States deposits Deposits of U.S.disbursing officers 560, 260. 28 44, 832.06 95, 380.00 2, 910.00 Notes and bills rediscounted. Bills payable 4,950.00 Liabilities other than those above stated 1, 528, 894. 01 Total. 1,528, 894. 01 Fulton National Bank, Lancaster. J O H N R. BITNER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 2634. $665,835.98 387. 65 50, 000.00 2, 300. 00 13,097. 30 38, 000. 00 2,300.00 32, 902.42 2, 537.94 45, 256. 55 6, 690. 30 5, 355. 00 1,301.41 32, 767. 00 4,100. 00 JNO. C. CARTER, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding $200,000. 00 80, 000. 00 38, 496.13 45, 000. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 51, 721. 35 Individual deposits United States deposits Deposits of U.S.disbursing officers 488,098.07 1,766.00 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 905,081.55 Total. 905, 081. 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 5 7 PENNSYLVANIA. Lancaster County National Bank, Lancaster. F. H. BRENEMAN, President. No. 683. W. A. HALDY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits XJ S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $911,861. 77 454.48 50, 000. 00 27,475. 00 23, 400. 00 7,964. 27 18, 071.44 16, 550.47 106,783. 16 656. 09 200. 00 193. 00 59, 222. 25 12,452.00 2,250. 00 Capital stock paid in 215, 000.00 Due to other national banks Due to State banks and bankers.. 8, 280. 30 3, 288.47 Dividends unpaid 21, 746. 22 44, 050. 00 1,012.50 Individual deposits United States deposits DepositsofU.S.disbursingofncers. 644,156.44 Notes and bills rediscounted Bills payable. Liabilities other than those above stated 1,237,533. 93 Total $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 1,237,533.93 Northern National Bank, Lancaster. J. FRED'K SENER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3367. E. J. RYDER, Cashier. $174,183. 84 Capital stock paid in $125,000.00 28.49 120,000. 00 Surplus fund 13,350.00 Undivided profits less current expenses and taxes paid 5 120 20 12,500.66 National-bank notes outstanding . 108,000. 00 371. 22 State-bank notes outstanding 34, 000. 00 21, 300. 00 Due to other national banks 205.44 9, 320. 94 Due to State banks and bankers.. 3,829.88 1,452. 81 4, 983.10 Dividends unpaid 496.00 2,832.94 118, 983. 39 Individual deposits 772. 00 United States deposits 148. 77 DepositsofU.S.disbursing officers. 3,285.80 4,400. 00 Notes and bills rediscounted Bills pay able 20 000 00 5,400.00 Liabilities other than those above stated 394, 984. 91 Total 394, 984. 91 People's National Bank, Lancaster. J . L. STEINMETZ, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency.nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total No. 3650. $464, 326. 29 373.98 50, 000. 00 1,195.19 44, 028.91 12,123.51 193.14 24,645.39 4,829. 66 1, 350. 00 152.35 9, 372.90 15,120.00 2,250. 00 P . E. SLAYMAKER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits. United States deposits. Depositsof U.S. disbursing officers. $200,000. 00 30, 000.00 9, 896.19 44, 280. 00 174. 77 1, 772. 50 343, 837. 86 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. !9, 961.32 958 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. People's National Bank, Langhorne. JOHN WILDMAN, President. No. 3063. GOVE MITCHELL, Cashier. Resources. Liabilities Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $104, 961.65 332.33 12,500. 00 Capital stock paid i n . . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 23, 414. 62 State-bank notes outstanding 5, 000. 00 1, 250. 00 Due to other national banks 3,299. 35 Due to State banks and bankers. 14,468. 61 Dividends unpaid Individual deposits 1, 010. 00 United States deposits 103.04 Deposits of U.S.disbursingofficers. 7, 953.10 1, 340.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 176,195.20 stated Total . $50, 000. 00 3,100. 00 10,451.04 11, 250. 00 3, 743.47 97,650. 69 176,195. 20 First National Bank, Lansdale. ELIAS K. FREED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . CHAS. S. JENKINS, Cashier. No. 430. $252,973. 51 Capital stock paid in j $100,000.00 450.13 l 25, 000.00 Surplusfund 85, 000. 00 Undivided profits, less current j expenses and taxes paid j 15,234.89 National-bank notes outstanding. - 20,700.00 167, 849. 00 State-bank notes outstanding.. 10, 000. 00 800.00 Due to other national banks 23,617.40 30,820.56 Due to State banks and bankers.. 35, 040. 70 Dividends unpaid 963. 00 187. 84 Individual deposits 308,468.75 2,620.00 United States deposits 192. 80 Deposits of U.S. disbursing officers. 10, 799. 50 15,125.00 Notes and bills rediscounted. Bills payable 1,125. 00 1,000.00 Liabilities other than those above 553, 984. 04 stated Total. 553, 984.04 First National Bank, L atrobe. W. S. HEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of*other national banks Fractional currency, nickels, cents. Specie • Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J O E C. HEAD, Cashier. No. 3831. $199,741.04 Capital stock paid in. $100, 000.00 594.86 100,000. 00 Surplusfund 20, 000.00 Undivided profits, less current expenses and taxes paid 6, 987.06 11, 000.00 National-bank notes outstanding. 90,000.00 42, 000. 00 State-bank notes outstanding 12,500. 00 19,300.00 Due to other national banks 7,413.31 2, 365. 24 Due to State banks and bankers.. 316. 50 68,907.10 Dividends unpaid 1, 668. 07 Individual deposits 253, 504. 90 1,030. 00 u nited States deposits 1,374.44 Deposits of U.S.disbursing officers. 10, 006. 50 9,502.00 Notes and bills rediscounted. Bills payable 2,330. 00 480, 270. 51 Liabilities other than those above stated Total . 480,270.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 959 PENNSYLVANIA. Citizens' National Bank, Latrobe. J. W. HUGHES, No. 3910. President. J o s . E . BARNETT, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc | Bank'g bouse, furniture, and fixtures j Other real estate and mortg's owned Due from other national banks ' T u e from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S $122, 754.46 325.68 13, 000. 00 780. 00 8,110. 00 8, 000. 00 Capital stock paid in 550, 000. 00 Surplus fund Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding. State-bank notes outstanding ! Due to other national banks 1,100. 35 24.121. 92 138. 82 22i.*00* 476. 78 5, 319.95 9,897. 00 585. 66" 9, 000. 00 1, 525. 24 11, 700. 00 ' 895.54 Due to State banks and bankers . 18.00 Dividends unpaid 121, 692.18 Individual deposits United States deposits DepositsofU.S.disbursingofiicers.| i Notes and bills rediscounted | Bills payable j Liabilities other than those above stated 194, 830.96 Total. Cashier. Liabilities. Total . 194, 830. 96 First National Bank, Lebanon. E D W A R D R. COLEMAN, President. Loans and discounts j Overdrafts \ U. S. bonds to secure circulation... | U. S. bonds to secure deposits J U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S No. 240. 1371,100. 79 2, 018. 36 50,000.00 6, 000. 00 14, 939. 50 20. 000. 00 5,017.38 15, 610. 26 1, 702. 27 93. 389. 54 7, 720. 94 4. 020. 00 756. 89 57, 590. 00 7,855. 00 2, 250.00 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 30, 754. 30 42, 380. 00 Due to other national banks Due to State banks and b a n k e r s . . 18, 355. 32 240. 05 State-bank notes outstanding 50, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 468, 241. 26 Notes and bills rediscounted Bills payable Liabilities other than those above 659, 970.93 Total . J O H N H . H O F F E R , Cashier. Capital stock paid in. stated Total . 659, 970. 93 Farmers' National Bank, Lebanon. JOHN B, RAUCH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . N o . 4979. $141, 329. 78 3, 672. 21 25, 000.00 3, 000. 00 2, 349.45 188. 2, 930, 14, 550. 3, 740. 82 69 57 66 H . P . MOYER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 1, 550. 00 204. 73 2, 215. 00 6,384. 00 1,125. 00 208, 240. 91 United States deposits Deposits of U.S.disbursing officers. $100,000.00 9, 000. 00 1, 430. 65 22, 500. 00 14.78 577.00 74, 718.48 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 208, 240. 91 960 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E SYLVA^flA. Lebanon National Bank, Lebanon. GRANT WEIDMAN, President. No. 680. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house • Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total JAMES M. GOSSLER, Cashier. Liabilities. Resources. $707, 398.19 3, 998. 68 50, 000, 00 5, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000.00 125,000.00 22, 593. 20 45, 000. 00 "43," 798.' 55' Due to other national banks 19,923.61 11, 479. 35 146, 682. 75 4,461. 83 4,112. 00 49.17 23,195. 00 19,800. 00 2, 250. 00 1, 042,149.13 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 71,387.70 1, 510. 00 576, 658. 23 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 042,149.13 People's National Bank, Lebanon. N o . 4955. J. S. LAUSER, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $223,407. 84 425.98 49, 000. 00 587.12 1. 800.00 7, 500. 00 3,921.87 3, 282. 56 23, 784. 30 1,428. 82 E. M. WOOMER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 265. 00 United States deposits 107. 54 Deposits of U.S.disbursingofficers 10, 220. 55 3,800. 00 Notes and bills rediscounted. Bills payable $100,000.00 33, 000.00 2, 663. 83 43, 540. 00 7, 375. 97 2, 951.01 142, 205. 77 2, 205. 00 Liabilities other than those above stated 331, 736. 58 Total. 331, 736. 58 Valley National Bank, Lebanon. L. E. WEIMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. - U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 655. $413, 941. 69 5, 923. 77 25, 000.00 14, 623. 73 39, 380.11 34,829. 89 40, 236. 51 7,038. 30 128, 259. 71 414. 38 1, 000.00 2,000. 00 72, 300. 00 12, 000. 00 1,125.00 798, 073.09 JACOB B. KARCH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 39, 525. 04 Individual deposits United States deposits DepositsofU.S.disbursingoflicers- 499, 097.89 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 115,000.00 21, 085. 66 22,500.00 864.50 798, 073.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 961 PENNSYLVANIA. First National Bank, Lehighton. No. 2308. R. F. HOFFORD, President. JOHN T. SEMMEL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items I . . Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie .. „ Legal-tender notes , X S. certificates of deposit L Redemption fund with Treas. U. SDue from Treasurer U, S Total. Liabilities. $147,105. 88 73.06 20, 000. 00 1. 200.00 57. 000. 00 13. 000. 00 2,500.00 3, 614. 04 23, 723. 44 67.06 2. 635. 00 64. 46" 19, 220. 00 11,953.00 Capital stock paid in Surplusj fund Undivid [led profits, less current expenses and taxes paid. National-bank notes outstanding.} State-bank notes outstanding '. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits \ United States deposits !. Deposits of U.S. disbursing officers. I. 26,055.91 3, 683. 30 339.00 158, 914. 78 Notes and bills rediscounted. Bill3 payable 900. 00 Liabilities other than those above stated \ 303, 055 94 Total. 303, 055. 94 Lewisburg National Bank, Lewisburg. D. BRIGHT MfLLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 745. 1230, 661. 73 Capital stock paid in | 34.09 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 44,898.50 State-bank notes outstanding 13,000.00 4,000.00 Due to other national banks 5,331.07 Due to State banks and b a n k e r s . . 4,415.73 125, 758.48 Dividends unpaid 486. 53 Individual deposits 4, 350. 00 United States deposits 164. 22 Deposits of U.S.disbursing officers. 22,150. 00 9, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated Total. 490, 375. 35 -, Cashier. $100, 000.00 100, 000. 00 24, 781. 20 22, 500. 00 4, 352.16 1, 492. 00 237, 249. 99 490, 375. 35 Union National Bank, Lewisburg. W. D. HlMMELREICH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. CUR, PT 2 No. 784. $220, 232. 82 359. 83 75, 000. 00 8, 306. 00 41,293.38 1,593.48 6, 241. 07 7, 759. 65 86,151.10 688. 01 51. 00 84.76 19, 782. 00 3, 640. 00 3, 375. 00 474, 558.10 61 JNO. K. KEEMER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 30, 000. 00 22, 823. 24 66,300.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 15, 668. 89 5, 851. 32 Individual deposits United States deposits Deposits ofU. S. disbursing officers 231, 759.15 2,155.50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 474, 558.10 962 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Mifflin County National Bank, Lewistown. D. W. WOODS, President. No. 1579. D. E. ROBESON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation. U. S bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks ; securities, etc I Ban k g house,fu rniture, andfi xtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents.: Specie Legal tender notes U, S. certificates of deposit j Redemption fund with Treas. U. S.j Due from Treasurer U, S $219, 380. 81 Capital stock paid i n . . , 162. 67 48, 000. 00 Surplus fund Undivided profits, less current 100. 00 expenses and taxes paid National-bank notes outstanding. 14, 666. 67 State-bank notes outstanding 27, 357. 67 26, 438. 80 Due to other national banks 22, 663. 49 Due to State banks and bankers.. 6, 640. 07 62, 642. 06 Dividends unpaid 452. 09 Individual deposits 700. 00 United States deposits 159.01 Deposits of U.S. disbursing officers. 17, 200. 50 9, 870. 00 Notes and bills rediscounted Bills payable 30, 000. 00 33, 941. 93 43, 200. 00 4, 456. 63 301. 31 18.00 246, 676.03 " 2, i60. 66 Liabilities other than those above stated Total 458, 593. 90 Total. $100,000. 00 458, 593. 90 Lincoln National Bank, Lincoln. SAMUEL NISSLEY, President. No. 3198. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank' g house, furniture, andfixtu res Other real estate and mortg's owned Due from other national banks [ Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items I Exchanges for clearing house Bills of other national banks ! Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Dtie from Treasurer U. S $87,961.56 32. 72 15, 000. 00 1, 500. 00 19,500.00 5, 099. 49 582.30 240.00 6, 373. 77 18.16 2.22 5,472. 30 2, 000. 00 675. 00 $60, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofncers. 6, 300.00 4, 768. 89 13, 500. 00 9, 722. 78 405. 00 49, 760. 85 Notes and bills rediscounted. Billspayable Liabilities other than those above stated 144,457. 52 Total . SAM'L H. WISSLER, Cashier. Capital stock paid i n . Total. 144,457.52 Lititz National Bank, Lititz. JOHN B. ERB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2452. $174, 074. 46 623.94 35, 000. 00 3, 500. 00 40, 887. 50 8,000.00 6,147. 75 15,510.93 1, 726. 91 2,189. 0] 598. 75 640. 00 184.12 18,008.10 1, 440. 00 1, 575. 00 H. B. BECKLER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $105, 000. 00 21, 000. 00 3,331.79 31, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19, 842. 78 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 127, 611. 90 1, 820. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 310,106.47 Total . 310,106.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 963 YLVA NI A. First National Bank, Lock Haven. P E F. S. JOHNSON, President. No. 507. MOORE FREDERICKS, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures I Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S Due from Treasurer TJ. S $645, 263.09 4, 482. 52 80, 000. 00 8, 000. 00 28, 280.44 9,100.14 32, 8, 81, 4, 559. 946. 056. 228. 04 80 06 09 7,192.66 338. 56 37, 902. 00 17, 000. 00 Surplus fund Undivided jjrofits, less current expenses and taxes paid National-bank note3 outstanding. State-bank notes outstanding 170,000.00 Due to other national banks I Due to State banks and bankers..' Dividends unpaid 31,250.47 4, 999. 46 Individual deposits United States deposits Deposits of U.S. disbursing officers. 490, 688. 88 19, 009. 93 72, 000. 00 Notes and bills rediscounted. Bills payable 3, 600. 00 Liabilities other than those above i stated I 967, 948.74 Total. $180, 000. 00 Capital stock paid in 967, 948. 74 Total. First National Bank, Mahanoy City. E D W ' D S. SILLIMAN, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... | U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg' s owned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ~$ioo7ooo7o6 48, 000.00 7, 832. 93 87, 010. 00 15,736. 01 1,513.35 965.15 98, 674.77 2, 945. 27 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 555.66' United States deposits 20.48 Deposits of U. S.disbursingofficers. 33,687. 50 1,475. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above stated 567, 502.83 Total. W. L. YODER, Cashier. No. 567. $177,289.08 ] Capital stock paid in.. 61.79 100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 12, 000. 00 National-bank notes outstanding. 118, 079. 43 State-bank notes outstanding 43, 230.90 2, 868. 27 16.00 278,544.73 567, 502.83 Total. Union National Bank, Mahanoy City. ANDREW COMREY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3997. $293, 929. 39 135. 61 100, 000. 00 1,100.00 11, 056. 25 44, 332. 32 17, 800. 00 31, 819. 09 5, 376. 79 71, 994. 03 2,127.56 38.49 30, 233. 00 2, 270. 00 4, 500, 00 616, 712. 53 E L I S. REINHOLD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 32, 500. 00 9, 662. 73 90, 000. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid 43, 257. 35 156. 08 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 340, 968. 37 168. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above I stated Total . 616, 712. 53 964 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E N N S Y L V A N I A. National Bank, Malvern. CHRISTIAN LAPP, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U S. bonds i Stocks, securities, etc j Bank'g house, furniture, andfixtures| Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. Due from approved reserve agents.) Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ.S Total. No. 3147. $142, 080. 20 866.76 12, 500. 00 5, 000. 00 11,708.34 11, 423. 66 272. 99 9, 676, 50 474.89 68.69 1,263.25 4, 478.00 562. 50 300.00 200, 675. 78 CHAS. C. HIGHLEY, Cashier. Liabilities. Capital stock paid in. Surplus fund " Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid , Individual deposits United States deposits Deposits of U.S. disbursing officers Noi es and bills rediscounted Bills payable Liabilities other than those above stated Total. $50, 000.00 11, 500. 00 3, 642.17 11,250.00 16, 294. 72 75.00 107,913.89 200, 675. 78 Keystone National Bank, Manheim. No. 3635. A. H. DANNEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furnit are, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie .' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. M. Gr. HESS, Cashier. $101, 735. 35 i Capital stock paid in 500.41 45,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 300. 00 National-bank notes outstanding. 10, 000. 00 State-bank notes outstanding 12, 267. 41 100. 00 Due to other national banks 418. 85 Due to State banks and bankers.. 5,188. 23 Dividends unpaid 218. 26 Individual deposits "i25.'66 j j United States deposits 128.63 I Deposits of U.S.disbursingofficers. 2, 586. 25 849. 00 Notes and bills rediscounted. Bills payable 2, 025. 00 184, 442.39 Liabilities other than those above stated Total $60, 000. 00 12, 000.00 2,450. 97 40, 500.00 2, 872. 86 786. 50 60, 832. 06 5, 000.00 184, 442. 39 Manheim National Bank, Manheim. JACOB L. STEHMAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house " Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. H. C. GINGRICH, Cashier. No. 912. $187,962.72 248.16 40, 000.00 4, 000.00 39, 000.00 9, 900. 00 5, 087. 79 43.30 19,199.19 573.56 315*00 398.51 11, 034. 85 2,935. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofncers. 15,419. 06 30, 000.00 3,920. 39 35, 250.00 837- 00 87, 071. 63 Notes and bills rediscounted. Bills payable 1, 800. 00 Liabilities other than those above stated 322, 498. 08 Total. 322,498. 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 965 PENNSYLVANIA. First National Bank, Marietta. No. 2710. JOHN MUSS^R, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on IJ. S. bonds I Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. j Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks • Fractional currency, nickels, cents. | Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities $254,905. 57 632. 07 50, 000. 00 Capital stock paid in. $100, 000. 00 Surplusfund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits 174.96 DepositsofU.S.disbursingofficers. 23,905. 00 1, 320. 00 Notes and bills rediscounted. Bills payable 8, 200. 48 2,519.31 5,375.00 95, 692. 73 20, 000. 00 5, 887.18 45, 000. 00 3, 480. 65 486. 74 21, 546. 07 995.42 2, 250. 00 480, 764.21 Total. AMOS BOWMAN, Cashier. 695. 00 218, 462. 24 Liabilities other than those above stated Total. 480, 764.21 First National Bank, Mauch Chunk. M. S. KEMMERER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture,?nd fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 437. , 048, 325. 60 101.82 50, 000. 00 1, 000. 00 192, 026.11 12, 000. 00 681.83 26, 295. 06 6, 220. 28 119,493.33 3, 047. 93 11, 000. 00 282.68 53, 964. 00 23, 500. 00 2, 250. 00 EDGAR TWINING, Cashier. Capital stock paid in | $400, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. 82, 326. 73 9, 349. 68 83,973.98 45, 000. 00 3, 259.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 826, 279. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1, 550,188. 64 1, 550,188.64 Second National Bank, Mauch Chunk. -, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie " . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . No. 469. J . M. DREISBACH, Cashier. $237, 836.54 28.48 150, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 14, 000. 00 National-bank notes outstanding. 114, 833. 00 State-bank notes outstanding $150, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 23,015.44 9, 543. 41 30, 000. 00 31, 863. 87 119,950.00 1, 000.00 "*7oo"io 5, 637. 28 103', 684. 41 751. 68 72.46 28, 966. 25 13, 486. 00 6, 750. 00 Liabilities other than those above stated 677, 746. 20 Total. 480.00 312, 893.48 ( 677, 746. 20 966 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Linderman National Bank, Mauch Chunk. JAMES I. BLAKSLEE, President. No. 2852. Resources. Loans and discounts Overdrafts to secure circulation... U. S. bonds U. S. bonds to secure deposits U. S. bonds on hand....~. Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total S. S. SMITH, Cashier. Liabilities. $67, 496. 94 30, 000. 00 3,112.50 86,601.88 400. 00 468. 45 668.78 16, 697. 98 21. 55 770. 00 25.05 7, 957. 50 4, 850. 00 1, 350. 00 720. 00 221,140. 63 Capital stock paid in $50,000. 00 12, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 1, 852. 35 27, 000.00 Due to other national banks Due to State banks and bankers.. 1,293.11 30.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 128, 965,17 Notes and bills rediscounted Bills payable Liabilities other than those above stated .. Total 221,140. 63 First National Bank, McDonald. EDWAED MCDONALD, Preside7it. Loans and discounts Overdrafts U. S. bonds to secure circulation.. . XT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national wanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. G. S. CAMPBELL, Cashier. No. 4752. $213,396.13 $50, 000. 00 Capital stock paid in. 97.12 12,500. 00 Surplus fund 20, 000.00 Undivided profits, less current 6, 493.18 expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 11,250.00 25, 000. 00 State-bank notes outstanding 1, 760. 77 Due to other national banks | Due to State banks and bankers. 72, 307. 08 Dividends unpaid. 65.00 254, 018.87 Individual deposits 540.00 United States deposits 235.20 Deposits of U.S.disbursing officers. 8, 443. 25 5, 605. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 341,762.05 stated Total. 341, 762. 05 First National Bank, McKeesport. JAMES S. KUHN, President. No. 2222. HOMER C. STEWART, Cashier. $1, 008,186. 36 Capital stock paid in. Loans and discounts $250, 000. 00 1, 398. 52 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation-.. 100, 000.00 U. S. bonds to secure deposits Undivided profits, less current 25, 246. 84 U. S. bonds on hand expenses and taxes paid 45, 000. 00 Premiums on TJ. S. bonds National-bank notes outstanding. Stocks, securities, etc State-bank notes outstanding 30, 000. 00 Bank'g house,furniture, and fixtures 20,920.14 Due to other national banks Other real estate and mortg's owned Due from other national banks Due to State banks and bankers. Due from State banks and bankers. 181,272. 68 Dividends unpaid Due from approved reserve agents305.00 7, 065. 74 Checks and other cash items Individual deposits Exchanges for clearing house... 8,170. 67 12,103.00 United States deposits Bills of other national banks 621.32 Deposits of U. S.disbursingofficers. Fractional currency, nickels, cents. 50, 406. 75 Specie 24, 500. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S2, 250. 00 Liabilities other than those above Due from Treasurer TJ, S stated Total | 1,388,722.51 1, 388, 722. 51 Total . REPORT OF THE COMPTROLLER OF THE CURRENCY. 967 PENNSYLVANIA. Citizens' National Bank, McKeesport. SAMUEL "W. SHAW, President. No. 4876. BERNARD VOLK, J R . , Cashier. Liabilities, Resources. Loans am] discounts Overdraft's U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S, bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixture? Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $157. 660. 85 186 01 25. 000. 00 2, 800.12 '2, 567." 85 22, 039. 91 491. 05 585.00 152.10 7, 099.45 4, 095. 00 1,125. 00 Capital stock paid in.." $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 706. 28 22,500.10 Due to other national banks Due to State banks and bankers..! Dividends unpaid ! Individual deposits United States deposits Deposits of U.S.disbursing officers. 90, 596, 06 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 223,802.34 I 223, 802. 34 National Bank, McKeesport. D. H. RHODES, Cashier. No. 4625. JAMES EVANS, President. Loans and discounts - -1 $479, 257. 50 486.19 Overdrafts j 37, 500. 00 U. S. bonds to secure circulation.. J U. S. bonds to secure deposits ;... U. S. bonds on hand \.. Premiums on U. S. bonds. Stocks, securities, etc 102, 975. 27 Bank'ghouse,furniture,andfixtures 1, 800. 00 Other real estate and mortg's owned 1,156.48 Due from other national banks 11, 878. 80 Due from State banks and bankers. 71,745.33 Due from approved reserve agents. Checks and other cash items. 3,145. 08 Exchanges for clearing house '""4," 235." 00" Bills of other national banks 357.13 Fractional currency, nickels, cents 16, 995. 85 Specie 15, 500.00 Legal-tender notes U. S. certificates of deposit 1, 687. 50 Redemption fund with Treas. U. S. 2.50 Due from Treasurer U. S Capital stock paid in Due to other national banks j Due to State banks and bankers..! Dividends unpaid ! Individual deposits United States deposits !. Deposits of U.S.disbursingonicers-L 100, 000. 00 7, 385. 52 33, 750. (JO 315.00 457, 272.11 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 748, 722. 63 Total . j $150, 000. 00 Surplus fund [ Undivided profits, less current j expenses and taxes paid i National-bank notes outstanding-! State-bank notes outstanding j Total . 748, 722. 63 Merchants' National Bank, Meadville. JAMES E. MCFARLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... V. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 871. $213,153. 90 37.33 25, 000. 00 54,425.16 9,138. 07 2, 332. 61 930. 72 9,902. 46 44, 374. 27 10,109. 94 11, 753. 00 .37 19, 038. 75 3, 000. 00 1,125. 00 404, 321. 58 W. S. MCGUNNEGLE, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 24, 859. 36 22, 500. 00 Due to other national banks Due to State banks and bankers.. 3, 757.18 955. 66 25, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 227, 249. 38 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 404, 321. 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. New First National Bank, Meadville. No. 4938. A. M. FULLER, President. C. S. BUBWELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse, furniture, and fixtures Other real estate andrnortg's owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $268, 647. 99 247. 30 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid I 3, 000. 00 National-bank notes outstanding. I 29, 875. 73 State-bank notes outstanding | 15, 000. 00 Due to other national banks | 19, 567.94 Due to State banks and bankers. J 45, 904.76 2,380.46 3,340. 00 64.27 21,162.95 11, 930.00 1,125.00 Dividends unpaid. 5, 000. 00 6, 335. 56 21,750.00 1, 075.12 225. 00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 312,860. 72 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 447,246.40 Total. $100, 000. 00 Capital stock paid in. 447, 246.40 First National Bank, Mechanicsburg. MARTIN MUMMA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. "Hue from Treasurer U, S Total. No. 380. $227, 741. 54 35.05 40, 000. 00 A. C. BRINDLE, Cashier. Capital stock paid in- | Surplus fund Undivided profits, less current expenses and taxes paid 4,000.00 National-bank notes outstanding. 156, 477. 50 State-bank notes outstanding 18, 000. 00 8, 500. 00 Due to other national banks 18,445.16 Due to State banks and bankers.. 19, 664.96 11, 942. 22 Dividends unpaid 6, 677. 30 Individual deposits j j. 1,130. 00 United States deposits 185. 27 Deposits of U.S.disbursingofficers.;. 44, 024. 00 9, 693. 00 Notes and bills rediscounted. Bills payable 1, 800. 00 Liabilities other than those above $100, 000. 00 60, 000. 00 7, 758.38 36, 000. 00 17, 007. 01 2,310.41 345,180. 20 stated Total. 568,316.00 568, 316.00 Second National Bank, Mechanicsburg. JOHN M. HART, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse, furniture, aud fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S r Total No. 326. $104,953. 53 115.37 22, 500. 00 2,743. 75 69, 682.84 3, 500.00 8,074.12 5,173. 05 11, 667.66 2, 373.10 155.00 232. 38 17,997. 55 3, 095. 00 910. 66 253,173. 35 F . K. PLOYER, Cashier. Capital stock paid i n . I Surplus fund Undivided profits, less current^ expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks j Due to State banks and bankers.. j Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers - $50, 000. 00 17, 000. 00 3,371.59 20, 250. 00 6, 468. 03 3, 643. 89 152,439. 84 Notes and bills rediscounted Bills payable ! Liabilities other than those above : stated I Total. 253,173.35 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 969 PENNSYLVANIA. First National Bank, Media. No. 312. J . W. HAWLEY, President. J. FRANK KITTS, Cashier. liesources. Liabilities. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned\ Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S Total. $443, 666. 57 Capital stock paid in $100, 000. 00 196.40 50, 000. 00 Surplusfund I 150, 000. 00 Undivided profits, less current | expenses and taxes paid I 59, 229. 67 National-bank notes outstanding.! 45, 000. 00 101,700.00 State-bank notes outstanding | 18, 300. 00 Due to other national banks 33, 324. 68 17, 294. 50 Due to State banks and bankers. 119, 408. 99 Dividends unpaid 894.00 2,153. 54 Individual deposits < 443,105. 36 " i " 500.'00 United States deposits 583.71 Depositsof U.S. disbursing officers 58, 500. 00 15, 000. 00 Notes and bills rediscounted.. Bills payable 2, 250. 00 Liabilities other than those above! j stated . 831, 553. 71 Total. 831,553.71 Charter National Bank, Media. No. 3666. JARED DARLINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and. bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing houi Bills of other national bank Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S, 7, 026.19 1, 943. 02 1,130. 00 110.70 10, 823. 00 4, 365. 00 1,125. 00 Dividends unpaid ! $100, 000. 00 4, 000. 00 4, 774. 65 22, 500. 00 838. 77 2, 860. 21 515. 50 Individual deposits United States deposits Deposits of U.S.disbursing officers. 102, 368. 56 Notes and bills rediscounted Bills payable Liabilities other than those above stated 8, 694. 67 25, 000.00 271, 552.36 Total. CALEB H. NEEDLES, Cashier. $199, 036.71 Capital stock paid in. 146.69 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding. 1,901.94 State-bank notes outstanding 17. 566. 68 Due to other national banks j 377.43 Due to State banks and bankers.. j Total - 271, 552. 36 First National Bank, Mercer. WILLIAM LOGAN, President. Loans and discounts j Overdrafts J TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures, Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. "W. C. ALEXANDER, Cashier. No. 392. $288,067. 07 2, 238. 48 60, 000. 00 5, 000. 00 7,800.00 2, 500. 00 2, 600. 00 7, 281. 00 1,281.11 12,174.14 5, 019. 94 3, 027. 00 401. 70 10,498. 00 5, 530. 00 Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits : United States deposits Deposits ofU.S.disbursingofiicers. $120,000.00 60, 000. 00 15, 495.87 54, 000. 00 1, 247. 00 165, 375. 57 Notes and bills rediscounted. Billspayable 2, 700. 00 Liabilities other than those above stated ! 416,118. 44 Total. 416,118.44 970 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Farmers and Mechanics' National Bank, Mercer. BERIAH MAGOFFIN, President. No. 2256. J N O . I. GORDON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... II. S. bonds to secure deposits II. S, bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $220, 631. 34 Capital stock paid i n . 5, 492. 39 20, 000.00 1 Surplus fund 1 | Undivided profits, less current I j expenses and taxes paid 2, 000. 00 i National-bank notes outstanding 5, 700. 00 State bank notes outstanding 2, 028.83 4, 894. 42 Due to other national banks 644. 74 Due to State banks and bankers . 34.60 j; 31,659.22 | Dividends unpaid 1,702.68 ! Individual deposits 75.00 j! United States deposits 26.51 j Deposits of U.S. disbursing officers. 8, 358. 75 8, 899. 00!j Notes and bills rediscounted. ji Bills payable 900. 00 Liabilities other than those above stated $80, 000. 00 Total . 313, 047.48 313, 047. 48 30, 000. 00 10, 550. 69 18, 000. 00 617. 81 611.00 173, 267. 98 Mercer County National Bank, Mercer. HENRY ROBINSON, President. No. 4909. "W. J . ROBINSON, Cashier. 128. 869. 12 Capital stock paid in . Loans and discounts . • Overdrafts 762. 65 12, 500. 00 Surplus fund U. S. bonds to secure circulation,.. Undivided profits, less current U. S. bonds to secure deposits ! U. S. bonds on hand j expenses and taxes paid Premiums on U. S. bonds 1,000.00 National-bank notes outstanding. Stocks, securities, etc | 1, 008. 55 State-bank notes outstanding Bank'g house, furniture,and fixtures; 700. 00 Other real estate and mortg's owned Due to other national banks Due from other national banks j 504.44 Due to State banks and bankers . Due from State banks and bankers - j 30. 75 Due from approved reserve agents. 2, 906. 06 Dividends unpaid Checks and other cash items I 190. 51 Individual deposits j Exchanges for clearing house • j Bills of other national banks 666. 00 U nited States deposits Fractional currency, nickels, cents. 28. 79 DepositsofU.S.disbursingofficers.j Specie 2, 422. 00 Legal-tender notes 3, 800. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit i Redemption fund with Treas. U. S. j 562. 50 Liabilities other than those above I Due from Treasurer U. S ' stated !. Total . Total . 155, 951.37 $50, 000. 00 1,200.00 6, 728.37 11,250.00 86,773. 00 155, 951. 37 First National Bank, Middleburg. Gr. ALFRED SCHOCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures| Other real estate and mortg's owned? Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S.i Due from Treasurer U. S | Total . No. 4156. $123, 027. 02 20.79 15, 000. 00 100. 00 13, 971.13 283. 76 3,363.67 I 25,577.44 ! 282.56 I 2, 270. 00 244.82 12, 337.00 5, 970. 00 J . N. THOMPSON, J R . , Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers .. Dividends unpaid 11, 000. 00 2, 731. 54 13, 500. 00 3, 684. 29 - Individual deposits United States deposits Deposits of U. S.disbursing officers. 122, 207. 36 Notes and bills rediscounted. Bills payable 675.00 ; Liabilities other than those above stated 203,123.19 Total . 203,123.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 971 First National Bank, Mifflintown. No. 4039. J. BANKS WILSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . A. DOUDEN, President. $125, 342.56 " " 50," 000.' 00 6, 000. 00 937.16 9, 782. 28 39, 853. 64 864.98 13.15 9, 774. 00 4,000. 00 2,250. 00 8,817.77 $50, 000. 00 Total .. $134, 540. 66 1,107. 98 25, 000. 00 3, 200. 00 15,100. 00 9,600. 00 7, 679.17 102,133. 47 1, 534. 47 611.00 244. 40 0, 850. 00 6, 025. 00 1,125. 00 317, 757.15 12, 500. 00 6, 086. 25 45, 000. 00 13, 910. 60 8, 245. 81 170, 788, 21 306, 530. 87 J. H. KAHLER, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6, 437. 05 45, 000. 00 Duefcoother national banks Due to State banks and bankers.. 3, 575. 81 5, 310.10 Dividends unpaid 30, 000. 00 260.00 Individual deposits United States deposits Deposits of U.S.disbursing officers - 108, 204. 81 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. First National Bank, Milton. No. 253. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Capital stock paid in Surplus fund I Undivided profits, less current I expenses and taxes paid 4, 500. 00 National-bank notes outstanding 8, 000. 00 State-bank notes outstanding 9. 400. 00 Due to other national banks Due to State banks and bankers.. 31,912.08 Dividends unpaid 351.84 Individual deposits ""i," 165." 66' United States deposits 210. 21 Deposits of U.S.disbursing officers 14, 025. 25 5, 222. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above j stated \ 50, 000 00 First National Bank, Millersburg. No. 2252. Total . H. A. FONDA, President. $179, 347 65 146. 84 306, 530. 87 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S EZRA C. DOTY, Cashier. Liabilities. J. M. CALDWELL, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstandingState-bank notes outstanding. 4, 365. 87 21, 220. 00 Due to other national banks Due to State banks and bankers.. 12, 427. 38 1, 290. 69 Dividends unpaid . Individual deposit: United States deposits Deposits of U.S. disbursing officers Notes and bills rediscounted. Bills payable 24,100.00 363.00 153, 990. 21 Liabilities other than those above stated Total. 317, 757.15 972 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYL VANIA. Milton National Bank, Milton. No. 711. V M . C. LAWSON, President. R. M. FRICK, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures) Other real estate and mortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other nationalbanks. Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas, TJ. S. Due from Treasurer IT. S Liabilities. $110, 921.49 292.01 25, 000. 00 45,500. 00 18, 300. 00 24, 500.00 4, 499. 51 57, 778.13 1,899. 00 195. 06 29, 990. 00 10,275. 00 1,125. 00 Capital stock paid i n . . 50,000. 00 Due to other national banks j Due to State banks and bankers.. I | Dividends unpaid j Individual deposits j 6, 780.47 14, 785. 22 2,149.38 22, 500. 00 640.50 133, 419. 63 United States deposits i. Depositsof U.S.disbursingomcers.! Notes and bills rediscounted. Bills payable Liabilities other than those above j stated I. 330, 275. 20 Total. 330, 275. 20 Total. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding First National Bank, Minersville. CHAS. R. KEAR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and m o r t i s owned Due from other nationalbanks \. Due from State banks and bankers. | Due from approved reserve agents. j Checks and other cash items. Exchanges for clearing house Bills of other nationalbanks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 423. HARRY F. POTTER, Cashier. $115, 070. 48 Capital stock paid in 17.79 50, 000. 00 Surplus fund 20, 000. 00 10,000. 00 10, 639. 00 12, 583. 00 10, 617. 00 4, 541. 72 42,802.51 1, 060. 00 81.55 25, 527. 80 3, 838. 00 2, 250. 00 309,028. 85 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks j Due to State banks and bankers. J Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 18, 011. 55 9, 098.63 420.00 140,109.50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 309, 028. 85 First National Bank, Montrose. H. L. BEACH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes I U. S. certificates of deposit ' Redemption fund with Treas. U.S. I Due from Treasurer U. S ! Total. N o . 2223. $226, 756.24 1, 078. 85 12, 500.00 1, 300. 00 29, 850. 00 8, 000. 00 ""5," 582." 74' 39," 272* 43" 371. 72 151. 00 295. 57 16,061.00 73. 00 WM. H. WARNER, Capital stock p a i d i n . Cashier. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 23, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 14, 682. 62 256. 31 Individual deposits United States deposits , DepositsofU.S.disbursingofficers. 235, 628. 95 7, 022.17 11, 250. 00 15.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 341, 855. 05 Total. 341,855.05 REPORT OF THE COMPTROLLER OF THE CURRENCY. 973 PENNSYLVANIA. First National Bank, Mount Carmel. E. C. TIER, President. No. 3980. M. K. WATKINS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds., Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $137, 509. 03 4.07 50, 000. 00 5,400. 00 21, 770. 00 16, 569. 95 8.00 69, 568. 60 493. 85 258.13 3, 576. 05 22, 037. 00 Capital stock paid i n . Due to other national banks I Due to State banks and b a n k e r s . . Dividends unpaid .! Individual deposits ' United States deposits |.. Depositsof U.S.disbursing officers. . . 10,000.00 12, 373. 67 43, 250. 00 27,914. 95 1, 517.19 21.00 184, 367. 87 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above j stated '. 329,444.68 Total. $50, 000. 00 Surplus fund Undivided profits, less current j expenses and taxes paid I National-bank notes outstanding-! State-bank notes outstanding..."..!. 329,444. 68 Total. First National Bank, Mount Joy. JACOB W. NISSLEY, President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and b a n k e r s . Due from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 667. $196, 040. 68 687. 28 25, 000. 00 2, 500. 00 17,393. 75 7, 300. 00 12,169.69 1, 083. 05 25,103. 02 261. 87 2, 685. 00 101. 38 6,188.50 10, 000.00 1,125.66 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. Due to other national b a n k s Due to State banks and b a n k e r s . . 2, 959. 26 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 138, 968. 07 , j Liabilities other t h a n those above stated 307, 639. 22 Total . M. M. BRUBAKER, Cashier. Capital stock paid in. Total . 307.639. 22 Union National Mount Joy Bank, Mount Joy. H. 0. SCHOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ."". Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. No. 1516. $1.66,276. 47 87.34 50,000. 00 3, 000. 00 5, 000. 00 4, 825.00 8,810.73 1, 685. 93 25, 852.45 197. 56 245.00 56.75 6, 901. 00 1, 320. 00 I. s. LONOEKECKEB, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits • United States deposits DepositsofU.S.disbursingofficers.L $100,000. 00 20, 000. 00 4, 395. 75 44, 320. 00 11,521.31 47C. 50 95, 794. 67 Notes and bills rediscounted Bills payable '2, 250.' 00 Liabilities other than those above stated 276, 508. 23 Total . 276, 508.23 974 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Mount Pleasant. H. W. STONEK, President. No. 386. GEO. W. STONER, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds \ Stocks, securities, etc j Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks \ Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ; Bills of other national banks j Fractional currency, nickels, cents. I Specie j Legal-tender notes i U.S. certificates of deposit j Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $179,217.12 74.86 50. 000. 00 6. 000. 00 21,700.00 19, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding Due to other national banks j Due to State banks and bankers. I Dividends unpaid I Individual deposits \ United States deposits \. 156. 03 18, 790. 55 Depositsof U.S.disbursingofficers. . 5, 330. 00 Notes and bills rediscounted... | Bills payable '*2,*256.'oo" Liabilities other than those above 292." 68* 9, 931. 06 54,194.02 2,084.56 $100,000.00 43, 000. 00 4,152.76 45, 000. 00 442. 21 3, 613. 00 175, 429. 51 stated 371, 637. 4 Total . 371, 637.48 Citizens' National Bank, Mount Pleasant. J. S. HITCHMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure ueposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. IT. S. certificates of deposit... Redemption fund with Treas. IT. S-! Due from Treasurer U. S j• Total. J. G. SHOPE, Cashier. No. 4875. $85, 873. 93 Capital stock paid in. $50, 000. 00 1,232.04 25,000.00 Surplus fund 30, 000. 00 Undivided profits, less current expenses and taxes paid 2, 072. 28 22, 500. 00 2, 800. 00 National-bank notes outstanding. State-bank notes outstanding 30, 000. 00 Due to other national banks Due to State banks and bankers.. 6, 365. 63 48, 975. 88 Dividends unpaid 2, 805. 63 Individual deposits 106, 742. 95 i ,689 00 United States deposits 100 97 Depositsof U.S.disbursingofflcers. 3 ,847 15 Notes and bills rediscounted. 1 ,500.00 Bills i>ay able Liabilities other than those above stated 211, 315. 23 Total . 211,315.23 Farmers and Merchants' National Bank, Mount Pleasant. R. K. HISSEM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds ! Stocks, securities, etc j Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items : Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4892. C. E. MULLIN, Cashier. $68, 691. 53 Capital stock paid in ' j $50, 000.00 62.09 25,000.00 Surplus fund 4, 500. 00 Undivided profits, less current expenses and taxes paid 1,161. 30 2, 860.88 National-bank notes outstanding22, 500. 00 1,000.00 State-bank notes outstanding 15, 981. 82 Due to other national banks 112.24 Due to State banks and bankers.. 3, 283.13 Dividends unpaid 713.11 Individual deposits | 53, 905. 72 650. 00 United States deposits J 97.80 Depositsof U.S. disbursing officers.! 8, 710. 90 4, 000. 00 Notes and bills rediscounted | Bills payable 1,125. 00 Liabilities other than those above | stated Total „ ; 132,179. 26 132,179. 26 975 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Mountville National Bank, Mountville. J O H N M. FROELICH, President. No. I GEORGP: CRANE, Cashier. Resources. Loans and discounts Overdrafts TL S. bonds to secure circulation... . TJ. S. bonds to secure deposits I TJ. S. bonds on hand Premiums on TJ. S. bonds | Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national ban ks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items i Exchanges for clearing house | Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ! U. S. certificates of deposit | Redemption fund with Treas. U . S . ! Due from TreasurerU, S \ Liabilities. $132, 306. 27 723. 93 12, 500.00 - j $50, 000. 00 Surplus fund I Undivided profits, less current | expenses and taxes paid j National-bank notes outstanding.' State-bank notes outstanding ' Capital stock paid in 10, 000. 00 7, 000.00 Due to other national banks Due to State banks and bankers 21,130. 02 1,808.39 153.42 5. 903.00 7, 645. 00 2, 365. 37 Dividends unpaid 447.50 Individual deposits United States deposits Depositsof U.S.disbursing officers. | I l l , 189. 53 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above j stated 189, 732.53 Total. 4,780.13 10,950.00 Total. 189, 732. 53 Citizens' National Bank, Muncy. No. 3480. H. V. PETERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc ! Bank'ghousejfurniture, and fixtures; Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . "W. E. MOHR, Cashier. $147,005.62 [| Capital stock paid in . ! 834.51 !! .12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,100.00 National-bank notes outstanding. State-bank notes outstanding '7,"722."i2~ Due to other national banks I, 854. 29 Due to State banks and b a n k e r s . . 15, 435. 88 598. 79 6o6."66" $50,000.01? 12, 500. 00 4, 759. 67 11. 250. 00 10, 460. 78 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 114, 591. 60 22.14 4, 891. 20 5, 435. 00 I Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 2, 000. 00 Total . 205,562. 05 205, 562. 05 First National Bank, Nanticoke. J O H N SMOULTER, J R . , President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits ! TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures| Otherreal estate andmortg's ownedj Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3955. $152, 842. 22 148.36 75, 000.00 H. D. FLANAGAN, Capital stock paid in. Cashier. $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 19, 000. 00 12, 758.87 Duo to other national banks Due to State banks and b a n k e r s . . 6,179. 93 18,171. 96 50, 321. 02 1,177.59 Dividends unpaid 8,125. 00 107,511.11 2, 000. 00 2, 615. 00 129.54 16,145. 00 7, 500. 00 3, 874. 42 66, 620. 00 I Individual deposits United States deposits Depositsof U.S.disbursing officers. Notes and bills rediscounted Bills payable 45.00 250, 757. 40 I 3, 375. 00 Liabilities other than those above j stated ! 439,648.71 j Total . 439, 6-18. 71 976 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, N e w Bethlehem. No. 4978. C. E. ANDREWS, President. J. R. FOSTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank' ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $131,601.64 Capital stock paid in. 531.01 I 12,500.00 | Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 2, 000. 00 2,040.74 11, 250. 00 7," i 02.15 427.61 40.10 30, 809. 27 744.32 640.00 543.11 11, 422. 65 3, 795. 00 562. 50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 570.14 Individual deposits United States deposits Deposits of U. S.disbursing officers. 136, 358.48 Notes and bills redisconnted. Bills payable Liabilities other than those above stated Total. 202, 219. 36 202, 219. 36 National Bank, New Brighton. No. 3259. R. S. KENNEDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand ' Premiums on U. S. bonds Stocks, securities, etc | Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $205,315.45 583. 75 25, 000. 00 GEORGE DAVIDSON, Cashier. Capital stock paid in j $100, 000.00 Surplus!"und Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding . 20, 000. 00 Dne to other national banks 1 Due to State banks and bankers. J . Dividends unpaid 4, 650.12 2, 640.11 22, 040. 00 6, 500. 00 1, 2, 15, 1, 988.10 311. 48 576. 02 356. 88 345. 00 44.06 9, 702. 60 4, 405. 00 1,125. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 124, 923.11 Notes and bills rediscounted. Bills payable Liabilities other than thosi above stated Total. 274, 253. 34 274,253.34 Union National Bank, N e w Brighton. C. M. MERRICK, President. N o . 4549. $122,617. 80 Loans and discounts Overdrafts U. S. bonds to secure circulation... *"*i2,'5OO."66' U. S. bonds to secure deposits U. S. bonds on hand I Premiums on U. S. bonds ( 1, 250. 00 Stacks, securities, etc ! Bank'ghouse,furniture,and fixtures! 14, 093. 60 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. 10,169. 51 Checks and other cash items j 468. 95 Exchanges for clearing house ! Bills of other national oanks. Fractional currency, nickels, cents. 20. 25 Specie 9, 567. 90 1,945.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 562. 50 Due from Treasurer U. S Total. 173,195.51 E. H. SEIPLE, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits , United States deposits ! Deposits of U. S.disbursing officers J $50, 000. 00 5, 000. 00 2, 929. 82 11, 250. 00 1,436. 57 102, 579.12 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 173,195.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 977 PENNSYLVANIA. First National Bank, New Castle. W. S. FOLTZ, President. No. 562. R. S. FOLTZ, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S.i Due from Treasurer U. S Liabilities. $537, 491.11 isojooo.oo 20, 000. 00 161, 031.96 25, 000. 00 1 988. 97 570 89 43 000. 38 5 219 89 Capital stock paid in 110, 000. C O Due to other national banks Due to State banks and b a n k e r s . . 9, 607.11 2, 875. 60 5, 813. 64 135, 000. 00 Dividends unpaid Individual deposits 473.00 United States deposits 200.00 i Depositsof U.S.disbursingofficers. 58,893.00 | 27,000.00 I Notes and bills rediscounted Bills payable "i," 260." 66* Liabilities other than those above stated 1,032,069.20 j! Total. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 618, 772. 85 1, 032, 069. 20 Total . Citizens' National Bank, New Castle. T. W. PHILLIPS, President. Loans and discounts \ Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4676. $430,188. 90 253.93 150, 000. 00 14,500.00 27, 925. 25 33, 000. 00 139. 08 172. 58 61,815.33 3, 307. 28 Surplus fund Undivided profits, less current expenses an A taxes paid National-banknotes outstanding. State-bank notes outstanding..... Due to other national banks ! Due to State banks and bankers . . Dividends unpaid. Individual deposits 1,683.00 United States deposits 302. 86 Depositsof U.S. disbursing officers. 47, 925. 00 4, 000. 00 ! Notes and bills rediscounted. I Bills payable 6, 750. 00 2, 550. 00 Liabilities other than those above stated 784, 513.21 Total. D. JAMESON, Cashier. Capital stock paid in. 20, 000.00 14, 543. 48 135, 000. 00 3, 036. 75 411,332.98 784,513.21 Total . National Bank of Lawrence County, New Castle. WILLIAM PATTERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house, furniture, andfixturesi Other real estate and mortg's owned| Due from other national banks 1 Due from State banks and bankers. i Due from approved reserve agents. I Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.! Due from Treasurer U. S Total . CUR, PT 2 62 No. 1156. $669, 273. 38 Capital stock paid i n . 150," 000." 00' 406, 599. 50 25, 000. 00 R. CRAWFORD, Cashier. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 500, 000. 00 37, 987. 28 135, 000. 00 Due to other national banks Duo to State banks and bankers .. Dividends unpaid 911.81 Individual deposits "" 23," i 92." 00 United States deposits 200. 00 ! Deposits of U.S.disbursingomcers. 131,674.00 25, 000. 00 Notes and bills rediscounted. Bills payable 6,750. 66 Liabilities other than those above stated 1,024,188.01 "" 72," 441.' 02 333,176.21 4, 780. 99 1, 848, 087.10 Total | 1,848,087.10 978 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. New Holland National Bank, New Holland. CORNELIUS F. ROLAND, President. No. 2530. JAMES DILLER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U". S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Liabilities. $311,999.66 68.98 35, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 3, 500. 00 | National-bank notes outstanding. 27, 638. 00 State-bank notes outstanding 8, 200. 00 1, 800. 00 4,131.02 21, 385.10 88.60 865.'66' 139.12 6. 249. 00 110.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 65, 000. 00 25, 322. 75 31, 500. 00 12, 241. 25 20.00 163, 665. 48 Notes and bills rediscounted Bills payable 1, 575." 66' Liabilities other than those above stated Total Total $125, 000. 00 422, 749.48 422, 749.48 First National Bank, New Kensington. S. P. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.fumiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S D. B. DOTY, Cashier. No. 4913. $94,603.10 Capital stock paid in. $50,000.00 269.03 12, 500. 00 Surplus fund 3, 000. 00 Undivided profits, less current expenses and taxes paid 839. 07 1, 500. 00 National-bank notes outstanding. 11, 250. 00 19,427.75 State-bank notes outstanding 4, 802. 93 5, 080.13 Due to other national banks Due to State banks and bankers.. 10,152. 45 Dividends unpaid 35.10 2, 299. 60 4, 220. 00 * 502.50 150, 377. 46 Total . Individual deposits United States deposits Deposit s of U.S. disbursing officers. 65, 772. 45 Notes and bills rediscounted Bills payable Liabilities other than those above stated 14, 435. 81 Total . 150, 377.46 First National Bank, Newport. JAMES B. EBY, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes IT. S certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer II. S Total P . K. BRANDT, Cashier. No. 4917. $197, 445. 62 Capital stock paid in. $50, 000. 00 500. 00 30, 000. 00 Surplus fund 5, 300. 00 Undivided profits, less current expenses and taxes paid 2,120.1.3 26, 950. 00 3, 390. 63 National-bank notes outstanding. State-bank notes outstanding 0.729.47 Due to other national banks C, 146. 33 5,109. 67 Due to State banks and bankers.. 4, 261. 61 832. 84 44, 013. 37 Dividends unpaid 306. 00 1, 642. 91 Individual deposits ] 210, 306'. 94 1, 600. 00 United States deposits 125. 00 Deposi t s of IT. S .disbursin g officers. 15,651.50 3, 000. 00 Notes and bills rediscounted Bills payable 1,350.00 Labilities other than those above stated , Total . 311,391.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 979 PENNSYLVANIA. First National Bank, Newtown. No. 324. J. P. HUTCHINSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XJ. S Total. S. C. CASE, Cashier. Liabilities. 5262, 951. 83 Capital stock paid in. $100, 000.00 25, 666." 66" Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 153, 750. 00 8, COO. 00 7,871.00 20, 398.80 51,551.98 225.63 80.66 7.55 12, 560. 00 6, 073. 00 State-bank notes outstanding 100,000. 00 27,108. 56 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 38, 457.12 3, 532. 70 Individual deposits j United States deposits !, Deposits of U.S.disbursing officers.! 257. 946. 41 50.00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above | stated I 549, 594. 79 Total . 549, 594. 79 First National Bank, Newville. No. 60. JNO. S. DAVIDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits X . S. bonds on hand T Premiums on X . S. bonds T Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $152, 699.15 53.81 50, 000. 00 101, 200. 00 10, 000. 00 1,848.64 4,817.28 9, 398. 33 200. 00 39.05 16, 500. 00 1, 700. 00 2, 250. 00 J . B. DAVIDSON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 38,000. 00 5, 307.15 43, 900. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid I Individual deposits United States deposits Deposits of U.S.disbursing officers . 4, 024. 04 2, 686. 74 212.00 156, 576. 33 Notes and bills rediscounted Bills payable Liabilities other than those above stated 350, 706. 26 Total . 350, 706.26 First National Bank, Norristown. F . G. STINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... ' U. S. bonds to secure deposits U. S. bonds on hand Premiums on X S. bonds L Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 272. $378,859. 87 125.00 37,500. 00 3, 800. 00 109, 986. 25 15, 000. 00 35, 747. 07 55, 384. 95 85,120. 92 1, 615. 30 1,477. 00 1,306.61 38, 350. 00 10, 925. 00 3,687.50 776, 885.47 GEO. SHANNON, Cashier. Capital stock paid in. i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks | Due to State banks and bankers.. j Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $150, 000. 00 90, 000.00 8, 547. 24 33,750.00 51. 208.16 501.00 442, 879. 07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 776, 885. 47 980 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Montgomery National Bank, Norristown. JOHN SLINGLUFF, President's No. 1148. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TL S. Due from Treasurer U. S Total. Liabilities. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $317, 842.48 99.11 150, 000. 00 50,000. 42, 000. 420, 925. 50, 000. 3, 460. 27, 552. W. H. SLINGLUFF, Cashier. 00 00 00 00 36 66 $200, 000.00 250, 000. 00 25, 254. 29 117,030. 00 Due to other national banks Due to State banks and bankers.. Dividen ds unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable 113, 826.19 8, 350. 05 280. 66 261. 55 46, 684. 00 20,145. 00 6,750.00 36, 005. 30 1, 280. 66 1, 469.25 627,136.90 Liabilities other than those above stated 1, 258,176.40 Total | 1,258,176.40 People's National Bank, Norristown. S. K. ANDERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from. State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit t Redemption fund with Treas. U. S. Due from Treasurer U. S Total. LEWIS STYER, Cashier. No. 2581. $391, 543. 86 Capital stock paid in $200,000*00 105. 76 50, 000. 00 Surplus fund 13, 000. 00 Undivided profits, less current expenses and taxes paid 1, 792. 80 3,000. 00 National-bank notes outstanding. 45, 000.00 3, 000. 00 State-bank notes outstanding 26, 418. 29 7, 851. 00 Due to other national banks 8,192.46 16, 538. 66 Due to State banks and bankers..! 1, 326. 50 41,181. 96 Dividends unpaid 4, 097. 53 Individual deposits 325, 548.79 600. 00 United States deposits 647. 44 Deposits of U.S. disbursing officers. 42, 713. 05 2, 260. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 593, 534.05 Total. 593, 534. 05 First National Bank, Northeast. G. W. BLAINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned: Due from other national banks i Due from State banks and bankers. \ Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 4927. B. C. SPOONER, Cashier. $92, 839. 47 Capital stockpaidin 81.31 12, 500. 00 Surplus fund .. 7j j $5o,"ooo7oo I j profits, less current j 10,000.00 Undivided and taxes paid expenses 3, 220. 00 National-bank notes outstanding. 800. 00 672. 62 11,250.00 State-bank notes outstanding 7,118.95 Due to other national banks Due to State banks and bankers.. 3,225. 50 14,429. 29 182. 58 Li vidends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 435.66" 1 95, 671. 34 3. 26 7, 284.10 6, 512. 00 Notes and bills rediscounted Billspayable 562. 50 •il Liabilities other than those above j! 158,393.96 jl stated Total. 158, 393. 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 8 1 PENNSYLVANIA. North "Wales National Bank, North Wales. HENRY R. SwARTLEY, President. No. 4330. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg'sowned' Due from other national banks j Due from State banks and bankers. J Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. HENRY UNGER, Cashier. Liabilities. $125, 033. 98 229. 80 12, 500. 00 1,100. 00 28, 308. 75 8,100. 00 Capital stock paid in.. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding, j State-bank notes outstanding ! Due to other national banks Due to State banks and bankers 12,195. 67 62.33 55. 00 323. 65 7, 751. 50 400.00 562.50 196, 623.18 j 12, 000. 00 3,481.41 11,250. 00 9, 350.12 Dividends unpaid ! Individual deposits United States deposits L Deposits of U.S.disbursingofficers.!. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 110,541.65 196,623.18 First National Bank, Oil City. WM. HASSON, President No. 173. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture.andfixturesj Other real estate and mortg's owned • Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . M. BERRY, Cashier. $196,250. 76 | Capital stock paid in. 2, 068.81 25, 000. 00 | Surplusfund i Undivided profits, less current 20, 000. 00 j expenses and taxes paid 2,400. 00 i National-bank notes outstanding. 86, 502. 56 | State-bank notes outstanding $100, 000. 00 20, 000. 00 28., 900.45 22, 500. 00 55, 500. 00 Due to other national banks ! Due to State banks and bankers. J. 2,178. 32 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 347, 327. 24 Notes and bills rediscounted. Bills payable 1,125.00 520,906. 01 I Liabilities other than those above stated Total. 520, 906. 01 First National Bank, Orwigsburg. A. P. BLAKSLEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4408. $67,189. 30 25, 000. 00 5, 000. 00 3, 500.00 26, 725. 28 1, 200. 00 GEO. W GARRETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 4, 000. 00 4, 500. 83 21,940.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11, 047. 21 437.57 Individual deposits United States deposits DepositsofU.S.disbursingonicers. Notes and bills rediscounted Bills payable 1,.125. 00 Liabilities other than those above stated 157,200.71 Total. 65, 275.10 263.64 17, 906. 76 184.17 685. 00 46.56 4, 375. 00 4, 000. 00 157,200.71 982 REPORT OF THE COMPTROLLER OF THE CURRENCY, PENNSYLVANIA. Farmers7 National Bank, Oxford. N o . 2906. D. M. TAYLOR, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S R. A. WALKER, Cashier. Liabilities. Capital stock paid in $75, 000. 00 Surplus fund Undivided profits, less current 20, 000.00 Due to other national banks Due to State banks and bankers.. j Dividends unpaid. 14, 546. 01 expenses and taxes paid 2,000. 00 National-bank notes outstanding. 7,335. 93 State-bank notes outstanding.. 12, 000. 00 (552. 72 4, 570. 73 13,327. 63 5, 848. 22 I Individual deposits 1, 630. 00 United States deposits 34. 24 Deposits of U.S. disbursing officers. 9, 640. 50 580. 00 Notes and billsrediscounted. Bills payable 843. 75 Liabilities other than those above 9, 396. 82 16, 875. 00 158,168. 99 stated Total . 293,986.82 I Total. 293, 986. 82 National Bank, Oxford. No. 728. S. R. DICKEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds onhand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $125,000.00 Surplus fund Undivided profits, less current 3, 000. 00 expenses and taxes paid 9, 000. 00 National-banknotes outstanding.) 99, 635. 00 i State-bank notes outstanding j 18, 000. 00 2, 500.00 6, 933. 38 1,108. 63 23, 295.11 1, 377.28 "4,"i85."6o' 39. 77 23, 584. 50 4, 471. 00 4, 500.00 Due to other national banks j Due to State banks and bankers.. '< Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 25, 000. Of 19,181. 20 90,000.00 9, 448. 76 1,301.00 270, 454. 70 Notes and bills rediscoun ted. Bills payable Liabilities other than those above stated 540, 385. 66 Total. J . E. RAMSEY, Cashier. Capital stock paid in. Total . 540, 385. 6 Parkesburg National Bank, Parkesburg. SAMUEL R. PARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalXanks Fractional currency, nickels, cents. Specie. Legal-tender notes U. S. certificates of deposit ; Redemption fund with Treas. U.S.! Due from Treasurer U. S j Total. M. F. HAMILL, Cashier. No. 2464. $85, 540.51 74.08 50,000. 00 7, 250.00 97, 018.75 20,582.10 Capital stock paid in. Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 000. 00 2, 565. 64 45, 000. 09 State-bank notes outstanding Due to other national banks 474. 76 Due to State banks and bankers.. 929.11 ; 5, 622. 06 Dividends unpaid 513.30 ; Individual deposits 1,348. 00 i United States deposits 17.25 j Deposits of U.S.disbursingofticers-j j i 16,675.89 4, 000. 00 Notes and bills rediscounted Bills payable j 2,250. 00 Liabilities other than those above stated 292, 295. 81 $50, 000. 00 Total . 4,881.76 10, 000. 00 164. 848. 41 292, 295. 81 REPORT OF THE COMPTROLLER OF THE CURRENCY, 983 PENNSYLVANIA. First National Bank, Patton. No. 4857. A. E. PATTON, President. W M . H. SANDFOBD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on.hand j Premiums on U. S. bonds I Stocks, securities, etc ! Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $118,180.84 2, 716. 47 50, 000. 00 5, 681. 25 353. 24 10, 427. 35 1,831.19 Capital stock paid in I $50, 000. 00 i Surplusfund | 10, 000. 00 Undivided profits, less current expenses and taxes paid 5,180.87 National-bank notes outstanding45, 000. 00 State-bank notes outstanding | Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 780.00 143. 82 i 8. 932. 00 2, 320. 00 I Notes and bills rediscounted | j Bills payable j. 2, 250. 00 Liabilities other than those above stated 205,701.31 Total. 2,147. 82 4, 384.99 83, 828.02 5,159. 61 205, 701. 31 Total . First National Bank, Pen Argyl. EDWIN WERKHEISER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixturesi Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treap. TJ. S.| Due from Treasurer U, S No. 4352. 150, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 92, 880.46 Notes and bills rediscounted Bills payable Liabilities other than those above stated 5, 000. 00 90.00 27.84 6.178. 00 7, 610.00 562. 50 175, 274.41 Total. A. C. YOUNG, Cashier. $124,652.36 ' Capital stock paid in. 819.80 : i 12, 500. 00 J Surplus fund ! Undivided profits, less current 1 expenses and taxes paid 1 1,500.00 | National-bank notes outstanding . State-bank notes outstanding 8,656.26 Due to other national banks 4, 626. 39 Due to State banks and bankers.. 8, 051. 26 Dividends un j>aid Total . 9, 500.00 1, 326. 25 11, 250. 00 4, 492. 70 825.00 175, 274. 41 Farmers' National Bank, Pennsburg. EDWIN M. BENNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g h ouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks andbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from, Treasurer U, S Total. B. F . LEIDY, Cashier. No. 2334. ' $75, 000. 00 $129,912.02 ! Capital stock paid in 1.49 ! 75,000.00 Surplus fund .• i 8, 500.00 I Undivided profits, less current j 5, 745.12 ; expenses and taxes paid i 67, 500. 00 9, 000. 00 I National-banknotes outstanding.! 26, 327. 50 ! State-bank notes outstanding 2,500.00 5. 400. 00 Due to other national banks 3, 490.33 ! 1,138. 34 Due to State banks and bankers 504. 50 16,471.'44* Dividends unpaid 522.21 Individual deposits | 119, 638.45 i United States deposits ' 74*46' j Deposits of U.S.disbursingofncers. i 10, 656. 00 j i Notes and bills rediscounted | ! Bills payable ' 3,375.00 j Liabilities other than those above j stated i 280,378.40 j i Total. 984 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Philadelphia. GEORGE PHILLER, President. No. 2731. MORTON MCMICHAEL, J R . , Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!"urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ, S Total Liabilities. $5, 727,480. 30 Capital stock paid i n . 51, 000, 000. 00 50,000. 00 ! Snrplusfund 50,000. 00 Undivided profits, less current expenses and taxes paid 8,937. 50 National-banknotes outstanding. 642,540. 01 St ate-bank notes outstanding 200,000,00' Due to other national banks 146,138. 72 Due to State banks and b a n k e r s . . 290,223.88 1,072,138.49 Dividends unpaid 38, 207. 29 274,085. 87 Individual deposits 2, 945. 00 United States deposits 2,400.18 DepositsotU.S.disbursingofficers. 1,158, 672. 50 100,476. 00 Notes and bills rediscounted. 710,000. 00 Bills payable 2, 250. 00 500, 000. 00 198, 805. 87 45, 000.00 2, 498, 087. 91 177,800.58 954. 00 6, 015, 787. 38 40, 000. 00 Liabilities other than those above stated 10,476,495. 74 Total. 10,476,495. 74 Second National Bank, Philadelphia. BENJAMIN ROWLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. I Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Tieasurer U. S Total. No. 213. CHARLES "W. LEE, Cashier. ,006,168.98 i Capital stock paid in. ""56," 666" 66" i 2, 000. 00 196,618.75 55,000.00 66,877.'98 151, 607. 91 3, 683. 63 *"'i,"58o.'66" 465.84 44, 590. 00 86, 600. 00 10, 000. 00 2, 250. 00 $280,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 150, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 20,173. 95 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 1,131,750. 00 50,466.14 44,120. 00 933. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1,677,443.09 j 1, 677,443. 09 Third National Bank, Philadelphia. Louis WAGNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Dft Tasurer TJ, S Total. No. 234. 1,297,464.90 ' 102.87 50,000.00 6, 000. 00 57, 707.30 205, 000.00 56, 769. 88 155, 625. 49 5,418.82 235,065. 08 44, 289. 55 124,961.32 1, 000. 00 245. 71 37,477. 00 202, 967. 00 2, 250.00 3,482,344. 92 THOMAS J. BUDD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $600, 000. 00 85, 000.00 32, 696. U 43, 900. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 553, 240.10 119, 613.21 Individual deposits United States deposits Deposits ot U. S.di sbursing officers. 2, 047, 895.47 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total 3,482,344.92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 985 Sixth National Bank, Philadelphia. JONATHAN MAY, President. No. 352. ROBERT B. SALTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ.lS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. 5789, 630. 60 Capital stock paid in. $150, 000.00 59.24 37, 500.00 Surplusfund 150, 000.00 Undivided profits, less current expenses and taxes paid 52, 358.13 32, 920.00 National-bank notes outstanding. 27, 231.55 State-bank notes outstanding 51,181. 24 25,941. 65 Due to other national banks 1, 370. 28 37, 955. 97 1, 994. 00 Due to State banks and bankers.. 132, 240. 04 436.00 7, 272.21 j Dividends unpaid 16, 791.15 928, 093. 66 3, 462. 00 I Individual deposits 711. 95 | United States deposits 174, 948. 00 | Deposits of U.S.disbursing officers. 5,004. 00 Notes and bills rediscounted ""i"687.~50~ Bills payable \ 1, 566. 97 Liabilities other than those above stated Total . 1,315,178. 07 1,315,178.07 Seventh National Bank, Philadelphia. C. B. DAY, President. No. 413. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ; Premiums on TJ. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks ; Due from State banks and bankers.! Due from approved reserve agents. j Checks and other cash items \ Exchanges for clearing house ! Bills of other national banks I Fractional currency, nickels, cents, j Specie j Legal-tender notes | TJ. S. certificates of deposit ! Redemption fund with Treas. U. SJ Due from Treasurer U. S | Total. $800,742. 90 20.00 50, 000. 00 5,000. 00 18, 645. 00 100,000.00 51, 831. 28 4, 202. 45 143, 863. 26 3, 555. 08 26,116. 42 2, 000. 00 734. 24 49, 231. 00 6, 400. 00 30, 000. 00 2, 250. 00 1, 294, 591. 63 EFFINGHAM PEROT, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $250,000.00 Due to other national banks Due to State banks and bankers.. 173,152.28 19, 815. 03 Dividends unpaid Individual deposits Certified checks. United States deposits Deposits of U. S .disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than thosi s above stated Total. 50, 000. 00 8, 647. 09 43, 700. 00 1, 302. 00 746,475. 23 1,500. 00 1, 294, 591. 63 Eighth National Bank, Philadelphia. J. A. IRWIN, Cashier. No. 522. $1, 990,173. 98 Capital stock paid in. Loans and discounts $275, 000. 00 642. 05 Overdrafts 50, 000. 00 Surplus fund 530, 000.00 U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits 36, 473. 50 expenses and taxes paid U. S. bonds on hand 40, 880.00 5, 000. 00 National-bank notes outstanding. Premiums on U. S. bonds 65, 700. 00 State-bank notes outstanding Stocks, securities, etc 50, 000. 00 Bank'g house, furniture, and fixtures 6, 848.34 Other real estate and mortg's owned Due to other national banks 4, 263. 09 Due from other national banks ""83,"352."28" Due to State banks and bankers.. 787. 89 Due from State banks and bankers. 1, 620. 00 94, 749. 26 Dividends unpaid Due from approved reserve agents. 15, 795. 39 Checks and other cash items 52, 059. 76 Individual deposits 1, 875,913.68 Exchanges for clearing house 5, 738. 00 United States deposits Bills of other national banks 423. 00 Deposits of U. S.disbursing officers. Fractional currency, nickels, cents. 196, 327. 00 Specie 143,000.00 Notes and bills rediscounted Legal-tender notes 10, 000. 00 Bills payable U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 5, 000. 00 Liabilities other than those above Due from Treasurer U. S stated JACOB NAYLOR, President Total. 2,770 098.61 Total 2,770,998.61 986 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Ninth National Bank, Philadelphia. No. 3371. j OHN DICKEY, President. CHAS. H. BILES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S . 159, 797. 67 ! Capital stock paid in 78. 58 50, 000. 00 Surplusfund. Undivided profits, less current expenses and taxes paid 5,750.00 :| National-bank notes outstanding. 26,416.00 ! State-bank notes outstanding j 51,653.63 || 26,000.00 I Due to other national banks 124,429.30 Due to State banks and bankers.. 513.72 197,376.63 Dividends unpaid 17,794.02 62,943.85 Individual deposits 9,045.00 United States deposits 3,127.80 | Deposits of U.S.disbursing officers. 82,843.00 i 49,711.00 ; Notes and bills rediscounted-. Bills payable 2, 250. 00 Liabilities other than those above stated Total 1,869, 730. 20 Total. $300,000.00 150,000.00 42, 337.70 42, 700. 00 28, 288. 50 207. 30 1,306,196. 70 j 1,869,730.20 Tenth National Bank, Philadelphia. JOHN K. CUMING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtnres Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S No. 3423. 1, 217, 391. 34 Total . WALTER SCOTT, Cashier. $702,472.86 j Capital stock paid in. 20. 49 ! 100,000.00 ; Surplus fund Undivided profits, less current 25, 000. 00 expenses and taxes paid 15, 875. 00 National-bank notes outstanding. 55,050. 00 State-bank notes outstanding 2, 500. 00 j Due to other national banks 58, 444. 80 I Due to State banks and bankers.. 2, 269. 94 65, 361. 69 ! Dividends unpaid 13, 693. 09 20,994.77 Individual deposits | 2, 215. 00 United States deposits 1,555.20 Deposits of U.S. disbursing officers. | 93, 998. 50 13,440.00 Notes and bills rediscounted. 40, 000. 00 Bills payable 4,500. 00 Liabilities other than those above stated Total . $200, 000.00 55,000.00 19, 035.41 83, 970.00 1,224.17 36, 992. 88 821,168. 88 1, 217, 391. 34 Bank of North America, Philadelphia. J. H. MICHENER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of othernational banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 602. ,870.511.78 1, 826. 34 150,000.00 944, 657. 92 381, 530. 31 JNO. H. WATT, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $1, 000, 000. 00 1, 300, 000.00 356, 924. 90 109, 230.00 891,717.41 Due to other national banks '644," 739 "25 Due to State banks and bankers.. 303,531.14 31, 377. 26 783, 363. 38 Dividends unpaid 5,000.00 85,340.17 I 225,958.13 Individual deposits 4, 985, 572. 71 18,115.00 j United States deposits 3,131.37 i Deposits of U.S.disbursing officers. 396,135. 25 I 98,540.00 I Notes and bills rediscounted. 310,000.00 i Bills payable 6,750.00 ! Liabilities other than those above J stated 8, 951, 976. 10 Total . -I 8,951,976.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 8 7 PENNSYLVANIA. Centennial National Bank, Philadelphia. C. H. CLAEK, President. No. 2317. J. M. COLLINGWOOD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Liabilities. $1,625,380.81 | Capital stock paid in 8o,'66o"ob"i IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. 365, 392.60 86, 300. 00 124, 642. 53 26, 021. 42 419, 7CG. 60 16,521.82 28, 666.23 3, 000. 00 283.16 248, m^i. 88 24, 500. 00 140, 000. 00 3, 600. 00 $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 210, 000.00 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . j 222, 000. 51 220, 080.00 Dividends unpaid 8,146. 83 72, 000. 00 250.00 I n d i v i d u a l deposits Certified checks United States deposits Deposits of U.S.disbursingoflicers.i 2,159, 280.22 1, 001. 49 Notes and bills rediscounted. Bills payable Liabilities other than those above ! stated !. 3,192,759.05 j| Total 3,192,759.05 Central National Bank, Philadelphia. GEO. M. TROUTMAN, President No. 723. THEO. KITCHEN, Cashier. Loans and discounts j $5, 630, 246.98 j | Capital stock paid in. Overdrafts j 50, 000.00 U. S. bonds to secure circulation . . . j Surplus fund U. S. bonds to secure deposits... Undivided profits, less current U. S. bonds on hand expenses and taxes paid Premiums on U. S. bonds National-bank notes outstanding. 226, 242.43 Stocks, securities, etc State-bank notes outstanding Bank'g house,furniture, and fixtures Other real estate and mortg's owned 9,000.00 i Due to other national banks 261.969.77 Due from other national banks Due to State banks and bankers.. 19, 320. 37 Due from State banks and bankers. 919, 784.11 Dividends unpaid Due from approved reserve agents. 25, 838. 69 Checks and other cash items 377, 393. 75 Exchanges for clearing house Individual deposits 5, 520.00 Bills of other national banks United States deposits 1, 442.36 Fractional currency, nickels, cents. DepositsofU.S.disbursingoflicers. 767, 663. 75 Specie 68.905. 00 Notes and bills rediscounted Legal-tender notes 160,000.00 i Bills payable U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U.S. Due from Treasurer TJ, S Liabilities other than those above stated Total. 8, 525, 577.21 Total $750,000.00 1, 500,000.00 286,807.71 27,000.00 1,180,418.74 610, 788. 32 510. 00 4,170, 052.44 I 8, 525, 577. 21 Chestnut Street National Bank, Philadelphia. WM. M. SlNGERLY, President. No. 3723. W. STEELE, Cashier. $2, 956, 564.49 Loans and discounts Capital stock paid in j $500,000. 00 25, 890.26 Overdrafts 50, 000.00 U. S. bonds to secure circulation... Surplus fund 150, 000. 00 100,000.00 1 Undivided profits, less current U. S. bonds to secure deposits expenses and toxes paid 35, 761. 86 U. S. bonds on hand 15, 000. 00 National-bank notes outstanding. 44, 350.00 Premiums on U. S. bonds State-bank notes outstanding Stocks, securities etc . Bank'g house, furniture, and fixtures 598,950.12 Due to other national banks Other real estate and mortg's owned 91,787.40 179, 965.12 Due from other national banks Due to State banks and bankers.. 17, 992.50 Due from State banks and bankers. 378, 860. 72 Dividends unpaid Due from approved reserve agents. 19, 810. 34 Checks and other cash items I 110,143.82 Exchanges for clearing house Individual deposits 2, 238,783.91 2, 549.00 Bills of other national banks United States deposits { 84, 288.90 2,639.44 Fractional currency, nickels, centsDepositsof U.S.disbursingofficers. j 112 256.50 1 Specie 25,000.00 I Notes and bills rediscounted . . Legal-tender notes 70, 000. 00 Bills payable TJ. S. certificates of deposit 325, 000.00 2,250.00 Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer TJ. S stated Total 4, 068, 922.19 Total ! 4,068,922.19 988 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. City National Bank, Philadelphia. JosiAH KISTERBOCK, J R . , President. No. 543. G. A. LEWIS, Cashier. Resources. Liabilities. Loans and discounts $1, 293,156. 22 Overdraits 55.98 U. S. bonds to secure c i r c u l a t i o n . . . 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 5, 500. 00 Stocks, securities, etc 186, 394. 00 Bank'g house, i'urniture,and fixtures 85, 900. 00 Other real estate a n d m o r t g ' s owned Due from other national banks ! ' "74," 360." 19' Due from State b a n k s and bankers.! Due from approved reserve agents. 100, 000. 00 Checks and other cash items 6, 834. 79 Exchanges for clearing house 16,257.73 Bills of other national banks 7, 670. 00 Fractional currency, nickels, cents. 1, 967. 87 Specie 71, 983. 00 Legal-tender notes U. 103. 00 U. S. certificates of deposit lou, uuo. 00 Redemption fund with Treas. IT. S. 2, 250. 00 Due from Treasurer IT. S Total. Capital stock paid in $400,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 450, 000. 00 Due to other national banks Due to State banks and bankers.. 5,158. 59 353. 73 65, 216. 70 43, 510. 00 314.50 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 1,051, 879. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 2,016,432.78 2, 016,432, 78 Commercial National Bank of Pennsylvania, Philadelphia. W M . P . SMITH, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'gbouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total No. 556. E . P . GRAHAM, Cashier. $1, 888, 762.12 j Capital stock paid in j $810,000.00 200. 00 50, 000. 00 Surplusfund j 233,000.00 Undivided profits, less current expenses and taxes paid 17, 526. 34 5, 000. 00 National-bank notes outstanding.! 45, 000. 00 245, 099.12 State-bank notes outstanding 160,000.00 380, 380.10 20, 086. 00 Due to other national banks 80, 876. 37 147, 880. 77 23,472.15 Due to State banks and bankers.. 1,259. 50 168, 694.19 2, 784.18 Dividends unpaid 1,403, 092.46 82, 532. 60 Individual deposits 427.14 ! United States deposits 68,877.50 103, 629. 00 Deposits of U. S.disbursing officers Notes and bills rediscounted 2, 250. 00 Bills payable 1, 440. 00 Liabilities other than those above stated 2, 971,134. 77 Total 2,971,134.77 Consolidation National Bank, Philadelphia. JAMES V. WATSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!"urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item; Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes... U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 561. ., 114, 835. 44 300, 000. 00 30, 000. 00 69, 696. 72 74, 320. 90 3,057. 72 139, 039. 78 48, 642. 62 100, 000. 00 14, 239. 26 20,105. 57 871.00 180.1.7 63, 792. 50 65,775.00 30, 000. 00 13,500.00 E . H. W E B B , Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 250, 000.00 18, 394. 96 270,000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 46,158. 38 92, 206. 31 Individual deposits United States deposits Deposits of U.S.disbursingofiicers 1,110, 701. 53 595.50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2, 088, 056.68 Total. 2, 088, 056.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 989 Corn Exchange National Bank, Philadelphia. J . WESLEY SUPPLEE, President. No. 542. J , R. MCALLISTER, Cashier. Resources. Liabilities. Loans and discounts j $3, 420, 409. 40 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits J U. S. bonds on hand < " i i," oob.' ho Premiums on U. S. bonds Stocks, securities, etc j 130,410.00 Bank'ghouse,furniture,and fixtures! 150,000.00 Other real estate and mortg's owned I 27,919. 89 Due from other national banks 571, 610.90 Due from State banks and bankers. 51,102. 07 Due from approved reserve agents. 388,274.18 Checks and other cash items 20,622.76 Exchanges for clearing house 201, 533. 03 Bills of other national banks 47.49 Fractional currency, nickels, cents.) 559,337.00 Specie Legal-tender notes 10, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Capital stock paid in. 370,000. 00 76, 604. 24 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 2, 038, 043. 36 387, 894.46 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2,181, 360. 91 45, 000. 00 613.75 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 5,644,516.72 Total. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 5, 644,516. 72 Farmers and Mechanics' National Bank, Philadelphia. H. C. STROUP, President. No. 538. H. W. LEWIS, Cashier. Loans and discounts $5,167, 966.11 || Capital stock paid in. $2, 000, 000.00 Overdrafts 600,000. 00 U. S. bonds to secure circulation... j 1,150,000.00 Surplus fund Undivided profits, less current U. S. bonds to secure deposits > 141, 940. 46 expenses and taxes paid U. S. bonds on hand | 84,125.00 National-bank notes outstanding. 1,018, 900. 00 Premiums on U. S. bonds I 124, 949. 63 State-bank notes outstanding Stocks, securities, etc | 347,000.00 Bank'ghouse,furniture,andfixturesj 1,164,193. 36 Other real estate and mortg's owned! 54, 000. 00 Due to other national banks 407, 845.09 561, 948. 39 Due to State banks and bankers.. Due from other national banks j 83,384. 41 Due from State banks and bankers. j 5, 968. 25 500, 041.17 Dividends unpaid Due from approved reserve agents. 68, 811. 90 4, 088, 916.46 Checks and other cash items Individual deposits 661,605.53 342.16 Exchanges for clearing, house 19,153.00 Certified checks Bills of other national banks Fractional currency, nickels, cents. 931.64 United States deposits Specie 434, 903. 00 Deposits of U.S. disbursing officers. Legal-tender notes , 87,536. 00 Notes and bills rediscounted U. S. certificates of deposit 30,000.00 Bills payable Redemption fund with Treas. U. S. 51,750. 00 Liabilities other than those above Due from Treasurer U. S stated Total. Total 9,428,105.78 9,428,105. 78 Fourth Street National Bank, Philadelphia. SIDNEY F . TYLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3557. R. H. RUSHTON, Cashier. 6,835,419.51 jj Capital stock paid in $1, 500, 000.00 N 955, 000.00 Surplus fund. 1, 000, 000.00 Undivided profits, less current expenses and taxes paid 151,405. 46 93,192. 21 National-banknotes outstanding. 845, 730.00 1, 891,165. 08 State-bank notes outstanding 583, 153.33 176, 484.74 1, 544,108. 35 266, 365. 75 733, 299. 62 39, 090, 00 2, 164.98 1,029, 247. 00 185, 856. 00 140, 000.00 42, 975.00 5, 000. 00 14,522,521.57 i Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 724, 698. 67 1, 534, 701.17 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 5, 765, 986. 27 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 14, 522, 521. 57 990 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Girard National Bank, Philadelphia. SETH CALDWELL, JR.,President. No. 592. Resources. J. G. WHITEMAN, Cashier. | Liabilities. j ___ Loans and discounts j ;6, 071,490. 48 $1, 000, 000.00 ! Capital stock paid in Overdrafts U. S. bonds to secure circulation . . . "*"56*666.'66" Surplus fund 1,100,000.00 U. S. bonds to secure deposits J. Undivided profits, less current U. S. bonds on hand : . , expenses and taxes paid 159, 857.73 Premiums on U. S. bonds I . 45, 000. 00 National-bank notes outstanding. Stocks, securities, etc j 49, 422. 67 State-bank notes outstanding...".. Ban k g bouse, furniture, and fixtures . Other real estate andmortg's owned . Due to other national banks j 1, 233,253.46 747, 583. 86 Due to State banks and bankers.. Due from other national banks j 219,418.42 122, 805. 55 Due from State banks and bankers .j 458,196. 50 Dividends unpaid Due from approved reserve agents, j 2,119. 04 134, 839. 30 Checks and other cash items 450, 642. 39 Individual deposits | 5,427,562.27 Exchanges for clearing house 19,047. 00 United States deposits Bill3 of other national banks 1,235.17 Depositsof U.S.disbursingofficers. Fractional currency, nickels, cents880, 698. 00 Specie 9, 000. 00 I Notes and bills rediscounted. Legal-tender notes 190, 000. 00 1 Bills payable U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities other than those above stated 9,187, 210.92 Total. Total. 9,187,210.92 Independence National Bank, Philadelphia. K. L. AUSTIN, President. No. 3085. THEO. E. WIEDERSHEIM, Cashier. Loans and discounts | $2, 727, 292.94 Capital stock paid in j $500,000.00 Overdrafts \ 340, 000.00 U. S. bonds to secure circulation...! Surplus fund 200, 000. 00 U. S. bonds to secure deposits | Undivided i)rofits, less current U. S. bonds on hand expenses and taxes paid j 53, 624. 00 39,137. 55 National-bank notes outstanding, j Premiums on U. S. bonds 298, 780. 00 293,054.15 State-bank notes outstanding stocks, securities, etc \ 125,000.00 Bank'g house, furniture,and fixtures Other real estate and mortg' s owned 30, 500. 00 I Due to other national banks 367, 804. 68 Due from other national banks. 164, 429. 53 Due to State banks and bankers.. 180, 644. 98 Due from State banks and bankers. 47,486.42 Due from approved reserve agents. 321,544.11 Dividends unpaid Checks and other cash items 26, 755.10 Exchanges for clearing house 107,445. 24 Indi vidual deposits 3, 234,224.09 Bills of other national banks .f 2, 765. 00 United States deposits Fractional currency, nickels, cents. 2, 452. 61. Deposits of U.S.disbursing officers. 1 373. 242.10 Specie 48, 673. 00 Notes and bills rediscounted. Legal-tender notes 170, 000. 00 Bills payable U. S. certificates of deposit 15, 300. 00 Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S stated 4,835, 077. 75 Total. Total 4. 835,077.75 Kensington National Bank, Philadelphia. E. A. LANDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures: Otherreal estate and mortg's owned; Due from other national banks | Due from State banks and bankers.! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total No. 544. HENRY MCCONNELL, Cashier. $993, 692. 99 Capital stock paid in J $250, 000. 00 729. 57 250, 000.00 100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 32, 688. 36 83, 410. 00 10,000. 00 National-bank notes outstanding . 73, 586. 24 State-bank notes outstanding 70, 000.00 45, 000.00 Due to other national banks 54, 889. 33 Due to State banks and bankers.. 11,406.80 2, 589.50 73, 830. 05 Dividends unpaid 16,994. 84 j 1,058, 864. 09 41,304.13 Individual deposits 16, 029. 47 10,000. 00 Certifiedchecks I 942.41 United States deposits 157, 447. 20 Deposits of U.S.disbursing officers. 20, 000. 00 Notes and bills rediscounted... 10, 000. 00 Bills payable 4, 500. 00 Liabilities other than those above stated 1, 694, 323.56 Total 1, 694, 323. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 9 1 PENNSYLVANIA. Manayunk National Bank, Philadelphia. DAVID WALLACE, President. No. 3604. JNO. J. FOULKROD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.andfixtures\ Other real estate and mbrtg's owned! Due from other national banks Due from State banks and bankers.! Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house.. . . . i Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. $858,487.18 Capital stock paid in s 42.80 i ; | 80, 000. 00 Surplus fund urplus fund Undivided profits, less current expenses and taxes paid ; 10, 350. 00 National-bank notes outstanding. 35, 829. 71 State-bank notes outstanding 24, 000. 00 61,610.70 Due to other national banks Due to State banks and bankers.. '5, 75, 297. 47 '0, 297. 50 1,430.00 874,130. 89 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 3,200.00 i 655.72;; 157,960.95 j 20,000.00 { Notes and bills rediscounted. Bills payable 3,600.00 I Liabilities other than those above j stated ;. 1,330,297.23 Total. 100, 000. 00 9,141.37 73,637.92 II Dividends unpaid 922.19 |; $200, 000. 00 Total . 1, 330, 297. 23 Manufacturers' National Bank, Philadelphia. "W. H. HEISLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT, S No. 557. 50,666" 6b" I $750, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid d t id | 150,000.00 77, 299. 94 5. 000. 00 I National-bank notes outstanding.} 45,000.00 238, 596. 00 | State-bank notes outstanding 125, 000. 00 i 9, 700. 00 ! Due to other national banks 639,139.18 116,883.23 ! Due to State banks and bankers.. 142,746. 82 5, 262. 99 j 172, 230. 65 | Dividends unpaid 152.50 4, 246. 57 35, 633. 45 i Individual deposits j 1, 353, 062. 95 7,921.00 j United States deposits • 9, 602. 56 Depositsof U.S.disbursing officers. | 133.309.25 32, 060. 00 | Notes and bills rediscounted ' 180, 000. 00 j: ]Jills payable \ 2, 250. 00 Liabilities other than those above stated 3,157,401.39 j Total. S. CAMPBELL, Cashier. 1,029,705.69 ( Capital stock paid in. Total | 3,157,401. 39 Market Street National Bank, Philadelphia. CHAS. H. BANES, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3684. B. F . DENNI-SON, Cashier. !, 819, 450. 50 || Capital stock paid in 150,000.00 || Surplus fund I Undi vided profits, less current ! expenses and taxes paid 17,031.25 National-bank notes outstanding. 70,149. 46 State-bank notes outstanding 204,692.19 jj I Due to other national banks 193, 820. 43 Due to State banks and bankers.. 7,641.21 205,458.13 Dividends unpaid 31, 576. 90 76, 208. 98 Individual deposits United States deposits 3,443.35 I Deposits of U.S.disbursingotficers. 321,550.10 i 76,753.00 I Notes and bills rediscounted. 40,000.00 I Bills payable 6, 750. 00 9, 000. 00 Liabilities other than those above stated 4,233,525.50 Total. $600, 000. 00 150,000.00 84, 613. 06 135, 000. 00 102.543 10 10, 313. 22 285,00 3,150,771.12 4, 233, 525. 50 992 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Mechanics' National Bank, Philadelphia. JOHN FIELD, President. No. 610. WILLIAM UNDERDOWN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer TJ. S $1, 900, 484. 31 8.58 50, 000. 00 Capital stock paid in 100, 000. 00 39, 999. 00 45, 000. 00 6, 200. 00 85, 000. 00 Due to other national banks 35, 000. 00 102, 396. 76 Due to State banks and bankers.. 13,551.37 Dividends unpaid 72. 866. 99 4,043.48 Individual deposits 20,006.51 Certified checks 6,570.00 •< United States deposits 1,319.93 Deposits ofU.S.disbursing officers. 77,124.90 ! 148,694.00 i Notes and bills rediscounted. 50,000.00 I Bills payable 2,250.00 ! Liabilities other than those above stated 2, 575, 516. 83 Total . $800,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . 430, 395.13 11,338.81 1,147,686.59 186. 00 Total 2,575,516. Merchants' National Bank, Philadelphia. F. W. AYER, President. No. 2462. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S !, 543, 574. 73 2, 785. 39 600, 000. 00 99, 039. 00 12, 980. 00 3, 991. 48 61, 428. 39 215, 766. 71 49,176. 27 200, 574.1G 12, 699.87 75, 802. 74 7, 510. 00 1, 038. 00 282, 945. 39 100, 000. 00 80, 000. 00 27, 000. 00 $600,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150,000.00 33, 067. 31 540, 000. 00 Due to other national banks Due to State banks and bankers.. 878,272.96 262, 811. 70 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 1,912,160.16 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 4, 376, 312.13 Total . HARTMAN BAKER, Cashier. Capital stock paid in. Total 4, 376, 312.13 National Bank of Commerce, Philadelphia. M. F. READ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits '. L. S. bonds on hand i. Premmms on U. S. bonds [. Stocks, securities, etc ; Bank 'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 547. J. A. LEWIS, Cashier. $518,034.48 | Capital stock paid in 50,000.00 j Surplus fund Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 33, 690. 00 • State-bank notes outstanding 46, 000. 00 Due to other national banks 22, 397. 26 : Due to State banks and bankers.. 45.38 43,515.44 Dividends unpaid 846. 08 1, 656. 89 Individual deposits 3,135. 00 United States deposits 250. 58 DepositsofU.S.disbursingofiicers. 75, 516. 50 8, 600. 00 Notes and bills rediscounted 40, 000. 00 Bills payable 2,250.00 Liabilities other than those above stated Total . ! $250,000.00 80,000.00 7, 397. 07 43, 937. 50 30,996. 08 " 65. 00 433, 541. 96 845, 937. 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 9 3 PENNSYLVANIA. National Bank of German town, Philadelphia. WM. WYNNE WISTER, President. No. 546. CANBY S. TYSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. , 503, 253.83 1,436.06 100, 000. 00 12,577.42 216,591.78 100, 000. 00 1,000.00 15, 746. 07 20, 000. 00 87, 719. 91 2, 442. 80 585.00 1,833.43 281,601.50 50, 740. 00 4, 500. 00 7, 002. 50 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding, j State-bank notes outstanding j Due to other national banks Due to State banks and bankers.. $200, 000. 00 335, 000. 00 47, 737.72 87, 710. 00 40, 275. 20 855.00 Dividends unpaid Individual deposits Certified checks United States deposits I Deposits of U. S.disbursing officers.! Notes and bills rediscounted. Bills payable 1, 680, 700. 07 5, 752. 25 Liabilities other than those above stated 2, 407, 030. 30 Total. 2, 407, 030. 30 National Bank of Northern Liberties, Philadelphia. J. MOORE, JR., President. No. 541. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . J. RAPSON, Cashier. $3, 007, 913. 65 Capital stock paid in | $500, 000. 00 244.80 50, 000. 00 Surplus fund 675, 000. 00 Undivided profits, less current 65,133.10 expenses and taxes paid National-bank notes outstanding. 43, 500. 00 308, 364. 38 State-bank notes outstanding 109, 000. 00 134, 083. 49 Due to other national banks 318, 337. 20 Due to State banks and bankers.. 5, 647.18 21,941.59 381,777.46 Dividends unpaid 1, 720. 40 15, 760. 80 43, 809. 57 Individual deposits 3, 323, 664.42 24,107. 00 United States deposits 797.84 Depositsof U.S.disburaingofficers. 341, 579. 30 42,015.00 Notes and bills rediscounted. 80, 000. 00 Bills pay able 2. 250. 00 850. 00 Liabilities other than those above stated 4, 748, 748. 59 Total . 4, 748, 748. 59 National Bank of the Republic, Philadelphia. ¥ M . H. RHAWN, President. No. 1647. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse. furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S CUR, PT 2 -63 j $500, 000. 00 I 250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 35, 750. 00 National-bank notes outstanding. 309. 745. 06 State-bank notes outstanding : 113,969.20 Due to other national banks 62, 554. 94 Due to State banks and bankers.. 62,019.89 170, 909. 25 Dividends unpaid 3,844. 15 86, 555. 66 Individual deposits 1,000.00 United States deposits 10,100. 00 Depositsof U.S.disbursingofficers. 182, 571. 83 Notes and bills rediscounted 160, 000. 00 Billspayable 11,250.00 3, 200. 00 Liabilities other than those above stated !, 844, 528. 37 Total.. J. P. MUMFORD, Cashier. , 381, 058. 39 Capital stock paid in Total.. 300, 000. 00 11, 514.54 225, 000. 00 857, 488.31 200,472. 70 1, 789. 50 748, 263. 32 2, 844,528. 37 994 REPORT OF THE COMPTROLLER OF THE CURRENCY. PE1V1VSYLVANIA. National Security Bank, Philadelphia. ISAAC A. SHEPPARD, President. No. 1743. G. W. Cox, Cashier. Liabilities. Resources. $1,124, 885. 29 Loans and discounts 217. 45 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on band 1,000.00 Premiums on U. S. bonds 50, 732. 50 Stocks, securities, etc 78, 500. 00 Bank 'g bouse, furniture, ana fixtureOtberrealestateand niortg'sowned 59,'054.'24 Due from otber national banks 390. 00 Due from State banks and bankers. 149,189. 56 Due from approved reserve agents. 9, 504. 70 Cbecks and other cash items 27, 557. 02 Exchanges for clearing house 2, 955. 00 Bills of other nationafbanks 1,000.56 Fractional currency, nickels, cents. 104,874.50 Specie 30, 976. 00 Legal-tender notes 00, 000. 00 TJ. S. certificates of deposit 2, 250. 00 .Redemption fund with Treas. U. S. 2,577.10 Due from Treasurer U. S Capital stock paid i n . 175, 000. 00 Due to other national banks Duo to State banks and bankers. Di vidends unpaid 80. 32 Individual deposits United States deposits Deposits of U.S.disbursing officers. 24, 202. 45 41,360.00 764.00 1, 264, 257.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,755,063.92 Total. $250.000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 1,755,663.92 Northern National Bank, Philadelphia. EDWARD T. TYSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4192. $746, 492. 07 1.84 100, 000. 00 15, 312. 50 6, 300. 00 57, 000. 00 2, 900. 00 25, 356. 92 290. 47 39, 589.12 719.05 25, 296. 38 895. 00 592. 87 57, 852. 00 27, 309. 00 10, 000. 00 4, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-banlc notes outstanding. State-bank notes outstanding $200, 000. 00 55, 000.00 15,757.85 90, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 217. 05 Individual deposits United States deposits Deposits of U.S.disbursing officers. 759, 432. 32 Notes and bills rediscoun ted. Bills payable Liabilities other than those above stated Total . 1,120,407.22 Total . E. It. WATSON, Cashier. Capital stock paid in. 1,120,407. 22 Northwestern National Bank, Philadelphia. JAMES B. DOYLE, President. No. 3491. Loans and discounts $1,317,396.77 Overdrafts 1,301.18 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 5, 500. 00 Stocks, securities, etc 982.00 Bank'ghouse,furniture,and fixtures 05, 116. 32 Other real estate and niortg's owned Due from other national banks 51,521,45 Due from State banks and bankers. 4,165. 91 174,187. 32 Duo from approved reserve agents17. (585. 38 Checks and other cash items 35, 589. 07 Exchanges for clearing house 1, 094. 00 Bills of cither national banks . 1,878.02 Fractional currency, nickels, cents. 72, 632. 50 Specie ' 102, 954. 00 Legal-tender rotes 20, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total . 1,924,253.92 JOSEPH CHANNON, Cashier. Capital stock paid in $200, 000. 00 Surplus tund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000. 00 Due to other national banks Due to State banks and bankers.. 357. 27 21,192. 96 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 11, 744. 62 43, 030. 00 45.00 1, 497, 884.07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1, 924, 253. 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 995 PENNSYLVANIA. Penn National Bank, Philadelphia. S. S. SHARP, No. 540. President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $500,000.00 I Capital stock paid in. 4, 000. 00 210. 700. 00 150,714.63 17, 000. 00 80, 230. 78 33,021.61 258, 092. 60 2. 729. 38 37. 834. 72 1,000.00 2. 896 64 328, 095. 95 59. 580. 00 210, 000. 00 2, 250. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State bank notes outstanding 425, 000. 00 .Due to other national banks Due to State banks and bankers . 152, 277. 22 31, 979. 78 103,520. 69 44, 400. 00 420.00 Dividends unpaid Individ ual deposits United States deposits Deposits of U .S.disbursing officers. 3, .159, 384. 98 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 4,416,982.67 Total. H. G. CLIFTON, Cashier. Liabilities. Total . 4, 416,982. 67 Philadelphia National Bank, Philadelphia. B. B. COMEGYS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortgsowned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currenc3 r ,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S Total. L. L. R U E , Cashier. No. 539. :C, 433, 865.39 Capital stock paid in. $1,500, 000. 00 " 600," 666" 06" Surplus fund 59. 500.00 917, 213.05 600. 000. 00 63, 152.89 304, 250.45 11, 798.24 1, 406, 011.91 31, 157. 67 746, 194.10 9, 780. 00 849.56 1,045, 006. 65 26, 540, 00 30. 000.00 000. 00 1,000, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 179, 581. 87 540, 000. 00 1, 780, 455.13 558,804. 77 2, 610. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 6, 750, 868.14 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 12,312,319.91 Total. 12, 312, 319. 91 Quaker City National Bank, Philadelphia. J . E. ElDGWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bark'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4050. $982, 400. 32 "" 420," 000.'bb" 51,750.00 225. 852.15 38, 500. 00 29,158. 63 61,957.90 1,705.58 179, 242. 89 6,312.38 8,151. 89 4, 345. 00 195. 35 57,191.60 6, 235. 00 80, 000. 00 17,470.00 2,170, 468. 69 W. H . CLARK, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. $500, 000.00 125, 000. 00 22, 239. 85 321, 950.00 117,439.17 7.26 44.00 1, 083, 788. 41 • 2,170,468. 69 996 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Southwark National Bank, Philadelphia. JOHN B. HARPER, President. No. 560. C. H. SPEEL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. Si Due from Treasurer U. S Total. Liabilities. ;l, 148, 854. 28 742.07 50,000. 00 Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 25, 229. 00 State-bank notes outstanding 40, 000. 00 Due to other national banks 24,482. 49 Due to State banks and bankers. 5,451. 52 36,898. 86 Dividends unpaid 5, 681. 48 34, 623. 26 Individual deposits 4, 435. 00 United States deposits 790. 26 Deposits of U.S.disbursing officers 99, 086. 00 74, 810.00 Notes and bills rediscounted. 40, 000. 00 Bills payable 2, 250. 00 Liabilities other than those above stated 135, 000. 00 Total. 1,593, 334. 22 11,209.24 45,000. 00 55, 705.13 2. 028. 40 677. 00 1,093,714.45 1, 593, 334. 22 Southwestern National Bank, Philadelphia. JOHN GARDINER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fuud with Treas. U. S. Due from Treasurer U. S Total. No. 3498. $674, 543. 47 1, 472. 53 50,000.00 5, 500. 00 5, 500. 00 7,000.00 25, 302. 50 21,192.95 41,497.21 13,814.33 19,291.1(5 3, 587. 00 984.00 148,110.90 31,137. 00 2, 250. 00 1,100.00 JOHN T. SCOTT, JR., Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200,000.00 50, 000.00 Due to other national banks Duo to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers, Notes and bills rediscounted. Bills payable 211.57 5, 025. 97 45, 000. 00 582. 50 750, 683. 96 779. 05 Liabilities other than those above stated 1,052,283.05 Total. 1, 052, 283.05 Tradesmen's National Bank, Philadelphia. FRANK Gr. ROGERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ."Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 570. ;2, 279,156.14 484. 26 350, 000. 00 40, 640. 44 458, 720. 83 18, 000. 00 85,861.08 182,122. 36 155, 585. 74 359, 262.14 12, 169. 55 176, 414. 53 3, 526. 00 162. 70 63, 954. 50 184, 234. 00 10, 000. 00 15, 750. 00 5, 000. 00 4,401,045.17 J . A. MCKEE, Cashier. Capital stock paid in. $400, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 400, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 419,507.88 349, 661.16 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 2,471,898.25 44, 977. 88 315, 000.00 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 4, 401, 045.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 997 Union National Bank, Philadelphia. No. 563. DAVID FAUST, President. W. H. CARPENTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $1,996,681.65 26. 95 250, 000. 00 Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 22, 736. 38 National-bank notes outstanding. 401, 600. 65 State-bank notes outstanding 75, 000. 00 Due to other national banks 170, 654. 86 Due to State banks and bankers.. 13, 051. 54 247, 535.43 Dividends unpaid 8, 854. 59 58,101. 40 Individual deposits 8,500. 00 United States deposits 533.30 Deposits of U. S.disbursing officers. 204, 055. 70 30, 470. 00 Notes and bills rediscounted. 160,000. 00 Bills payable 11, 250. 00 Liabilities other than those above 400, 000. 00 38,109.91 213,580. 00 758, 027. 98 230,960. 00 5.25 1,518,369.31 stated Total . 3, 659, 052.45 3, 659, 052. 45 Western National Bank, Philadelphia. C.N. WEYGANDT, President. No. 656. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. ., 669, 732. 06 2, 002. 44 350, 000. 00 54,875. 00 692, 958.71 207,196. 70 149,333.53 10,193. 82 244, 936. 28 20, 885. 72 155, 808. 73 24,070. 00 675.75 347, 709. 00 12, 919. 00 130, 000. 00 15, 750. 00 JOHN C. GARLAND, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $400, 000.00 Due to other national banks Due to State banks and bankers.. 977, 942.82 120,304.48 200, 000. 00 62,318. 26 288, 250. 00 712.50 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 2, 038,431. 94 1, 086.74 Liabilities other than those above stated Total. 4, 089, 046. 74 4, 089, 046. 74 First National Bank, Philipsburg. W M . P . DUNCAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4832. $91, 418. 91 2.32 50, 000. 00 4, 937. 50 11, 000. 00 648. 75 3, 013. 78 571.51 88, 371.18 905. 41 1, 700. 00 272.69 14, 584. 93 7, 332. 00 2, 250. 00 277, 008. 98 ROBERT F . MULL, Cashier. Capital stock paid in $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 070. 92 44, 020. 00 Due to other national banks Due to State banks and bankers.. 758. 07 1, 691. 99 15, 000.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 163, 468.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 277,008.98 998 REPORT OF THE COMPTROLLER OF THE CURRENCY. Farmers and Mechanics' National Bank, Phcenixville. I. J. BROWER, President. No. 1936. H. A. JKNKS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U.S $140, 443. 25 348.34 50, 000. 00 9,140.00 20, 000. 00 55, 793.29 372. 37 3,014. 34 484. 61 190.66 139.92 4,416. 35 4,573.00 2, 250.00 Capital stock paid in $100, 000.00 7, 000. 00 1, 922.08 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10, 205.16 Individual deposits United States deposits Deposits of U.S.disbursing officers. 113,915.39 1,041.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 291,165.47 Total. | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 081. 84 291,165.47 Total. National Bank, Phcenixville. P. G. CAREY, President. N o . 674. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S $352,157. 71 250. 00 50,000.00 5,000.00 130, 015. 75 21, 900. 00 9. 026. 47 7, 053. 65 60, 487. 24 15, 653.17 5, 200. 00 162. 54 24, 852. 00 6, 000. 00 2, 250. 66 $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 47,166. 25 4, 920. 98 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 56,974.25 Individual deposits United States deposits Deposits of U .S.disbursingofficers. 333,561.30 2, 385. 75 Notes and bills rediscounted Bills payable Liabilities other than those above stated 690,008.53 Total. HORACE LLOYD, Cashier. Capital stock paid in. Total . *. 690, 008. 53 First National Bank, Pittsburg. ALEX. NIMICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums onU. S.bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2745. $2, 534,160. 40 8,401.00 50, 000. 00 42,133. 00 340, 000. 00 49, 000. 00 75,145. 50 40,460. 20 171,122.60 12, 576. 92 84,171. 68 16,995. 00 368. 79 272,300. 00 180, 000. 00 2, 250. 00 3,879,085.09 F. H. SKELDING, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $750, 000. 00 Due to other national banks Due to State banks and bankers.. 210,145.35 25,130. 60 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 375, 000. 00 49, 372.37 45, 000. 00 5, 572. 00 2,408,401.00 10, 463.77 Liabilities other than those above stated Total 3, 879, 085.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 999 PENNSYLVANIA. Second National Bank, Fittsburg. J. H. "WILLOCK, President. No. 252. T. W. WELSH, J R . , Cashier. Resources. Liabilities. Loans and discounts I $3, 024, 205.34 Capital stock paid in 2, 872. 46 Overdrafts ; Surplus fund 30U, 000.00 U. S. bonds to secure circulation... I Undivided profits, less current IT. S. bonds to secure deposits ' expenses and taxes paid II. S. bonds on hand National-bank notes outstanding. Premiums on U. S bonds 50,000. 00 Stocks, securities, etc 132, 491. 81 State-bank notes outstanding 254, 742. 55 Due to other national banks Bank'ghouse,furniture,and fixtures 11, 462. 49 Other real estate and mortg's owned 246, 041. 22 Due to State banks and bankers.. Due from other national banks Due from State banks and bankers. 759,532. 72 Dividends unpaid Due from approved reserve agents 16, 282. 59 Checks and other cash items Exchanges for clearing house 87, 497. 53 Individual deposits Bills of other national banks 5, 000. 00 Certified checks Fractional currency, nickels, cents. 368.19 United States deposits 240, 000. 00 Deposits of U.S.disbursing officers. Specie ,. 80,000. 00 Notes and bills rediscounted. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U . S . 13, 500. 00 Liabilities other than those above Due from Treasurer U. S stated Total. 5,223,996.90 i Total . $300, 000. 00 400, 000. 00 73, 748. 32 270, 000. 00 1, 345, 274. 59 837, 495. 21 2, 294. 00 1,993,145.53 2, 039. 25 5, 223, 996. 90 Third National Bank, Pittsburg. CHAS. F . WELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!'urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljjanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. W. STKINMBYER, Cashier. No. 291. $964,958.23 j Capital stock paid in j| $500, 000. 00 83.69 j 100,000.00 ! Surplus fund ! 200, 000. 00 Undivided profits, less current j 14, 613. 63 expenses and taxes paid j 19, 500. 00 National-bank notes outstanding. 90, 000. 00 195, 560. 00 State-bank notes outstanding 113, 000. 00 118, 592. 35 Due to other national banks ! 48,795.34 31, 925.12 47, 652. 58 2, 795. 84 Due to State banks and bankers.. i 128,135.19 ! 1,082. 00 3, 056.15 Dividends unpaid 18, 091.95 | 879, 065. 29 11, 988. 00 Individual deposits 1, 609. 52 United States deposits j 65, 537. 80 72, 375. 00 Deposits of U.S. disbursing officers, j Notes and bills rediscounted | 68, 000. 00 4, 500. 00 Bills payable Liabilities other than those above stated 2, 500.00 1,851,708.84 Total . . . 1, 851, 708. 84 Fourth National Bank, Pittsburg. JAMES M. BAILEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other realestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. No. 432. S. D. HERRON, JR., Cashier. $464, 651.93 Capital stock paid in j $300, 000. 00 1, 243. 55 50, 000. 00 Surplus fund 74, 768.18 ! Undivided profits, less current ; expenses and taxes paid 34, 659. 76 7, 000. 00 ,' National-bank notes outstanding. 45, 000. 00 " nnn "" 3, 600. 00 State-bank notes outstanding Due to other national banks 24,527.68 ! Due to State banks and bankers. 7. 50 36, 894. 88 Dividends unpaid 170.05 Individual deposits j 690.00 United States deposits L 440. 08 DepositsofU.S.disbursingofficers.i. 23, 762,80 26, 488. 00 Notes and bills rediscounted. Bills payable 2, 611.00 182, 402.94 2, 250. 00 Liabilities other than those above Due from Treasurer U, S Total. 2,284.59 641, 726.47 stated Total. 641, 726. 47 1000 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Fifth National Bank, Pittsburg. No. 1894. J. B. FINLEY, President. W. P. KNIGHT, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fnnd with Treas. U. S. Due from Treasurer U, S Liabilities. $246,539.99 Capital stock paid in 745.00 i 25,000.00 ; Surplus fund Undivided profits, less current expenses and taxes paid 30, 520. 92 National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 150,399.18 12, 839.37 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 93, 298. 78 19, 306. 92 8,031.43 16, 255. 23 576. 65 934.10 1, 005. 00 02.48 23,399. 50 29, 000. 00 1,125. 00 3, 464. 80 22,500. 00 Notes and bills rediscounted Bills payable Liabilities other than those above I stated ! 402, 502. 22 Total . 20, 000. 00 402, 502. 22 Total . Allegheny National Bank, Pittsburg. JOHN CALDWELL, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currenc3 r , nickels, cents. Specie Legal-tender notes U. S. certificates of deposit npti< Redemption, fund with Treas. U. S. Duo from Treasurer U. S. No. 722. 2, 685, 696.69 Total . W. MONTGOMERY, Cashier. ,769,744.26 ; Capital stock paid in. 1,431.04 i 50,000.00 ! Surplus fund Undivided profits, less current expenses and taxes paid 3,900.00 j National bank notes outstanding. 24,659.40 I State-bank notes outstanding 90,000.00 i 44,290.09 I Due to other national banks 139,578. 08 Due to State banks and bankers. 12,452.21 I 150,584.99 j Dividends unpaid. 1,546.79 I 32, 876. 44 | Individual deposits 14,305.00 | United States deposits 218.39 I Deposits of U.S. disbursing officers 267,860.00 ! 80, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated $500, 000. 00 200, 000. 00 71,814.11 44, 997. 50 255, 750. 89 78,941.41 2, 536. 50 1, 531, 650. 28 2, 685, 696. C Total . Citizens' National Bank, Pittsburg. GEO. A. BERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 619. ., 709,131.15 2, 323.15 50, 000.00 41,311.95 I I 108,160. 03 2,491.87 77, 9 57. 47 20, 978. 58 102,856.31 12, 000. 00 596. 20 125, 750. 00 41,000.00 2, 250. 00 2, 296, 786. 71 S. M. MCELROY, Cashier. Capital stock paid in | $800, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding... . 200, 000.00 Duo to other national banks Due to State banks and bankers.. Dividends unpaid 185,198. &8 17, 392. 81 Individual deposits United States deposits Deposits of U. S.disbursin gofficers. 951,467.41 94, 753. 63 45,000. 00 2,973.88 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 2, 296, 786. 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 0 1 PENNSYLVANIA, Columbia National Bank, Pittsburg. v E. H. JENNINGS, President. No. 4910. F . A. GRIFFIN, Cashier. Resources. Loana and discounts .. Overdrafts U. S. bonds to secure circulation... U. S, bonds to secure deposits U. S. bonds on Land Premiums on U. S. bonds Stocks, securities, etc Bankghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. Liabilities. , 289, 703. 23 3,300.89 50, 000. 00 Capital stock paid in. $300, 000. 00 Surplus fund i Undivided profits, less 60, 000. 00 current j! exx)enses and taxes paid 5,500.00 || National-banknotes outstanding. j State-bank notes outstanding 6, 500. 00 1 Due to other national banks 175,967.63 I Due to State banks and bankers.. 13, 250. 65 181,215.48 Dividends unpaid . 489.13 34, 758. 36 Individual deposits 5. 500. 00 United States deposits., 574. 20 Deposits of U.S.disbursing officers. 161, 500. 00 31, 000. 00 Notes and bills rediscounted . Bills payable 2, 250. 00 Liabilities other than those above stated Total 1,961,509.57 13,804. 98 45, 000. 00 22, 763. 99 4, 295. 04 1,515, 645.56 1,961, 509. 57 Commercial National Bank, Pittsburg. JOHN W. KISSEOS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No..2711. 5, 4, 90, 15, 64, 10, 47, 000. 00 000. 00 000. 00 000. 00 831. 59 837. 75 638.45 112. 87 9, 697.51 6, 397. 00 625. 58 41,103. 85 21, 800. 00 2, 250.00 H. W. BICKEL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unp'aid... 35,218.10 2, 946.05 Individual deposits. Ccertified checks. United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Billspayable Liabilities other than those above stated 359, 202.87 1,104.00 828, 694. 34 , Total. 60, 000. 00 5, 504. 80 45, 000. 00 180. 00 19, 538. 52 828, 694. 34 Diamond National Bank, Pittsburg. WM. H. HEESH, President. No. 2236. $1, 056, 290. 84 Loans and discounts 2, 488. 89 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 53,169. 46 Stocks, securities, etc 87, 641. 23 Bank'ghouse,furniture,andn'xtures 14,583. 20 Other real estate and mortg's owned 15, 892. 59 Due from other national banks 2, 350. 20 Due from State banks and bankers. 114, 341. 37 Due from approved reserve agents. 10, 069. 24 Checks and other cash items 24, 588.16 Exchanges for clearinghouse 2, 531. 00 Bills of other national banks 203. 92 Fractional currency, nickels, cents. 164, 570.70 Specie 12, 649. 00 Legal-tender notes U. S. certificates of deposit.. .. 2, 250. 00 Redemption fund with Treas.U. S . Due from Treasurer TJ, S Total. 1,613,619. £ JOHN S. SCULLY, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. $200, 000. 00 200, 000. 00 28, 936.54 45,000.00 8, 804. 68 732. 50 1,130,146.08 Notes and bills rediscounted. Billspayable Liabilities otherthan those above stated Total 1, 613,619.80 1002 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Duquesne National Bank, Pittsburgh EDWIN BINDLEY, President No. 2278. A. H. PATTERSON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures; Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. Capital stock paid in 5, 000. 00 3, 376. 00 60, 000. 00 11,422.05 4,021.90 4.46,405.04 563.95 31,605.79 1, 500. 00 52.73 85, 900. 00 17, 000. 00 4, 500.00 150, 000.00 23,294. 34 90,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 488. 00 Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 863,139. 59 Notes and bills rediscounted Bills payable 176, 286. 24 Liabilities other than those above stated 1, 503, 208.17 Total . $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding Total . 1, 503, 208.17 Exchange National Bank, Pittsburg. MARK W. WATSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S 2, 826, 341.51 Total. A. LONG, Cashier. No. 1057. , 815, 942. 95 Capital stock paid in. $1, 200,000,00 606.13 200,000.00 Surplus fund 450, 000. 00 Undivided profits, less current 38, 660. 23 expenses and taxes paid 20, 000. 00 National-bank notes outstanding. 176, 370.00 105, 000. 00 State-bank notes outstanding 210,000.00 39, 986. 23 Due to other national banks 28, 364.52 96, 832. 58 Due to State banks and bankers.. 2, 978. 00 38, 460. 35 Dividends unpaid 15, 565, 86 889,982. 53 54, 570. 20 Individual deposits 11, 000. 00 United States deposits 363. 44 Depositsof U.S.disbursingofficers 237, 000. 00 12, 000.00 Notes and bills rediscounted. Bills payable 9, 000.00 Liabilities other than those above stated Total . 2, 826, 341. 51 Farmers' Deposit National Bank, Pittsburg. T. H. GIVEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furnitiare,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 685. J. W. FLEMING, Cashier. $4,594,987.88 ; Capital stock paid in. $500, 000. 00 124.31 ' 50,000.00 Surplus fund 2, 000, 000. 00 Undivided profits, less current 128,368. 68 expenses and taxes paid 45, 000.00 National-bank notes outstanding. 163, 603.12 State-bank notes outstanding 160, 000. 00 169, 047. 67 2, 706. 77 Due to other national banks 239, 970. 53 190, 574. 95 Due to State banks and bankers.. 6,183. 36 3, 980. 00 421,857. 27 Dividends unpaid 14,177.85 3,028, 636.1G 101, 929. 58 Individual deposits 3, 760. 00 United States deposits 759. 95 Deposits ofU.S.disbursing officers. 224, 088. 00 178, 000.00 Notes and bills rediscounted Billspayable 2, 250.00 Liabilities other than those above stated 6,115, 003.04 Total. 6,115, 003. 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1003 PENNSYLVANIA. First National Bank of Birmingham, Pittsburg. H. S. M C K E E , President. No. 926. DANIEL BEECH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total Liabilities. $788, 346.14 1, 204. 55 25, 000. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 4," 000.'00* State-bank notes outstanding 40, 000.00 Due to other national banks 5, 384. 83 Due to State banks and bankers.. 100,000.00 104,275.15 13,001.89 Dividends unpaid 1, 316. 00 Individual deposits 4,'990.00" United States deposits 98.40 Deposits of U.S.disbursingoflBcers. 79,353.00 15, 000. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated 1, 081, 778.96 84,701.87 22, 500. 00 Total 773, 261.09 1,081,778.96 Port Pitt National Bank, Pittsburg. D. LEET WILSON, President. No. 2415. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 1,135, 583. 87 2, 759. 96 50.000. 00 2, 782. 50 2, 863. 07 189,100.07 9, 404. 61 22, 777. 54 9, 073. 91 21, 506. 86 1, 600. 00 189. 55 246, 547. 75 25, 000. 00 ANDREW W. HERRON, Cashier. $200,000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national b a n k s Due to State banks and b a n k e r s . . 209, 376. 74 25,790.08 100, 208.38 43, 500.00 228. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 1, 042, 336.49 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 1, 721, 439. C Total. 1, 721,439. e German National Bank, Pittsburg. ADOLPH GROETZINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 757. , 686, 676. 55 6, 643. 79 50,000. 00 205, 021. 36 429, 858. 65 307, 636. 01 39. 283. 86 35, 989. 20 463, 903. 92 35, 291. 42 81,230.97 15, 000. 00 1, 523. 98 340, 000. 00 130, 000. 00 O. C. BURGDORF, Cashier. Capital stock paid i n . $250, 000. 00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes outstandingState-bank notes outstanding 500, 000. 00 Due to other national banks Due to State b a n k s and b a n k e r s . . 298, 390.95 574, 653. 98 Dividends unpaid I n d i v i d u a l deposits United States deposits Deposits of U.S. disbursingofticers 53, 728. 75 44,150. 00 36.00 2,109, 350.03 Notes and bills rediscounted. Bills payable 2, 250. C Liabilities other t h a n those above stated 3,830,309.71 Total 3,830,309.71 1004 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Iron City National Bank, Pittsburg. No. 675. A L E X . M. BYERS, Presiden GEO. F . WRIGHT, Cashier. Resources. Liabilities. Loans and discounts j $1, 341, 202. Capital stock paid in. Overdrafts I 1, 302. U. S. bonds to secure circulation... j 100, 000. Surplus fund U. S. bonds to secure deposits j Undivided profits, less current TJ. S. bonds on hand expenses and taxes paid Premiums on U. S. bond 10, 500. National-bank notes outstanding. Stocks, securities,etc.. 68, 273. State-bank notes outstanding Bauk'g bouse,furniture,and fixtures 50, 000. Other real estate and mortg's owned 10,731. Due to other national banks Due from other national banks 85, 353. Due to State banks and bankers.. Due from State banks and bankers. 8, 472. Due from approved reserve agents. 144, 450. Dividends unpaid , Checks and other casli items 795. Exchanges for clearing house 80, 657. Individual deposits 7,812. United States deposits Bills of other national banks Fractional currency, nickels, cents. 900. Deposits of U.S.disbursingofficers. Specie 113,000. Legal-tender notes 149, 000. j Notes and bills rediscounted. U. S. certificates of deposit | Bills payable Redemj)tion fund with Treas. U. S. 4, 500. 00 Due from Treasurer U. S Liabilities other than those above stated Total. 2,176, 950.11 Total $400,000. 00 250. 000. 00 24, 270. 56 88, 050. 00 157,955.01 219.08 1,560.00 1,254,895.46 2,176, 950.11 Liberty National Bank, Pittsburg. No. 4339. E. H. MYERS, President. Loans and discounts I Overdrafts J U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, e t c . . Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned1 Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks.cents. Fractional currency,nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $343, 568. 33 610.01 50, 000. 00 H. H. WOODS, Cashier Capital stock paid in I $200, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid 6,000.00 1 National-bank notes outstanding. 1 23.556.08 1 State-bank notes outstanding 1 30, 000. 00 5,712.08 45, 000. 00 75,476.47 jl "l4,386.57 !i 26, 217. 21 3,147. 93 13,871.90 2,465.00 ! 42.23 i 56,164, 50 16,278.00 ""2." 250." 66' 730. 00 634, 794. 23 Due to other national banks Due to State banks and bankers.. 1. 239. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Notes and bills rediscounted Bills payable ! Liabilities other than those above stated Total . . . 352, 843.15 634, 794. 23 Lincoln National Bank, Pittsburg. C. B. MCLEAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixturesj Otherrealestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie " . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4883. $967, 566. 09 1, 765. 07 50, 000. 00 W. R. CHRISTIAN, Cashier. |j Capital stock paid in. 6, 000. 00 $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding-! State-bank notes outstanding i 100,000.00 Due to other national banks j Due to State banks and bankers.. 30, 087. 76 20,264. 30 50, 523. 32 45, 000. 00 162, 305. 91 5 000. 00 12 816.25 5, 205. 79 124 927. 79 1 020.17 21 698.19 6, 400. 00 831. 75 84 300. 00 62, 400. 00 2 250. 00 4 150.00 1,518 637.01 Dividends unpaid 837. 25 Individual deposits 1,071,924.38 United States deposits ! Deposits of U.S.disbursing officers.! Notes and bills rediscounted Bills payable | ! Liabilities other than those above stated Total 1,518,637.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1005 PENNSYLVANIA. Marine National Bank, Fittsburg. V M . W. O'NEIL, President. No. 2237. W. E. VON BONNHORST, Cashier. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on band Premiums on D. S. bonds Stocks, securities, etc Bank g bouse, furniture, and fixtures Other real estate and mortg's owned Due frozn other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S.i Due from Treasurer U. S Total. Liabilities. $455, 667. 45 119.91 50, 000. 00 5, 450. 00 200. 00 101, 107.16 2, 335. 00 8,685.91 1,306.91 35, 883. 63 7.08 8,444.27 1,680.00 129.44 35, 947. 45 8,470.00 2, 250. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300, 000. 00 32, 300. 00 Due to other national banks Due to State banks and bankers.. 13, 298. 22 4, 941. 64 43,400.00 1, 926. 50 Dividends unpaid Individual deposits Certified che deposits United States Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable 321,129. 35 688.50 Liabilities other than those above stated Total . 717,684.21 717,684.21 Mechanics' National Bank, Pittsburg. GEO. J. GORMAN, President. No. 700. Loans and discounts | $1, 889, 589. 61 Overdrafts 113. 38 U. S. bonds to secure circulation... 205, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Premium s on U. S. bonds 3,400. 00 Stocks, securities, etc 113, 385. 83 BHnk'ghouse,furniture,andfixtures 52, 982. 52 Other real estate and mortg's owned) Due from other national banks 37, 355. 84 Due from State banks and bankers. 11,127. 87 Due from approved reserve agents 52, 859. 47 Checks and other cash items 3,164. 73 Exchanges for clearing house 96, 488. 76 Bills of other nationaljjanks 57,174. 00 Fractional currency, nickels,cents. 1, 022. 25 Specie 195,500. 00 Legal-tender notes 130,000. 00 U. S. certificates of deposit j Redemption fund with Treas.U. S j 8, 510. 00 Due from Treasurer U, S | $500, 000. 00 Surplus! und Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 300, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 147,424.19 9, 401. 68 Individual deposits United States deposits Deposits of U.S.disbursing officers. 1, 581, 859.4G 198, 452. 93 113,750.00 3, 786. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 2, 857, 674. 26 Total. SAM'L C. APPLEGATE, Cashier. Capital stock paid i n . . 2, 857, 674. 26 Merchants and Manufacturers' National Bank. Pittsburg. E. H. FERGUSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 613. W. A. SHAW, Cashier. Capital stock paid in 30,260.28 110,536.19 I 20,975.96 I 129,740.03 i 27, 235. 88 j 145,382.96 5, 283. 76 I 57,041.34 18, 000. 00 501. 31 103,233.95 22, 000. 00 2. 700. 00 4, 000. 00 2, 994, 135.16 $800, 000. 00 Surplus fund Undivided profits, less current expenses and taxes} p* ' ~ paid. National-bank notes outstanding. State-bank notes outstanding 360, 000. 00 Due to other national banks Due to State banks and bankers.. 199, 942. 88 46, 974. 07 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 63,922.16 54, 000. 00 4, 466. 25 1, 464, 829. 80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 2, 994,135.16 1006 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Metropolitan National Bank, Pittsburg. JOHN RUNNETTE, President. No. 2279. GEORGE SEEBICK, Cashier. Resources. Loans and discounts I Overdrafts TJ. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'ghouse,furniture,and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of tother nationalpanks Fractional currency, nickels,cents. Specie Legal-lender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $463, 063. 31 142.76 150, 000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 22, 500. 00 22. 250. 00 27, 000. 00 5, 593. 43 Due to other national banks 30,126. 57 Due to State banks and bankers.. 5, 413. 35 46, 916. 00 Dividends unpaid 345. 00 7, 364. 41 Individual deposits II nited States deposits 302. 81 Deposits of U.S.disbursing officers. 31,280.15 10, 306. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 Liabilities other than those above 829, 353. 79 stated Total . $200, 000. 00 50, 000. 00 21,071.81 135,000.00 •11,767.04 7, 588. 68 749. 00 403,177. 26 829,353.79 Monongahela National Bank, Pittsburg. THOS. JAMISON, President. No. 3874. Loans and discounts , $1,059,502.43 846.94 Overdrafts 75,000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 6,000. 00 Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,farniture,andfixtures 4,150.56 Other real estate and mortg's owned 20,686.45 48, 073.12 Due from other national banks 2,401.13 Due from State banks and bankers. 112, 082. 89 Due from approved reserve agents. 240.19 Checks and other cash items 19,538. 55 Exchanges for clearing house 3,202. 00 Bills of other national t)anks 358. 61 Fractional currency, nickels,cents. 106, 969. 50 Specie 35, 000. 00 Legal-tender notes U. S: certificates of deposit Redemption fund with Treas. U. S . 3, 375. 00 Due from Treasurer U. S $250, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursingofficers. 208, 463. 83 72, 254. 01 1,230.03 80, 000. 00 18, 052. 92 67, 500. 00 799, 482. 59 450. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,497,433. 37 Total. JOHN D. FRASER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,497,433.37 National Bank of "Western Pennsylvania, Pittsburg. JAMES HEMPHILL, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, andfixtures| Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4918. $768,016.11 731.46 110,000.00 17,350.00 47,000. 00 56,478. 24 2, 510. 44 52, 781.16 44.06 37, 408. 50 3,810. 00 434. 76 72, 047. 00 14, 000. 00 4, 950. 00 CHARLES MCKNIGHT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $300, 000. 00 Due to other national banks Due to State banks aLd bankers. 69, 062. 23 17, 609.83 Dividends unpaid Individual deposits , United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable 100, 000.00 17, 930. 45 99, 000. 00 15.00 532, 385. 72 51, 498.50 Liabilities other than those above stated Total 1,187,561.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 0 7 PENNSYLVANIA. Pennsylvania National Bank, Fittsburg. A. S. M. MORGAN, President. No. 4222. R. M. DAVIS, Cashier. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.TJ. S. Due from Treasurer XJ. S Liabilities. $456 i?& 86 Capita^ stock paid in 82.90 100 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 11, 250.00 National baiiiL notes outstanding. 7, 000. 00 State-bank notes outstanding 22,557. 24 Due to other national banks 6,800. 00 9, 111. 10 Due to State banks and bankers.. 22, 603. 66 89.40 11, 653. 05 860. 00 412. 63 34,135.00 23,115. 00 4, 500.00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 9, 287. 96 86.400.00 462. 50 363,065. 62 1,193. 79 Liabilities other than those above stated Total. 710,409.87 Total . $200, 000. 00 50, 000. 00 710,409.87 People's National Bank, Pittsburg. JOHN W. CHALFANT, President Capital stock paid in. $1,000, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 800, 000. 00 101,125. 72 640, 800. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 432, 965. 99 165, 562. 76 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2, 854,920. 88 3, 354. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 5, 998, 729. 35 Total . T. P. DAY, Cashier. No. 727. $3, 920, 669. 29 Loans and discounts 1, 567. 65 Overdrafts 712, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 88,182. 50 Premiums on U. S. bonds 6, 000. 00 Stocks, securities, etc 93,000. 00 Bank'ghouse,furniture,andfixtures 55,000. 00 Other realestate and mortg's owned 36, 788. 99 Due from other national banks 15, 274. 71 Duo from State banks and bankers. 453,433. 73 Due from approved reserve agents] 18, 471. 98 Checks and other cash items j 54, 391. 60 Exchanges for clearing house ! 11, 041. 00 Bills of other national banks ! 867. 90 Fractional currency, nickels, cents. 354, 000. 00 Specie 160, 000. 00 Legal-tender notes U. S. certificates of deposit 18, 040. 00 Redemption fund withTreas. U. S. Due from Treasurer U. S Total 5,998,729.35 Pittsburg National Bank of Commerce, Pittsburg. CHARLES LOCKHART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U . S . . . , Total. No. 668. A. C. KNOX, Cashier. $2, 328,538. 02 Capital stock paid in. $500, 000. 00 2, 340. 78 200, 000. 00 Surplus fund 600, 000. 00 Undivided profits, less current expenses and taxes paid 59, 552. 71 36,675. 00 National-banknotes outstanding. 180,000.00 37, 073.66 State-bank notes outstanding 373,181.44 3,444. 44 Due to other national banks 733, 668. 63 114,525.33 Due to State banks and bankers.. 371, 322. 33 15, 727. 37 286, 976. 77 Dividends unpaid 4, 808.00 10, 361. 36 127,103.51 Individual deposits 1, 386, 586. 38 7,510. 00 United States deposits 471.37 Depositsof U.S.disbursingoflicers.! 237, 800.00 45, 209.00 Notes and bills rediscounted j Bills payable 9, 000. 00 Liabilities other than those above stated 3,835, 938. 05 Total. 3, 835, 938. 05 1008 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Tradesmen's National Bank, Pittsburg. ALEXANDER BRADLEY, President. No. 678. Resources. $1,681,608.29 Loans and discounts 344. 05 Overdrafts 50,000. 00 U. S.bonds to secure circulation... 200, 000. 00 U. S. bonds to secure deposits U. S. bonds on band Premiums on XT. S. bonds 57,671.94 Stocks, securities, etc 250, 000. 00 Bank'gbouse,furniture,and fixtures 334, 075. 03 Other real estate andniortg's owned 48, 971. 00 Due from other national banks 30, 279.46 Duo from State banks and bankers. 215,047. 67 Due from approved reserve agents. 3, 832. 20 Checks and other cash itemi 23,653. 31 Exchanges for clearing house 27,000. 00 Bills of other national banks.cents Fractional currency, nickels, 657.92 288, 308. 00 Specie 75, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total . ROBT. WARDROP, Cashier. Liabilities. Capital stock paid in. $400, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 3, 288, 698. 87 500, 000.00 35, 302. 59 45, 000. 00 677, 892.49 171, 487. 95 1,327.00 1, 278, 440.18 105.55 88, 669. 28 90,473.83 I 3,288,698.87 Union National Bank, Pittsburg. R. S. SMITH, President. C. F. DEAN, Cashier. No. 705. $2,101, 608. 55 Capital stock paid in. Loans and discounts $250,000. 00 2, 300. 86 Overdrafts 800, 000. 00 50, 000. 00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U.S. bonds to secure deposits expenses and taxes paid 57, 205. 60 U. S. bonds on hand 44, 250.00 National-bank notes outstanding. Premiums on U. S. bonds 7,100. 00 State-bank notes outstanding Stocks, securities, etc 105,951.34 Due to other national banks Bank'g house, furniture,and fixtures 145, 882.40 56,371.00 Other real estate and mortg's owned 106, 964. 87 57, 266. 89 Due to State banks and bankers.. Due from other national banks 8,541.61 Due from State banks and bankers. 944.00 136, 819. 91 Dividends unpaid Due from approved reserve agents. 4,560.25 Individual deposits 1, 351, 538.20 Checks and other cash items 38,186. 01 Exchanges for clearing house 3, 548. 60 5, 937. 00 Certified checks Bills of other nationalbanks 660.25 United States deposits Fractional currency, nickels, cents. 124, 630. 00 DepositsofU.S.disbursingofficers. Specie 58,150.00 Notes and bills rediscounted.. Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S2,250. 00 Liabilities other than those above Due from Treasurer U. S stated 760,333.67 Total . Total . 2, 760, 333. 67 United States National Bank, Pittsburg. "WM. PlCKERSGlLL, J R . , President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Dne from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. No. 5017. $82, 546.46 50,000.00 11, 687. 50 "i,"350*00' 18,681.95 5, 050. 00 3,419.81 301. 57 2,451. 89 403.00 67.09 3,913.20 2, 013. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 63, 923.55 Notes and bills rediscounted. Bills payable Liabilities other than those above Due from Treasurer U, S Total. C. F. SCHAEFER, Cashier. Capital stock paid in Capital stock not certified. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 181, 885. 47 stated Total. 181,885.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1009 PENNSYLVANIA. First National Bank, Pittston. THEODOEE STRONG, President. No. 478. W. L. WATSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $400, 388. 06 606. 45 50, 000. 00 5, 000. 00 501, 804. 44 35, 000. 00 36, 380. 77 6, 273. 22 89.09 115,426. 79 23, 500. 00 363. 24 91, 000. 00 20, 000. 00 Capital stock paid in. 110, 000.00 Due to other national banks Due to State banks and bankers.. 33, 037. 33 5, 003. 34 Dividends unpaid 34,070.28 44, 200.00 198.25 Individual deposits United States deposits Depositsof U. S.disbursingofficers. 811,572. 86 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated Total. 1, 288,082. 06 Total . $250, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 1,288,082.06 First National Bank, Plymouth. JOHN B. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notea U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A . K . D E W I T T , Cashier. No. 707. $252,735. 87 Capital stock paidin. j $100, 000.00 75.47 75, 000. 00 Surplus fund 30, 000.00 Undivided profits, less current expenses and taxes paid 22,169. 52 10, 883. 20 National-bank notes outstanding 59, 550. 00 70, 527. 88 State-bank notes outstanding 13, 000. 00 1, 050. 00 Due to other national banks 43,010.76 1, 803.46 Due to State banks and bankers. 22,689. 20 79, 863.28 3, 267. 40 1, 380. 00 54.65 17, 203. 00 14, 745. 00 Dividends unpaid 60.00 Individual deposits United States deposits Depositsof U. S.disbursingofficers 266, 809. 73 Notes and bills rediscounted. Bills payable 2, 700. 00 Liabilities other than those above stated 544, 289.21 Total . . . 544, 289. 21 First National Bank, Port Allegany. B. O. GALLUP, No. 3877. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . CUR, PT 2 $75, 585. 54 "56,606.60" 4, 500. 00 3,913.18 8, 500. 00 4, 435. 49 4, 270. 25 5, 779.92 8,168.40 445. 00 68.42 3, 376. 35 935. 00 2, 250. 00 172, 227.55 64 THOS. MCDOWELL, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. $50, 000.00 5, 500. 00 7,412.19 43, 735. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursingofficers. 65,580. 36 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 172,227. 55 1010 REPORT OF THE COMPTROLLER OF THE CURRENCY. PE1VNSYLVANIA. Citizens' National Bank, Fottstown. GEO. B. LESSIG, President. No. 4714. C. FRANK DUDEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned • Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total . $151, 696. 60 1.91 25, 000. 00 2, 500. 00 9, 800. 00 11,326.48 1, 024. 28 9,046.17 235.52 604.00 303. 51 5, 027. 00 3, 409. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 11,000.00 3, 062. 36 21, 800. 00 Due to other national banks Duo to State banks and bankers.. Dividends unpaid 5.15 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 85, 231. 96 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities otber than those above stated Total. 221, 099. 47 221, 099.47 National Bank, Fottstown. No. 608. DANIEL PRICE, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with TrCas. U. S. Due from Treasurer U. S Total . $697, 518. 57 610.10 50,000.00 1, 000. 00 HORACE EVANS, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and takes paid National-bank notes outstanding. State-bank notes outstanding 147,632.93 13, 000. 00 13, 690. 00 Due to other national banks 20, 394.17 i Due to State banks and bankers.. 89,220.88 I Dividends unpaid... j 5,049.32 || Individual deposits. 5, 721. 00 United States deposits 1,607.66 Deposits of U. S.disbursing officers 57, 311. 35 5, 041. 00 Notes and bills rediscounted Bills payable 2, 250. 00 2, 440. 00 Liabilities other than those above stated Total 1,112, 492. 98 250, 000. 00 19, 393. 07 45,000. 00 67, 512. 64 1, 957. 50 428, 629. 77 1,112, 492. 98 National Iron Bank, Pottstown. JACOB FEGELY, President. Loans and discounts 0verdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouye,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, ceuts. Specie Legal-tender notes '. U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasure" U. S Total No. 3494. $341,449. 98 935.13 50, 000. 00 H. J. MEIXELL, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid 5, 000.00 National-bank notes outstanding. 32, 815. 00 State-bank notes outstanding 1,000.00 5,036.10 Due to other national baDks 20, 005. 07 Due to State banks and bankers.. 12, 771. 54 1,019.15 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 5, 000. 00 571. 96 7 000 00 10,000.00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 494, 853.93 Total $200,000. 00 16, 200. 00 3 894 96 45, 000. 00 26, 629 44 375. 00 187, 754. 53 15, 000.00 494, 853.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 1 1 PENNSYLVANIA, Government National Bank, Pottsville. A. L. BOEHMER, President. No. 1152. JOHN F. ZERBEY, Cashier. Resources. Loans and discounts 1 Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits i U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank1ghouse,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $91,112.87 1,463.13 50, 000. 00 6, 000. 00 24, 604. 00 150. 00 1,145.71 1, 708. 09 4,461.31 5, 259. 74 300. 00 31. 96 3, 500. 00 2,102. 00 2, 250. 00 194, 088. 81 Capital stock paid in I $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . . Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing oflic 3, 625.00 2, 401. 74 44,465.00 545.11 43,051. 96 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated Total. 194,088.81 Miners' National Bank, Pottsville. "W. THOMPSON, President. No. 649. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S Total . $549, 708.16 26.89 500, 000. 00 GEO. H. D E FREHN, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 59,183.10 371, 511.61 37, 000. 00 11, 320. 02 Due to other national banks 140,447.16 Due to State banks and bankers. 6, 891. 25 130, 086. 30 Dividends unnaid. 1, 744.08 Individual deposits 1, 000. 00 United States deposits 406. 74 37,820.00 Deposits of U.S.disbursing officers. 13,200.00 Notes and bills rediscounted. Bills payable 22, 500. 00 Liabilities other than those above stated Total. 1, 882, 845. 31 $500, 000. 00 150, 000. 00 46, 834. 63 438, 980. 00 148,804. 01 1,011.32 2,449. 50 594, 765.85 1, 882, 845. 31 Pennsylvania National Bank, Pottsville. JOHN W. RYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure depoaits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 1663. DAVID H. SEIBERT, Cashier. $341,266.40 I Capital stock paid in. 72.08 50,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid 4, 000. 00 National-bank notes outstanding. 156, 257. 00 State-bank notes outstanding 38, 000. 00 Due to other national banks 30,569. 34 Due to State banks and bankers.. 1, 212. 55 78,116. 48 Dividends unpaid 7, 296.08 Individual deposits 1,925.00 United States deposits 176. 95 Deposits of U. S.disbursing officers. 33, 900. 00 16, 382.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 761, 423. 88 stated Total. $200, 000. 00 40, 000.00 29,144. 42 44,100. 00 14, 692. 32 11, 274.97 60.00 422,152.17 761,423.88 1012 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Punxsutawney. R. C. WINSLOW, President. No. 3030. JAMES H. MAIZE, Cashier. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Speci6 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $87, 096. 04 17.72 30, 000. 00 3, 600. 00 63, 791. 52 1, 537. 69 7, 700. 00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 706. 51 Due to State banks and bankers.. 39, 214. 73 Dividends unpaid 818.10 Individual deposits 2,645. G United States deposits O 55. 75 Depositsof U.S.disbursingofticers22,120. 45 6, 800. 00 Notes and bills rediscounted. Bills payable 1,350. 00 Liabilities other than those above stated Total. 267,453.51 20, 000.00 10, 375. 50 23,500.00 3,063. 61 202.10 160,312. 30 267, 453.51 Quakertown National Bank, Quakertown. No. 2366. Jos. THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other ca»h items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. $364,010.62 900. 00 100, 000. 00 208, 500. 00 5, 000.00 2,100. 00 14,154. 03 23, 368. 07 274.79 929.00 55.17 19,915.25 13, 200. 00 4, 500. 00 CHAS. C. HARING, J R . , Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 135, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 15, 019. 20 Individual deposits United States deposits Deposits of U. S.disbursing officers. 413,146. 22 5, 043.51 88, 050. 00 148. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 756,906. 93 756,906. 93 Quarryville National Bank, Quarryville. FRANK "W". HELM, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national T)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3067. $157, 566 94 2.61 15,000.00 5,900. 00 8, 000. 00 3, 090.09 204. 62 23, 227. 04 1, 374. 09 A. S. HARKNESS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits 155.66" United States deposits 313. 20 Depositsof U.S. disbursing officers . 8, 912. 00 1, 930. 00 Notes and bills rediscounted Bills payable 675. 00 Liabilities other than those above 226, 350. 59 stated Total $60, 000.00 28, 000. 00 2,184. 36 13, 500.00 3, 044. 67 480. 00 119,141. 56 226, 350. 59 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 1013 PENBfSTL VAXIA. First National Bank, Reading. No. 125. GEO. BROOKE, President. JOHN R. KAUCHER, Cashier. Resources. Loans and discounts Overdrafts . ..... U. S. bonds to secure-circulation U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house.f urnjjbure,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S certificates of deposit Redemption fund with Treas. U. S. Liabilities. $669, 574. 96 986 63 50 000 00 50, 000. 00 5, 000. 00 126, 500. 00 33, 049. 70 30,931. 46 39, 393.12 3, 395.17 73,858. 77 8, 421.18 5, 725. 66 677.20 54,143.50 3,000. 00 2, 250. 00 Due from Treasurer U. S Total 1,156, 906. 69 Capital stock paid in $250, 000. 00 Surplu s fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividendsunpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 200 000 00 49 360 80 44, 700.00 21, 011. 24 372. 29 66.00 5*6, 396.36 45,000. 00 1,156,906.69 Second National Bank, Reading. ISAAC HIESTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2552. Capital stock paid in. $606,744. 45 71.66 50, 000. 00 5, 000. 00 5,193. 60 35, 395. 00 2, 245. 59 13, 030. 89 2, 581. 64 57, 833. 32 7, 347. 31 8, 230. 00 652. 28 63, 544.15 11, 000. 00 2, 250. 00 $200, 000.00 Surplu s fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 150, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 58, 913.12 Individual deposits United States deposits Deposits ofU. S.disbursing officers. 389,444. 80 21,428. 97 45, 000.00 6, 333.00 Notes and bills rediscounted. Bills payable Liabilities other than those abov stated Total . 871,119.89 Total. F. A. ROLAND, Cashier. 871,119.89 Farmers' National Bank, Reading. W M . A. ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hou: Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. ( , 244, 620. 72 45.71 50, 000. 00 7, 250. 00 186,10'J. 59 40, 000. 00 13, 929. 98 2, 588. 86 189, 059. 37 8,891.53 37,400. 00 214. 91 94, 320.00 68, 000.00 2, 250. 00 1, 944, 673. 67 H. H. HANOLD, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...".. $400,020. 00 Due to other national banks Due to Stateb&nks and bankers. Dividends unpaid 131. 471.03 162. 66 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 914, 540. 36 425, 000. 00 26, 650. 62 45, 000. 00 1,829. 00 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 1,944, 673.67 1014 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Keystone National Bank, Reading. No. 1875 J . HAGENMAN, President. J N O . H. MALTZBERGER, Cashier. Resources. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation TJ. S. bonds to secure deposits L TJ. S. bonds on hand j. Premiums on U. S. bonds I Stock, securities, etc |. Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned . Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. I Checks and other cash items. Exchanges for clearing house j Bills of other national banks Fractional currency, nickels, cents.! Specie .'. I Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $469, 887. 75 17.87 25, 000.00 3,250. 00 33,202.62 j 12, 761. 72 I 1,075.85 73, 367. 64 14,261.08 Capital stock paid in. 120, 000. 00 21,760.30 21, 900. 00 Due to other national banks.T Due to State banks and bankers.. Dividends unpaid 135. 00 Individual deposits " 7," 43O.6o" United States deposits 576. 24 Deposits of U.S.disbursingofficers. 47, 782. 00 13, 670. 00 Notes and bills rediscounted. Bills payable 1,125. 00 439, 612.47 Liabilities other than those above stated Total. 703,407. 77 Total . $100, 000. 00 Surplus fund T Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 703,407. 77 National Union Bank, Reading. HORATIO TREXLER, President. No. 693. L o a n s a n d discounts j $1,160,196. 66 198. 52 Overdrafts 150, 000. 00 U. S. bonds t o secure c i r c u l a t i o n . . . U. S. b o n d s t o secure deposits U . S. b o n d s on h a n d . . . P r e m i u m s o n U . S. bonds 2, 500. 00 Stocks, securities, etc 4, 000. 00 B n n k ' g house, f u r n i t u r e , a n d fixtures 25, 000. 00 O t h e r real e s t a t e a n d m o r t g ' s owned D u e from other national b a n k s "22," 138" 75* D u e from State b a n k s a n d b a n k e r s . 2, 869. 26 D u e from approved r e s e r v e a g e n t s . 66, 764. 62 C h e c k s a n d o t h e r cash i t e m s 16, 040. 25 E x c h a n g e s for clearing house, Bills of o t h e r n a t i o n a l b a n k s 42, 714. 00 1, 856.19 F r a c t i o n a l c u r r e n c y , nickels, c e n t s . 116, 160. 00 Specie 20, 000. 00 L e g a l - t e n d e r notes U . S. certificates of deposit R e d e m p t i o n fund w i t h T r e a s . U. S. 6, 750. 00 D u e from T r e a s u r e r U . S Total EDWIN BOONE, Cashier. Capital stock paid in . j $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 350, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 3,511.84 10, 682. 54 Individual deposits United States deposits Deposits of U.S.disbursingofficers 879, 635.16 57, 243. 71 134,990. 00 1,125. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , 1,637,188.25 Total . 1,637,188. 25 Penn National Bank, Reading. I. W. LEV AN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand . . . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owued Due from other national banks. . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2899. $373, 509.11 331 29 25, 000. 00 CALVIN D. MOSER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 26, 467.13 25, 000. 00 12, 650. 00 Due to other national banks 14, 343. 28 Due to State banks and bankers.. 1, 750. 59 27, 276. 93 Dividends unpaid 7, 420.67 Individual deposits 9,480. 00 United States deposits 488. 69 Deposits of U.S.disbursingofficers. 33,966. 90 2,198. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 561, 007.59 Total . $100, 000. 00 85, 000. 00 10, 934. 38 20, 750. 00 1, 247. 28 774. 00 342,301.93 561, 007, 59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1015 PENNSYLVANIA, Reading National Bank, Reading. No. 4887. JAMES T. REBER, President. ISAAC Y. SPANG, Cashier. Resources. Loans and discounts ! Overdrafts ] U.S. bonds to secure circulation... Lr. S. bonds to secure deposits I U. S. bonds on hand i Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtur< Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S.. Total . Liabilities. $440,969. 76 62. 83 50, 000. 00 5, 000. 00 23, 500. 00 53, 765. 20 31.13 22.70 35, 835. 20 6, 351.51 1, 500. 00 138.44 39,407. 50 10, 000. 00 " "2,250.00 Capital stock paid i n . $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000. 00 13,175. 21 44, 470. 00 Due to other national banks Due to State banks and bankersDividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers - 336, 189. 0Q Notes and bills rediscounted Bills payable Liabilities other than those above stated 668,834.27 Total . 668, 834. 27 Reedsville National Bank, Reedsville. No. 4538. SAMUEL WATTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S. bonds to secure deposits . U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Speci© - .... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S . . . Total $103, 063. 80 119.53 12,500.00 M. MILLEISEN, Cashier. Capital stock paid in $50,000. 00 Surplus fund Undivided profits less current expenses and taxes paid 750. 00 , National-bank notes outstanding. 5, 000. 00 I State-bank notes outstanding 7, 000. 00 2, 747. 69 11, 250. 00 5, 000. 00 210. 75 17,433. 05 163.94 153.13 3, 471. 75 6,128. 00 562. 50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 593.01 1, 629. 56 Individual deposits United States deposits Deposits of U.S.disbursing officers . 81,336.19 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 154,556.45 154, 556. 45 First National Bank, Renovo. JAMES MURPHY, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3763. $101,540.78 654. 63 12, 500. 00 1, 250. 00 10, 700. 00 1,150. 00 5, 725. 00 '544. 87 237.15 8, 337.47 314. 54 AY. B. REILLEY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Duo to other national banks Due to State banks and bankers. . Dividends unpaid I n d i v i d u a l deposits 1, 300. 00 160.67 4,512.90 7, 000. 00 562. 50 156,490. 51 United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. $50, 000. 00 7, 500. 00 1,889.56 10, 950. 00 835. 55 17. 69 74, 097. 71 11, 200. 00 156,490.51 1016 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Reynoldsville. CAMDON MITCHELL, President. No. 4908. JOHN H. KAUCHER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $77, 725.15 294. 87 30,000.0) Surplus fund Undivided profits, less current expenses and taxes paid 3, 775. 00 National-bank notes outstanding. 1,200. 00 State-bank notes outstanding $50,000.00 3, 000. 00 1, 274. 08 27, 000. 00 2, 602. 59 Due to other national banks Due to State banks and bankers.. 33,370. 22 Dividends unpaid 2, 632. 52 Individual deposits 170.00 United States deposits 63.62 Deposits of U.S .disbursing officers 2, 552. 80 78.00 80,084.89 8,124. 80 2, 681. 00 Notes and bills rediscounted.. Bills payable 1,350.00 163, 989. 77 Total. Capital stock paid in. Liabilities other than those above stated Total. 163, 989. 77 Elk County National Bank, Ridgway. J. POWELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums o n U . S . bonds Stocks, securities, etc Bank'ghouse,furnlture,andfixtures; Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallaanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S M. S. KLINE, Cashier. No. 5014. $195,442. 86 Capital stock paid in. $100, 000.00 112.18 25, 000. 00 Surplus fund 50, 000.00 Undivided profits, less current expenses and taxes paid 2, 053. 92 5, 406.25 National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,130. 99 38.13 Individual deposits United States deposits Deposits of U.S. disbursing officers. 328,199. 72 ^•otes and bills rediscounted. Bills payable Liabilities other than those above stated Total . Total . 186.19 482, 608. 95 First National Bank, Rochester. HENRY C. FRY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.. SDue from Treasurer U. S Total. THOS. C. FRY, Cashier. No. 2977. $206, 782. 39 Capital stock paid in. $50, 000. 00 465. 63 17, 000. 00 Surplus fund 22, 500. 00 Undivided profits, less current 2, 012. 85 expenses and taxes x>aid 15,140. 00 900. 00 National-bank notes outstandingState-bank notes outstanding "i, 500. 00 Due to other national banks j 3, 836.13 1, 558. 82 Due to State banks and bankers..! 15,961. 36 Dividends unpaid 440. 00 Individual deposits 172, 671. 04 95.00 United States deposits 126.82 Deposits of U.S.disbursingofficers. 10, 390. 00 10, 175. 00 Notes and bills rediscounted. Bills payable 765.00 Liabilities other than those above stated 266,160. 02 Total . 266,160. 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 1 7 PENNSYLVANIA. Home National Bank, Royersford, J. A. BUCKWALTER, President. No. 4751. GEO. W. BOWMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks an'd other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $105, 389. 55 467.49 12, 500. 00 1,600.00 i.992*37 3, 593.59 7,900. 4i 98.91 3, 899. 75 1, 295. 00 "*"562.'5O" 139, 299.57 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 3, 000. 00 1, 089.12 11, 250. C O Due to other national banks | Due to State banks and b a n k e r s . Dividends unpaid. 3,165. 44 Individual deposits United States deposits Deposits of U .S.disbursing officers. 60,479. 01 Notes and bills rediscounted | Bills payable I Liabilities other than those above stated Total. 316. 00 10, 000.00 139, 299. 57 National Bank, Royersford. EPHRAIM P. KEELY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S U. S. G. FINKBINER, Cashier. No. 3551. $236,061.78 Capital stock paid in. $150, 000.00 340.71 37,500. 00 Surplus fund 14,500.00 Undivided profits, less current expenses and taxes paid 3, 914. 77 2, 600.00 National-bank notes outstanding . 33, 350.00 1, 321. 74 State-bank notes outstanding 8, 699.14 Due to other national banks 11,652.18 8,711.37 Due to State banks and bankers.. 1, 327. 86 Dividends unpaid 1,112.00 2,187. 07 Individual deposits 97,682.39 2, 755. 00 United States deposits 120. 92 Deposits of U. S.disbursingotficers. 12,548.25 1, 350. 00 Notes and bills rediscounted. Bills payable 5, 000. 00 1, 687. 50 Liabilities other than those above stated 31.7, 211. 34 Total. Total. 317,211.34 First National Bank, Saltsburg. JAMES P . WATSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate andmortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserv e agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Tctal. A. H. BEATTY, Cashier. No. 2609. $137,942.80 Capital stock paid in. $50, 000.00 .75 12,500. 00 Surplus fund 10, 000.00 Undivided profits, less current 3, 875. 39 expenses and taxes paid 11,250.00 1,461.13 National-bank notes outstanding. State-bank notes outstanding 7, 000. 00 8,230. 95 Due to other national banks 3,235. 66 Due to State banks and bankers. 5, 734. 73 12, 957.47 Dividends unpaid 845. 25 Individual deposits 129,537.98 1, 000. 00 United States deposits 227. 53 Deposits of U.S.disbursingofficers. 8, 897. 60 4,067.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 264,663.37 Total. 204,663.37 1018 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank, Schwenkville. No. 2142. HENRY W. KKATZ, President. J O H N G. PRIZER, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits V. C6. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Check s and other cash items Exchanges for clearing house Bills of other nationall)anks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $239,454. 57 153. 60 25,000. 00 2, 500.00 64, 380. 00 7,200. 00 6, 516. 75 20,470. 22 341. 95 488. 00 405.^9 15, 416. 00 690. 00 1,125. 00 300.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 75, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 12,214. 36 9,116. 60 22, 500. 00 802.00 164,809.02 United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 384,441.98 384,441. 98 First National Bank, Scottdale. No. 4098. A . L . K E I S T E R , Pre8ide7it. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from othernational banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $165,326. 44 629. 64 12, 500. 00 1, 000. 00 4, 735. 94 3,000.00 500. 00 8, 881.15 4, 946. 33 35,647. 20 217. 37 A. B. PICKARD, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding i I 25, 000. 00 3, 440. 32 10,850.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 126.00 Individual deposits 170.66' United States deposits 61.73 DepositsofU.S.disbursingofticers. 16, 034.45 6, 600. 00 Notes and bills rediscounted Bills payable 562*50 Liabilities other than those above stated 171,396.43 Total. 260,812.75 $50,000.00 260,8.12.75 First National Bank, Scranton. J . A. LINEN, President. No. 2697. $1, 861, 000. 79 Loans and discounts 1, 296. 81 Overdrafts 200, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds 3, 042, 883.12 Stocks, securities, etc 30,000.00 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks 99,757.48 36, 630. 67 Due from State banks and bankers. 609, 005. 89 Due from approved reserve agents. 4,106. 48 Checks and other cash items 17,701.24 Exchanges for clearing house 10,460. 00 Bills of other national banks 679. 09 Fractional currency, nickels, cents. 56, 837. 88 Specie 308, 514. 00 Legal-tender notes U. S. certificates of deposit 9, 000.00 Redemption fund with Treas. U. S. 3, 000. 00 Due from Treasurer U. S Total. 6, 290,873.45 ISAAC POST, Cashier. Capital stock paid in | $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 775, 000.00 Due to other national banks Due to State banks and bankers.. 169,102. 69 15, 111. 79 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 111, 422. 55 178, 595.00 200. 00 4, 841, 441. 42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 6,290,873.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1019 PENNSYLVANIA, Third National Bank, Scranton. No. 1946. V M . CONNELL, President. WM. H. PECK, Cashier. Resources. Loans and discounts I Overdrafts U. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $1, 462, 032. 23 345.27 80, 000.00 Capital stock paid in. 270, 000.00 82, 867. 70 71, 340. 00 26, 734. 05 21, 568. 55 4,481.76 132, 361. 31 5. 097. 33 8, 933.12 1, 945. 00 650. 33 100, 516. 95 40, 500. 00 3, 600. 00 3,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 21, 830. 88 1,166.93 Individual deposits , United States deposits DepositsofU.S.disbursingofncers. 1, 555, 908, 84 150. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 2,203, 264. 85 Total. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 943.75 National-bank notes outstanding 310, 555.20 State-bank notes outstanding Total. 2, 203, 264. 85 Traders' National Bank, Scranton. No. 4183. SAM'L HINES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national ibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $603, 830. 70 999. 83 50, 000. 00 10, 000. 00 21, 000. 00 22, 759. 30 30,137. 93 6, 060.12 27, 452.17 11,506.13 9,148. 28 135. 00 741.39 22, 458. 35 11, 138. 00 $250,000.00 Surplusfund Undivided profits, leas current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 40 000 00 5,189.61 43, 500. 00 6, 594. 55 7, 083.13 21.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted Bills payable. 437, 728. 91 39, 500.00 2, 250. 00 Liabilities other than those above 829, 617. 20 Total. A. B. WILLIAMS, Cashier. Capital stock paid m stated Total 829, 617. 20 First National Bank, Selins Grove. H. D. SCHNURE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 357. $103, 989.44 12.46 50, 000. 00 4, 000. 00 4, 600. 00 24, 500. 00 15, 000. 00 9,631.20 6, 718. 63 52, 603. 85 155. 43 1, 055. 214. 28, 053. 1, 235. 00 27 05 00 2, 250. 00 304,018.33 C. B. NORTH, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 20, 000. 00 12, 978. 59 44, 220. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 569. 27 2, 790. 93 Individual deposits United States deposits Deposits of U.S.disbursing officers. 165, 969.26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 490.28 304,018.33 1020 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Sellersville National Bank, Sellersville. No. 2667. C. D. FEETZ, President. W. F . DAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Liabilities. $205,836.35 I Capital stock paid in. 1,675.24 || 19,000.00 [j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $75, 000. 00 24, 000. 00 2, 744. 22 16, 700. 00 Due to other national banks Due to State banks and bankers... Dividends unpaid . G,574.08 Individual deposits United States deposits Deposits of U.S.disbursing officers. 2, 642. 39 176,164. 80 Notes and bills rediscounted. Bills payable Due from Treasurer U. S 315. 00 20, 000. 00 Liabilities other than those above stated Total . Total . 321, 498.10 First National Bank, Sewickley. No. 4462. R. J . MURRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $139.907. 07 611.87 12, 500. 00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 781. 25 National-bank notes outstanding. 10, 654. 75 State-bank notes outstanding 26, 900. 00 Due to other national banks Duo to State banks and bankers... 28, 724. 68 Dividends unpaid 75.93 Individual deposits ""425." 66' United States deposits 209.06 Deposits of U. S .disbursing officers. | 10,201.40 2, 075. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 18, 500. 00 233,628. 51 Total . E. P . COFFIN, Cashier. Capital stock paid in. Total . 1, 516. 25 11, 250. 00 152, 362. 26 233, 628. 51 First National Bank, Shamokin. JOHN MULLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc '. Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3045. GEO. C. GRAEBER, Cashier. $405,589. 25 Capital stock paid in. 259. 24 100, 000. 00 I Surplus fund I Undivided profits, less current I expenses and taxes paid 7, 000. 00 National-bank notes outstanding. 86,150. 73 State-bank notes outstanding 25, 000. 00 Due to other national banks 22,051.25 Due to State banks and bankers. 6,481.16 107,142. 47 Dividends unpaid 4, 048. 95 Individual deposits 3, 820. 00 United States deposits 117. 38 Deposits of U .S.disbursing officers 77, 348. 00 24, 789. 00 Notes and bills rediscounted. Bills payable 4, 500. 00 220. 00 Liabilities other than those above stated 874, 517.43 Total. $100, 000. 00 100, 000. 00 12,127.14 90, 000. 00 23, 067. 22 1, 370. 21 60.00 547, 892.86 874, 517.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1021 PENNSYLVANIA. First National Bank, Sharon. No. 1685. J. J. SPEARMAN, President. A. S. SERVICE, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $600, 208. 61 3, 226. 06 50, 000.00 5, 000. 00 51, 000. 00 14, 000. 00 113.25 27, 456. 66 38.74 270.00 659. 00 39, 879. 00 6,157. 00 2, 250.00 500. 00 $125, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 9, 532.63 Individual deposits United States deposits Deposits of U.S.disbursing<m"cers. 11,661.98 45, 000.00 509,563. 71 Notes and bills rediscounted. Bills payable Liabilities other than those above stated . 800, 758. 32 800, 758. 32 Total . Sharon National Bank, Sharon. M. ZAHNISER, Cashier. No. 2244. Jos. FORKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State t a n k s and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . $361, 996. 33 19,438.12 32, 000. 00 2, 500. 00 78, 050.00 77.50 27, 551. 84 608.28 450.00 259.38 32, 459. 75 3,000. 00 1,440. 00 Capital stock paid in. $125,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000. 00 30, 216. 66 28, 800. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,237.84 Individual deposits United States deposits Deposits of U.S.disbursing officers. 348, 576. 70 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 559, 831.20 559, 831. 20 First National Bank, Shenandoah. P. J. FERGUSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3143. $328,117.63 1, 252.44 100, 000. 00 87, 288. 79 1, 800. 00 1,147. 61 956. 68 56, 254. 96 3. 253. 80 2,188. 00 149. 35 29, 411. 30 1, 625.00 4, 500. 00 500.00 618, 445. 56 S. W. YOST, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 20, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 49, 761. 28 2, 368. 81 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 340, 777. 91 14, 537. 56 90, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 618, 445. 56 1022 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Merchants' National Bank, Shenandoah. No. 4546. J. S. KISTLER, President. E. B. HUNTEE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other realestateand mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous* Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit [Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $174, 978. 38 Capital stock paid in. $100, 000. 00 50, 000. 00 Surplus fund Undivided profits, less current ! expenses and taxes paid 6,500. 00 I National-bank notes outstanding. 50, 410. 00 State-bank notes outstanding 2,159. 72 ; Due to other national banks 2, 609. 73 I Due to State banks and bankers.. 38,068. 26 Dividends unpaid 1, 305. 41 Individual deposits 1, 000. 00 United States deposits 322.10 DepositsofU.S.disbursingofficers. 13, 513. 88 6, 778, 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 349, 895.48 14, 000. 00 11, 556. 04 45, 000. 00 15,375.52 1, 632. 91 420. 00 161, 911. 01 • 349, 895. 48 First National Bank, Shippensburg. No. 834. W. A. ADDAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from»other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S 386.95 261.25 25, 000.00 $75,000. 00 Surplusfund Undivided profits, less current 000. 00 expenses and taxes paid 550.00 ! National-banknotes outstanding. 500. 00 | State-bank notes outstanding 500.00 Due to other national banks 4,881.57 Due to State banks and bankers.. 083.16 Dividends unpaid 569.73 Individual deposits 800. 00 United States deposits 66. 93 Deposits of U.S.disbursing officers. 700. 00 000.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 37, 500. 00 Total. 370, 424. 5') Total. J. E. GEESAMAN, Cashier. Capital stock paid in... 10, 291.15 21,400. 00 11,503. 43 10, 496. 92 328.00 203,905.09 370,424.59 National Bank, Slatington. E. D. PETERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Check sand other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total ¥ M . H. GriSH, Cashier. No. 2293. $227, 673. 43 '1,105.46 25, 000. 00 2, 500. 00 2, 624. 00 6, 745. 00 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 042. 62 Due to other national b a n k s . . . . . . Due to State banks and bankers.. 38, 419. 27 49.55 Dividends unpaid 1, 540. 00 80.73 26, 951. 50 1, 795. 00 1,125. 00 350, 651. 56 Individual deposits United States deposits Deposits of U. S.disbursing officers. $100, 000. 00 22, 000. 00 9,123. 33 22,500. 00 19,651. 77 6, 094. 64 132.00 171,149. 82 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 350, 651. 56 REPORT OF THE COMPTROLLER OP THE CURRENCY. 1 0 2 3 PENNSYLVANIA. First National Bank, Somerset. E D W A R D SCULL, President. TSTo. 4100. HARVEY M. BERKLEY, Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $150, 053. 42 255. 96 13, 000. 00 1, 700. 00 Capital stock paid in. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers . - 5, 958.44 1, 680.06 n, 700. oo 8," 708." 82 822.47 5, 487. 92 8, 344. 67 1, 582. 92 195. 00 44. 29 7, 083. 25 6, 315. 00 585.00 Dividends unpaid 30.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 114, 810.22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 204,178.72 Total. Cashier. Liabilities. Resources. Total . 204,178.72 Somerset County National Bank, Somerset. CHAS. J. HARRISON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure dex)osits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4227. $181,725.80 68.40 12,500.00 1, 000. 00 4, 000. 00 1, 281. 00 "*3,*788."8Y 136. 33 47, 486. 20 4,025. 69 175. 00 40.02 18, 428. 25 4, 500. 00 562.50 700. 00 280, 418. 00 MILTON J . PRITTS, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 16, 000. 00 4, 905. 30 J 1,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 1,733.81 459.30 Individual deposits United States deposits Depositsof U.S.disbursingofficers 196, 069. 59 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 280,418.00 Union National Bank, Souderton. ISAAC G-. GERHART, Pres dent. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U, S Total. J. C. LANDES, Cashier. No. 2333. $272,290. 68 Capital stock paid in. $90,000.00 441. 38 30, 000. 00 Surplusfund 45, 000.00 Undivided profits, less current expenses and taxes paid 8, 291.87 National-bank notes outstanding. 26, 990. 00 47, 820. 00 State-bank notes outstanding.. 4, 600. 00 1, 000. 00 Due to other national banks 12, 111. 28 167. 69 Due to State banks and bankers.. 64, 546. 70 Dividends unpaid 1,470.00 350. 64 Individual deposits 262, 620.13 330. 00 United States deposits 274. 56 Depositsof U.S.disbursing officers. 20, 736. 63 2,175. 00 Notes and bills rediscounted Bills payable 1, 350. 00 400. 00 Liabilities other than those above stated 446, 483. 28 Total . 446,483.28 1024 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. South Bethlehem National Bank, South Bethlehem. JACOB FEGELY, President. No. 3961. J . B. MEIXELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $110, 488.31 2,446. 80 12, 500.00 1, 250.00 Capital stock paid in. 31*503.18 Due to other national banks """508." 45' Due to State banks and bankers. 5,611.52 Dividends unpaid 1,099.81 ; Individual deposits 380." 66"! United States deposits 365.85 Deposits of U .S.disbursing officers. 3,526.50 1 7,794.00 I Notes and bills rediscounted Bills payable 562.50 I Liabilities other than those above stated 178,036. 92 Total . $50, 000. 00 Surplus fund )r Undivided x °fits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 4, 500. 00 2, 078.11 11, 250. 00 3,115. 95 100, 592. 86 6, 500. 00 178, 036.92 National Bank, Spring City. No. 2018. A. P. FRITZ, President. Loans, and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $362,176. 84 387.71 50, 000. 00 6, 000. 00 i:.i, 890. 49 9, 822. 08 800. 00 7, 323. 07 30.00 15, 280. 56 1, 055. 73 io. 00 241. 90 18, 452. 40 4,818. 00 940.00 ~W. J . WAGONER, Cashier. Capital stock paid in. $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40,000.00 5, 460. 08 43, 690. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 25, 376.48 730.63 Individual deposits United States deposits Depositsof U.S.disbursingofficers 167, 276.08 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 491, 228.78 2,457. 50 5, 000. 00 1, 238. 01 491, 228. 78 Steelton National Bank, Steelton. LUTHER S. BENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. W. J. SNAVELY, Cashier. No. 3599. Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits, less current expenses ami taxes paid National-bank notes outstanding . 1, 700. 00 State-bank notes outstanding 3,925. 00 Due to other national banks 10, 840. 81 Due to State banks and bankers.. 20, 000. 00 105, 909. 35 Dividends unpaid 725. 72 Individual deposits 2, 695. 00 United States deposits 436. 70 Deposits of U.S.disbursing officers. 13, 726. 25 21, 800. 00 Notes and bills rediscounted. Bills payable 846. 00 Liabilities other than those above stated 50, 000. 00 $322,363.34 I " " i 8 , " 800." 66 "I 523, 768.17 Total . 8, 975.15 15, 660. 00 60,671.61 11, 231.04 9.00 302, 221.37 523, 768.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1025 PENNSYLVANIA. First National Bank, Stewartstown. No. 4G65. THOS. B. FULTON, President. CYRUS TV. COE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. !S. bonds on liand Premium s on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfixtures Other real estate and morfcg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $97, 854.18 72.09 13, 000. 00 Capital stock paid in 1,468. 32 574.54 3,380.16 300.61 10, 000. 00 Due to other national banks Due to State banks and bankers.. 1, 235. 00 858. 87 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 50.66 20.54 11, 873. 50 117. 00 585. 00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding Notes and bills rediscouuted Bills payable 1,041.30 11, 70U.00 50.00 51,880.71 5,000.00 Liabilities other than those above j s tated 130, 530. 94 Total A. R. BLACK, President. Liabilities. Total 130, 530. 94 First National Bank, Strasburg. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and ti xtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from TreasurerU. S GEO. TV. HENSEL, Cashier. 2700. I Capital stock paid in $80,000. 00 \ i Surplus fund 17, 000.00 Undivided profits, less current 6, 358. 43 expenses and taxes paid 2,400.00 National-bank notes outstanding.. 18, 000. 00 27,273.63 State-bank notes outstanding 875.00 Due to other national banks 2, 455. 01 No. $114,407.53 107. 66 20,000.00 162.35 j Due to State banks and bankers.. 44,120. 33 I 2.08 ! Dividends unpaid ""'ios'oo'i i Individual deposits 102, 696. 29 61.75 i United States deposits 9.053.60 \ ! Deposits of U.S.disbursingofficers. 2,855.00 ; Notes and bills rediscounted. Bills payable 900." 66* Liabilities other than those above j stated | 226,854.73 || Total . 345.00 Total . 226, 854. 73 First National Bank, Stroudsburg. FRANK H. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ; Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estateand mortg's ownedj Due from other national banks I Due from State banks and bankers. j Due from approved reserve agents, j Checks and other cash items I Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents. j Specie j ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S.! Due from Treasurer U, S j Total . CUR, PT 2 - -65 WM. GUNSAULES, Cashier. No. 2787. $194,797. 36 [ | Capital stock paid in , $50, 000.00 641. 50 15, 000. 00 25.000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 8, 404. 95 21, 220. 00 2, 375.00 National-bank notes outstanding.. I j 28, 000.00 State-bank notes outstanding 8, 000. 00 j 21, 492. 93 1, 000. 00 Due to other national banks 2, 024. 57 Due to State banks and bankers. J 13. 08 j 15. 00 49,647. 05 j Dividends unpaid 4,188.17 \ 220, 014. 06 • Individual deposits | 625. 00 United States deposits 104. 61 Deposits of U.S.disbursingofficers. '< 12,405. 60 | 5,900.00 ;: Notes and bills rediscounted '• | 1,125.00 : Bills payable 300.00 Liabilities other than those above | stated ! 336,146. 94 Total . 336,146. 94 1026 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Stroudsburg National Bank, Stroudsburg. PETER M. EILENBERGEE, President. No. 3632. JOHN S. FISHER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal- tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $329, 672. 72 450.75 60, 000. 00 Capital stock paid in 000. 00 100, "765*00 71.60 22, 415. 50 10, 850. 00 00 00 38. 60 36 Individual deposits United States deposits Deposits of U.S.disbursing officers. 84,171. 88 117. 08 00 9, 590. 36, 000. Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 000. 00 16, 850. 00 16,000. 00 35,600.04 18, 344. 30 000. 297, 561. 91 582, 008. 87 012. 327. 517.00 Notes and bills rediscounted Bills payable "2,"766.'6o* Liabilities other than those above stated 582,008.87 j Total . $100, Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . First National Bank, Sunbury. No. S. J. PACKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on hand j Premiums on U. S. bonds ; Stocks, securities, etc Bank'g bous6,furniture,aiidtixt u res' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.! Due from approved reserve agents.! Checks and other cash items ! Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents.; : Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . 1237. G-. AY. DEPPEN, Cashier. $397,123. 27 | Capital stock paid in.. . 357.25 50, 000. 00 Surplus fund j Undivided profits, less current j 150, 000. 00 expenses and taxes paid j 8, 812. 50 i National-banknotes outstanding. | ! 35, 000. 00 1 State-bank notes outstanding 3. 32, 39, 343, 5. $200, 000. 00 40, 000. 00 159,502.67 20, 300. 00 700. 00 ji Due to other national banks 655. 38 ji Due to State banks and bankers.. 930. 61 612. 31 I: Dividends unpaid 454. 67 18, 356. 36 44. 99 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 736, 229. 95 42, 988. 00 2,799.16 41, 593. 50 22, 000. 00 3, 842. G8 Notes and bills rediscounted Bills payable 2, 250." 00" Liabilities other than those above stated 1,178, 270. 65 Total 1, 178, 276. 65 First National Bank of Susquehaima Depot, Susquehanna. M. IT. EiSMAN, President. No. 1053. C. F. WEIGHT, Cashier. Loans and discounts j $336, 650. 45 ! Capital stock paid in. ; $100,000. 00 Overdrafts j 383. 59 U. S. bonds to secure circulation...! 50,000. 00 \ Surplus fund 25, 000. 00 ;! Undivided profits, less current ; U. S. bonds to secure deposits ! ! expenses and taxes paid ' U. S. bonds on hand " . \ 43, 460. 00 Premiums on U. S. bonds 4, 500. 00 !l National-bank notes outstanding-: ; Stocks, securities, etc j 24, 257.29 State-bank notes outstanding Bank'g house, furniture, and fixtures 8, 700.00 Other real estate and mortg's ownedj 6, 654.00 Due to other national banks j 24, 609. 85 Due from other national banks i 2, 895. 3.5 Due to State banks and bankers.. 1, 038.90 Due from State banks and ban kers. | 6, 089. 62 Due from approved reserve agents.! 38,110, 40 Dividends unpaid 60. 00 Checks and other cash items 931. 92 Exchanges for clearing house Individual deposits 328,167. 25 Bills of other national banks 3 530. 00 ' United States deposits Fractional currency, nickels, cents.: 18. 05 Deposits ofU.S.disbursing officers.! Specie ! 28,780.35 ' Legal-tender notes 8. 585. 00 Notes and bills rediscounted U. S. certificates of deposit Bills payable , '• Redemption fund with Treas. U. S. 2, 250. 00 Liabilities other than those above Due from Treasurer U. S stated Total . Total . 522, 336. 00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 2 7 PENNSYLVANIA. City National Bank. Susquehaima. No. CHARLES SCHLAGER, President. 3144. L E GRAND BENSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . $125, 282. GO 204. 30 25, 500. 00 2,300 00 861.23 1. 307. 27 11.000.00 2. 289. 59 11,931.09 307. 69 """675." 66" 38. 62 14, 575. 00 3, 475. 00 1,147.50 200, 894. 89 Capital stock paid in. ..I $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding.! ! State-bank notes outstanding Due to other national banks Due to State banks and bankers. -i Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingotficers. 10, 000. 00 570.: 0 22, 950. 00 2. H86. 92 5, 090. 08 109. 391. 53 Notes and bills 1 ediscounted Bills payable Liabilities other than those above stated Total . 200, 894. 89 First National Bank, Tamaqua. EMANUEL J . FRY, President. No. 1219. Loans and discounts ! Overdrafts i U. S. bonds to secure circulation...; TJ. S. bonds to secure deposits.... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixtures' Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. »S. Due from Treasurer TJ, IS Total . $130, 316. 50 604.49 100, 000. 00 5,500. 00 37, 817. 00 10,000.00 1, 777.19 19,187. 65 108, 389. 80 303. 71 WALLACE GUSS, Cashier. Capital stock paid in. $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50,000.00 Due to other national banks | Due to State banks and bankers.. | Dividends unpaid 17, 694. 00 1,130. 77 17, 573. 08 90, 000. 00 Individual deposits j United States deposits !. j Deposits of U. S.disbursing officers.j. ! i Notes and bills rediscounted |. 3, 780. 00 Bills payable Liabilities other than those above 1,630.00 52. 32 11.914. 00 0, 800. 00 161, 674. 21 stated 438, 072. 60 Total . 438, 072.66 National Bank, Tarentum. J . W. HEMPHILL, President. Loans and discounts..: Overdrafts . ; U. S. bonds to secure circulation... j U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,aiidfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agen t s., Checks and other cash items ' Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer, I r , H Total . No. 4453. $93,494.10 jj 39.12 jl 12,500.00 ! 1 250.00 , 9 7(55. 90 , 14, 300.00 32, 578. 75 2. 013.59 22. 102.51 38. 27 235. 00 104. 40 3. 097. 30 1,085. 00 502. 50 193,166. 44 O. C. CAMP, Cashier. Capital stock paid in. i $50, 000. 00 Surplus fund i Undivided profits, less current expenses and taxes paid | National-bank notes outstanding. State-bank notes outstanding. 10, 000. 00 4, 652.! 3 11,250.00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers. Notes and bills rediscounted Bills pavable Liabilities other than those above stated Total . 117, 263. 51 193,106. U 1028 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Second National Bank, Titusville. No. 879. CHARLES HYDE, President. Louis K. HYDE, Cashier Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaibanks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 5, 000. 00 130, 702. 14 30, 000. 00 15, 597. 27 46,532.11 40,780.27 75. 50 3,679.66 371.06 37, 886. 70 10, 740. 00 2, 250. 00 1,607.40 Capital stock paid in Dividends unpaid Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $668, 603. 90 2, 714. 50 125, 000. 00 5, 873. 11 44, 090. 00 6, 137. 86 234, 938. 80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 691, 039. 77 N. N . BETTS, Cashier. Capital stock paid in. $125, 000. 00 Surplus fund Undivided profits, less current 250. 00 expenses and taxes paid 13, 535. 00 National-bank notes outstanding. 41,056.71 State-bank notes outstanding 16, 700. 00 15, 050. 00 Due to other national banks 20, 763. 06 Due to State banks and bankers. 5, 776.12 93, 662. 64 Dividends unpaid 512.39 Individual deposits 2, 355. 00 United States deposits 234. 94 Deposits of U.S.disbursing officers 49, 408. 07 10, 207. 00 Notes and bills rediscounted. Bills payable 5, 625. 00 Liabilities other than those above stated 100, 000. 00 1, 071, 454. 33 Total . 100. 000. 00 j Individual deposits United States deposits Deposits of U.S.disbursingofficers. First National Bank, Towanda. No. 39. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding, j State-bank notes outstanding | Due to other national banks \ Due to State banks and bankers..i 691,039.77 Total . CHAS. L. TRACY, President. $315, 180. 56 637. 76 50, 000. 00 Total 12,047. 63 110, 880. 00 31,376.73 12, 892. 47 75.00 679,182. 50 1,071,454.33 Citizens' National Bank, Towanda. E. O. MACFARLANE, President. No. 2337. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit j Redemption fund with Treas. LT. S.j Due from Treasurer TJ. S j Total i J . K. NEWELL, Cashier. $451,975.91 j: Capital stock paid in j 1.280.57 !: 65,000.00 j Surplus fund Undivided profits, less current 9,000.00 ! expenses and taxes paid 9.620.00 ! National-bank notes outstanding. 34.316. 19 i State-bank notes outstanding 28.700.00 : 8. 100 00 i Due to other national banks \ 11,593.83 i Due to State banks and bankers..! 6,454.62 : i 64,779.35 4,456.15 ! Dividends unpaid 290. 00 327.11 24,132. 55 10, 310. 00 2, 925. 00 1, 300. 00 734. 561. 28 Individual deposits United States deposits Deposits of U.S.disbursingofficers. $150,000. 00 45, 000. 00 5, 240. 21 58, 500. 00 10, 430. 31 2,190. 51 16.00 463,184. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated : Total 734, 561. 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1029 P E N SYLV AXIA . First National Bank, Troy. JOB MOKLEY, President. N o . 4984. G S. LITTLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k' g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks i Fractional currency, nickels, cents - i Specie j Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S.i Due from Treasurer U. S ' Total. Liabilities. $56, 602.85 12, 500. 00 1, 593. 75 Capital stock paid in . Surplus fund Undivided profits, less current j expenses and taxes paid < National- bank notes outstanding. j Statt5-Ua.uk notes outstanding I $50, 000, 00 987 10 11. 250, 00 1, 500. 00 48. 62 9, 926. 89 549. 57 675. 00 18.39 2, 290 27 1,430.00 Due to other national banks : Due to State banks and bankers..! Dividends unpaid. Individual deposits ' United States deposits Deposits of U.S. disbursing officers.!- 175.19 25, 285. 55 Notes and bills rediscounted... Bills payable 562. 50 Liabilities other than those above stated 87, 697. 84 Total - ', 697. 84 "Wyoming National Bank, Tunkhannock. F. L. SITTSER, President. No. 835. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JOHN B. FASSETT, Cashier. $210,905.22 ii Capital stock paid in 334.53 100, 000.00 || Surplus fund , 1 Undivided p , 1 profits, less current expenses and taxes paid 100.00 National-bank notes outstanding. '29,200.00 j State-bank notes outstanding 8,900.00 j 3,646.08 Due to other national banks 743.43 Duo to State banks and bankers .. 111,357.84 Dividends unpaid 185. 80 Individual deposits ""2," 666." 66" United States deposits 100. 01 Deposits of U.S.disbursingofficers. 25. 486. 00 2, 500. 00 Notes and bills rediscounted. Bills payable...; 4, 500. 00 Liabilities other than those above stated 499, 958. 91 Total . $100,000.00 30, 000. 00 10, 274. 61 90, 000. 00 3, 137, 55 970. 21 265, 576. 54 499,958.91 First National Bank, Tyrone. J. K. CASS, President. Loans and discounts j Overdrafts ! TJ. S. bonds to secure circulation... j TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. j Due from Treasurer TJ. S \ Total. No. 4355. D. S. KLOSS, Cashier. $258, 594.12 Capital stock paid in . $100,000.00 2, 795. 51 41,000. 00 Surplus fund 20,000.00 Undivided profits, Jess current expenses and taxes paid 4, 248. 88 2, 500. 00 National-bunk notes outstanding. 35, 000. 00 39, 583. 76 State-bank notes outstanding 16,000.00 3, 475. 00 Due to. other national banks 7, 759. 58 3,232.32 Due to State banks and bankers.. 5,073.33 862. 06 66, 300. 25 Di v idends unpaid 3,487.97 Individual deposits 302, 691. 67 300.00 United States deposits 500. 52 Deposits of U.S. disbursing officers. 24, 941. 95 9,355.00 Notes and bills rediscounted j Bills payable 1, 845.00 I Liabilities other than those above stated 474,773. 46 Total. 474, 773. 46 1030 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Uniontown. No. 270. J . V. THOMPSON, President. E. S. HACKNEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits ; IT. S. bonds on hand Premiums on U. S. bonds ' Stocks, securities, etc Bank'ghouse,furuiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. ('hecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. V. S Due from Treasurer U. S Total . $809,763. 51 I Capital stock paid in $100,000.0(1 2, 784.50 25, 000. 00 ! Surplus fund 251,000.0(1 Surplus fund. i Undivided profits less current | 10, 148. 42 : ex penses and taxes p a i d . . . | 22 500.00 i National-bank notes outstanding.j 25. (N'0. 00 ! State bank notes outstanding I21,700.00 Due io other national banks 11,161.70 3,:U)8. 10 1, 860 O) f :;.3O3.18 Due to State banks and bankers.. 80. 00 7,930. 01 Dividends unpaid ! 1.020 73 601,390. 81) ; Individual deposits de 501. 50 jj Deposits of IT.S.disbursingoflieers. 1 . ited States (* 05 014.89 8, OB.'!. 00 Notes and bills rediscounted. Hills pavable Liabilities other than those above 1.058, 141. 06 Total . 1,058, 141.66 National Bank of Fayette County, Uniontown. No. 681. JOHN K. EWING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation -.. IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U . S . certificates of deposit , Redemption fund with Treas. U. S. l Due from Treasurer U. S Total. M. II. BOWMAX, Cashier. $173, 780. 40 • Capital stock paid in $100,000.00 3, 51.3. 58 j 100. 000. 00 i Surpl us fund 150, 000. 00 Undivided profits, less current expenses and taxes paid 4,001.13 4, 000. 00 National-bank notes outstanding. 88. 800. 00 01, 382. 04 State-bank notes outstanding 15, O00. oo ::. 080. 07 Due to other national banks 529.40 Due to State banks and bankers. J 226. 25 43. 146. 26 Dividends unpaid 260. 25 16. 148. 90 Individual deposits ! 480, 254. 45 580. 00 i; United States deposits 245. 91 j; DepositsofU.S.disbursiugotficersJ 51,000.35 23,940. 00 j Notes and bills rediscounted.. !I Bills payable 4, 500. 00 !| Liabilities other than those above | stated |. 831,979.76 Total . 831,979.76 First National Bank, Verona. R. D. ELWOOD, President. Loans and discounts ! Overdrafts i U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers.! Due from approved reserve agents.! : Checks and other cash items Exchanges for clearing house Bills of other nationalbanks ' Fractional currency, nickels, cents. i Specie ] Legal-tender notes i U. S. certificates of deposit ! Redemption fund with Treas. U.S.! Due from Treasurer U. S I Total. A. B. LEDWITH, Cashier. No. 4877. $117,754.33 Capital stock paid in $50,000.00 1. 80 12,500. 00 Surplus t'mid 4, 250. 00 Undivided profits, less current expenses and taxes paid 1,671.83 1, 500. 00 National-bank notes outstanding. 11, 247. 50 975. 78 State-bank notes outstanding 1, 245. 00 Due to other national banks Due to State banks and hankers. 16, 727.14 Dividends unpaid 6.00 62. 92 Individual deposits j 89, 876. 21 105. 00 United States deposits j. 148. 57 Depositsof IT .S.disbursing officers. |. 3, 097.50 2,371.00 Notes and bills rediscounted. Bills payable 562.50 ! | Liabilities other than those above \ stated 157,051.54 Total . 157, 051.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1031 PENNSYLVANIA. First National Bank, "Warren. No. 520. F. H. ROCKWELL, President. F. K. RUSSELL, Cashier. Resources. Liabilities. $329,929.00 i! Capital stock paid in Loans and discounts ! j $100, 000. 00 3,043.94 j! Overdrafts I 100,000.00 l Surplus fund j U. S. bonds to secure circulation... | 20, 000.00 TJ. S. bonds to secure deposits Undivided profits, less current i IT. S. bonds on hand expenses and taxes paid ! 11,037.71 Premiums on U. S. bonds National-bank notes outstanding.! 90, 000. 00 12.528.70 1 State-bank notes outstanding 1 Stocks, securities, etc 14,966.64 i! Bank'g house, furniture, and fixtures 34.414.51 Due to other national banks Other real estate and mortg's owned | 29, 803.88 1,152.04 Due from other national banks 5. 938.94 1. 768.21 ji Due to State banks and bankers:.' Due from State banks and bankers.! 42.336.84 H Due from approved reserve agents. j 329.55 1 Dividends unpaid 1 Checks and other cash items Exchanges for clearing house ;... 309, 564. 95 1,250.00 ji Individual deposits Bills of other national banks j 379.45 ji United States deposits Fractional currency, nickels, cents. j 19,926.00 ;| Depositsof U.S.disbursingofficers.\ Specie j 2, 500.00 : Legal-tender notes j Notes and bills rediscounted • U.S. certificates of deposit '... Redemption fund with Treas. U. S. j \ 1. 820. 00 ! Bills payable Due from Treasurer U, S -Liabilities other than those above j stated ! Total ; 566, 345. 48 566, 345.48 Total . Citizens' National Bank, "Warren. No. 2220. MYRON WATERS, President. j Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand ;. Premiums on U. S. bonds Stocks, securities, etc Bank'gho use, furniture, andfixtures Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers, i Due from approved reserve agents., Checks and other cash items J Exchanges for clearing hous Bills of other national banks Fractional currency, nickels,cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. 1). L. OBBOULD, Cashier. $206,602.65 Capital stock paid in $150, 000. 00 3,148. 72 37, 500. 00 Surplus fund 30, 000.00 Undivided profits, less current expenses and taxes paid 9, 832. 72 2, 900. 00 National-bank notes outstanding. 33, 750. 00 11,111.22 State-bank notes outstanding 39,616.71 4, 000, 00 Due to other national banks 8.813.16 11,625.70 Due to State banks and bankers.. 3.311.57 2,409.95 50,556.05 l! Dividends unpaid. !j 478.85 Individual deposits , 158.097.09 i j United States deposits 234.54 1 Deposits of U.S.disbursingoftieers.' 1 6. 759. 65 15,173. 00 I Notes and bills rediscounted I! Bills payable ; "i,*687.'56' Liabilities other than those above stated 393,804.54 ji Total . 393, 804. 54 "Warren National Bank, Warren. No. 4879. G-. N. PARMLEE, President. F. E. HERTZEL, Cashier. Loans and discounts | $408, 658.47 i Capital stock paid in. $150, 000. 00 Overdrafts I 3,745.21 U. S. bonds to secure circulation... 55, 000. 00 Surplus fund 5, 500.00 U. S. bonds to secure deposits Undivided profits, less current 7. 725. 50 TJ. S. bonds on hand |j expenses and taxes paid 49, 500. 00 Premiums on U. S. bonds 6, 500. 00 | j National-bank notes outstanding. Stocks, securities, etc 28, 500. 00 j!State-bank notes outstanding Bank'ghouse,furniture,andfixturcsj 3,316.06 '| 11,997.19 Other real estate and mortg's owned ! Due to other national banks i 1, 569. 53 Due from other national banks j 6,927.01 Due to State banks and bankers..j Due from State banks and bankers.j 12, 212.17 24.00 Due from approved reserve agents.I 105, 078.55 Dividends unpaid Checks and other cash items | 1, 563. 53 430, 838.87 Exchanges for clearing house [ |j Indi vidual deposits Bills of other national banks I 520. 00 { United States deposits I j Fractional currency, nickels, cents. j 491. 39 I Depositsof U.S.disbursingomcers. Specie 1 , 5,593.00 || ' Legal-tender notes j 16, 574. 00 Notes and bills rediscounted U. S. certificates of deposit '• Bills payable ! Redemption fund with Treas. U.S.! 2,475. 00 Due from Treasurer U, S j ' . 70 j Liabilities other than those above i stated i Total i 657,155. 09 Total. G57,155. 09 1032 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Washington. A. MURDOCK, President. C. S. RITCHIE, Cashier. No. 586. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture,and fixtures! Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationallbanks Fractional currency, nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT, S Liabilities. $612,018.54 2,239.55 150, 000. 00 15,000.00 27, 790. 25 25, 000. 00 5, 482. 20 2, 057. 22 14.943.25 179, 309. 39 048. 65 Capital stock paid in 120, 000. 00 44, 846. 76 135, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 934.30 7, 392. 21 Individual deposits 5, 200. 00 United States deposits 327. 86 j Deposits of U.S.disbursing officers. 645, 966. 9f 40,130. 00 17, 500. 00 6, 750. 00 740. 00 996. 75 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,105, 136. 97 Total . $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 1,105,136.97 Citizens' National Bank, Washington. JOHN W. DONNAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea3. U. S. Due from Treasurer U, S Total. No. 3383. Capital stock paid in. :, 660. 85 i, 088. 98 », 000. 00 000. 684. 000. 613. 784. 00 75 00 38 50 , 246. 34 89. 39 100. 00 36.40 100. 00 000. 00 N. R. BAKER, Cashier. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 871.52 5, 827. 55 Individual deposits United States deposits Deposits of U.S.disbursing officers. 482, 786. 26 756. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 730, 529. 59 730, 529. 59 Farmers and Mechanics' National Bank, Washington. G. "W. ROBERTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bai-k'ghouse,furniture,andfixtures| Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. ('hecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4181. $195, 096. 41 1,252.92 25, 000. 00 2, 500. 00 W. L. WHITING, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 262. 89 22, 500. 00 Due to other national banks Due to State banks and bankers.. 1, 778.£ 20, 000. 00 2, 771. 51 60,140. 73 139.15 44, 263. 26 1, 263. 91 Dividends unpaid Individual deposits 1, 970. 00 United States deposits 108.64 Deposits ol U.S. disbursing officers. 25,100. 00 9, 000. 00 Xotes and bills rediscounted Bills payable 1,125.00 1, 000. 00 Liabilities other than those above stated 370,731.53 Total. 708.00 223,481.76 370, 731. 53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1033 PENNSYLVANIA* Farmers' National Bank, Watsontown. E N O S EVERITT, President. No. 3459. HIRAM DUNKEL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house, furniture,and fixtures Other real estate and mortg's owned j Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S-! ! Due from Treasurer U. S Liabilities. $81, 772. 85 Capital stock paid in I 201.75 j : 27, 500. 00 | Surplus fund \ i| Undivided profits, less current i j expenses and taxes paid ! 2,625.00 !! National-bank notes outstanding.! : 7,000. 00 |; State-bank notes outstanding 5,200.00 i! I ! 14, 096. 52 Due to other national banks 118. 23 Due to State banks and bankers.. 20, 820.10 ! | Dividends unpaid ' 660.94 1 1 19,000.00 1, 662. 85 24, 750. 00 2, 428. 02 169.40 938. 00 j I! Individual deposits i United States deposits ' I DepositsofU.S.disbursingofficers. 1 1 |j 1 Notes a nd bills rediscounted 1 1 Bills payable < 1,237.50 j Liabilities other than those above stated 70,602.70 685. 00 44.78 5,550.30 2, 038. 00 169,550.97 Total . $50, 000. 00 Total. 169, 550. 97 Watsontown National Bank, Watsontown. THOMPSON BOWER, President. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc ! Bank'ghouse,furniture,andfixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ, S No. 2483. $122,958.59 521.93 60. 000. 00 $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 500. 00 National bank notes outstanding. J | State-bank notes outstanding 4,000.00 || ! Due to other national banks 4, 555. 88 Due to State banks and b a n k e r s . . 37,674.73 Dividends unpaid 2,137.81 Individual deposits 2, 000. 00 United States deposits 230. 39 DepositsofU.S.disbursingofficers. 10, 726. 00 665. 00 Notes and bills rediscounted I j * "2,"700. 66'j Bills payable Liabilities other than those above ; stated I 39, 000. 00 251,670.28 Total. G. W . ROMBACH, Cas, Capital stock paid in. Total . 2, 442.14 54, 000. 00 7. 625.19 18, 602. 95 251,670.28 People's National Bank, Waynesboro. D A N I E L HOOVER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S , , Total . No. 4445. $247, 453. 02 .33 25, 000. 00 2, 500. 00 17, 350. 00 10 724.87 J . H. STONER, Cashier. Capital stock paid in i $100, 000. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid National-bank notes outstanding.I State-bank notes outstanding j 33, 333. 00 Due to other national banks " 4," 070." 34* Due to State banks and bankers..] 9, 924. 68 48, 210. 89 Dividends unpaid ' 762. 51 ! Individual deposits *95O."66" United States deposits 65.33 Depositsof U.S.disbursingofficers. j 12,173. 20 3, 050. 00 Notes and bills rediscounted ! Bills payable | i "l," 125." 66" Liabilities other thari those above ! stated ! 383,366.17 Total. 6, 362. 73 21,500. 00 12,130. 58 1,882.78 208,157.08 383, 366.17 1034 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E W I S V I. V A N I A . V Citizens' National Bank, Waynesburg. W. P. HOSKINSON, President. No. 42G7. J. C. GAHARD, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on XJ. S. bonds Stocks, securities, etc i Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers.; Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. i Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, I S Liabilities. $268, 584. 94 9, 042. 77 18.750. 00 ! $75, 000. 00 Surplus fund Undivided profits, less c u r r e n t ! l expenses and taxes paid 2, 100. 00 !| National bank notes o u t s t a n d i n g . 20 S06. 53 i; State-bank notes o u t s t a n d i n g j 1,210.47 Due to other national b a n k s 251.80 Due to State banks and b a n k e r s . . 20.61 ! 130.819. 25 Dividends unpaid , 5.38:5.43 Individual deposits United States deposits 1. 015. 00 Deposi t s of U. S disbursing officers. 172. ^6 11,077.05 17,015.00 Notes and bills rediscounted.. Bills payable 84:*. 50 Liabilities other than those ab< stated Capital stock paid in 50,000.00 505, 099. 21 Total Total (5. 719. 78 15, 570.00 7, 809. 43 505, 099. 21 Farmers and Drovers' National Bank, Waynesburg. GEO. L. WYLY, President. No. 839. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits XJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Baiik'gbouse,furniture,andiixtures Other real estate and mortg'so wned Duo from other national banks Due from State banks and bankers Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other nationallbanks i Fractional currency, nickels, cents. j Specie I Legal-tender notes l IT. S. certificates of deposit Redemption fund with Treas. XJ. S. j Due from Treasurer XT, S < 102, 908.91 2, 940. 00 3,460. 00 201. 25 4, 200. 00 25, 000. 00 Dividends unpaid $150, 000. 00 55,000.00 3,374. 31 90, 000. 00 649. 00 Individual deposits United States deposits p DepositsofU.S.disbursingofficers. . 319,458.94 Notes and bills rediscounted. Bills payable 4, 500. 00 Liabilities other than those above ; ] stated 618, 482.25 Total . J. B. F. RINKHART, Cashier. #308, 087. 76 .; Capital stock paid in 3, ioo. < 8 :i > 100,000.00 i! Surplus fund : Undivided profits, less c u r r e n t ; ! expenses and taxes paid 1 National-bank notes outstanding.! 37. 170. 51) State-bank notes outstanding I 10,350.00 i 15,528.43 Due to other national banks 434. 33 Due to State banks and bankers. Total . 618, 482. 25 Tirst National Bank, Wellsboro. J . M. ROBINSON, President. "No. 328. Loans and discounts ! Overdrafts ' XT. S bonds to secure circulation... I XJ. S bonds to secure deposits j XJ. S bonds on hand Premiums on X . S. bonds T j Stocks securities, etc | Bank g house, furniture, andfixturesj Other real estate and mortg's owned) Due from other national banks — Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XJ. S Total. H E N R Y C. COX, Cashier. Capital stock paid in i $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid... • National-bank notes outstanding. State-bank notes outstanding j 100,000.00 Due to other national banks i Due to State banks and bankers.. Dividends unpaid Total . 8, 853. 27 1, 990. 28 ; Individual deposits United States deposits i DepositsofU.S.disbursingoflicers.' Notes and bills rediscounted Bills payable Liabilities other than those above I ! stated 836,812.07 42, 297. 36 20, 800. 00 542, 865.16 20, 000.00 836, 812. 07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1035 PENNSYLVANIA. Wellsborough National Bank, Wellsboro. H. J LANDRUS, President. No. 1-1938. W. I>. VAN HO.UN\ Cashier. Resources. Liabilitic Loans and discounts Overdrafts ; U. S. bonds to secure circulation .. IT. S- bonds to secure deposits.. U. S. bonds on hand Premiums on C, S. bonds Stocks, securities, etc Bank ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents ; Checks and other cash items Exchanges for clearing house Bills of other national jbanks fractional currency.nickels cents. Specie ".'. ; Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total '> $162 065 29 5. 612. 01 12 500. 00 Capital .stock paid in 1, 025. 00 11, 490. 00 I $50. 000. 00 Surplus fund 'Undivided profits, less current expenses and taxes paid \ National bank notes outstanding.; State bank notes outstanding 4, 000. 00 1, 802, 23 11,250.00 Due to other national banks 1, 78(5 02 1, 4150. 41 Due to State banks and bankers.. 18. 007. 51 1, 085 01 Dividends unpaid 3, 228. 23 Individual deposits 9<>. 40 United States deposits 6, 172. J 5 Depositsof U.S.disbursingottieers 12.163. 00 i Notes and bills rediscounted 562 50 Bills payable 800. 00 Liabilities other than those above st ated 164, 556 2> ! 235,989 30 1,152. 55 235, 989. 30 Total. First National Bank, West Chester. AVM. WOLLERTON. President. ; Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house,furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents.; Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.! Specie '. j Legal-tender notes j U. S. certificates of deposit : Redemption fund with Treas. U. S.j Due from Treasurer U. S ! No. 148. $361, 470. 34 300. 20 50, 000. 00 : Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 3, 450. 00 51, 977. 71 23. 000. 00 745. 00 ! Due to other national banks 30. 854 62 i 10. 21 (J. 28 iDuo to State hanks and bankers.. • 32, 206,06 ' 5, 818. 37 Dividends unpaid I! Individual deposits ; 1.120.00 ',[ United States deposits 302. 30 |j DepositsofU.S.disbursingofficers40, 868. 60 9, 075. 00 j! Notes and bills rediscounted | Bills payable 2, 250. 00 ! j Liabilities other than those above ' stated 623,744.48 Total. F, W. "WOLLEBTON, Cashier. Capital stock paid in $200,000. 00 51, 000. 00 14, 855. 82 43, 010. 00 1,251.76 36. 00 313,590.90 623,744.48 Total. Farmers' National Bank, West Chester. H. B. BUCKWALTEE, President. Loans and discounts j Overdrafts i U. S. bonds to secure circulation. ..j U. S. bonds to secure deposits \ U. S. bonds on hand I Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items , Exchanges for clearing house ; Bills of other national banks j Fractional currency, nickels, cents.1 Specie ; Legal-tender notes i U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2857. WILLIAM DOWLIN, Cashier. $221, 273.16 |; Capital stock paid in. 175.44 |! 25, 000. 00 j Surplus fund | Undivided profits, less current I expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 14, 450. 00 State bank notes outstanding 1,000.00 600.00 2, 976. 51 25, 000. 00 7,124.44 22, 200. 00 Due to other national banks j Due to State banks and bankers..!. Dividends unpaid. 4, 222.60 | Individual deposits I United States deposits ! : DepositsofU.S.disbursingofncers-! 137, 459. 92 5, 657. 44 9, 024.10 1, 255. 00 120.96 18, 643.35 2, 200. 00 $100, 000. 00 Notes and bills rediscounted. Bills payable 10, 000. 00 1,125.00 Liabilities other than those above stated 306,006.96 !| Total. 306. 006. 9 1036 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E N N S 1 L V A XI A • National Bank of Chester County, West Chester. W M P. MARSHALL. President No. 552. I. CARY CARVEE, Cashier. Resources. Liabilities. $622, 410. 22 114.35 155,000. 00 Loan? and discounts ' Overdrafts j IJ. S bonds to secure circulation...!I U. S. bonds to secure deposits U. S- bonds on hand ' Premiums on U S bonds Stocks, securities etc . Bank g house.furniture.andfixtures Other real estate and mortg's owned Due frun other national banks I .Due from State banks and bankers.! Due from approved reserve agents.! Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. 137.015.00 9, 000. 00 80, 950. 07 0,004.49 0. 275. 00 180. 27 47. 730. 75 5,570.00 6,975,00 Capital stock paid in T $225, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid I National-bank notes outstandingState-bank notes outstanding ! Due to other national banks Due to State banks and bankers..! Dividends unpaid i Individual deposits ' United States deposits !. Deposits of U.S.disbursingofficers. 100, 000. 00 8, 456. 56 138,600.00 32,122. 70 472. 50 621,661,94 Notes and bills rediscounted ! Bills payable j Liabilities other than those above stated 1,126,313.70 Total 1,126,313.70 National Bank, West Grove. SAMUEL K. CHAMBERS, President Loans and discounts ! Overdrafts i U. S. bonds to secure circulation...! U. S. bonds to secure deposits j . . . U. S. bonds on hand |... Premiums on U. S. bonds ! Stocks, securities, etc !... Bank'ghouse,furniture,andfixtures! Other real estate and mortg's owned . . . Duo from other national banks \ Due from State banks and bankers. J... Due from approved reserve agents.! Checks and other cash items I Exchanges for clearing house I... Bills of other national banks j Fractional currency, nickels,cents. Specie I Legal-tender notes ' U. S. certificates of deposit Redemption fund with Treas. U. S. i Due from Treasurer U. S -- Total. No. 2069. WALTER W. BROWN, Cashier. Capital stock paid in. 1, 500. 00 13,399.34 0, 055. 70 20, 730. 11 8, 251. 75 414.00 212.18 15,910.80 110. 00 562. 50 $50, 000. 00 Surplus fund ' Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding.] State-bank notes outstanding ' 19, 000. 00 Due to other national banks I Due to State banks and bankers.- ; Dividends unpaid ! 7, 375. 75 Individual deposits United States deposits Depositsof U.S. disbursing officers. 3, 355. 32 10, 950. 00 110,639.13 Notes and bills rediscounted Bills payable Liabilities other than those above stated 201,320.20 Total . 201,320.20 First National Bank, "West Newton. H. CBOUSHORE, President No. 5010. JAMES E. BELL, Cashier. ; Loans and discounts $20,719.94 ! Capital stock paid in I Overdrafts 1 j U. S. bonds to secure circulation...! 12, 500. 00 j Capital stock not certified ! U. S. bonds to secure deposits ' I Surplus fund Undivided profits, less current j U. S. bonds on hand I expenses and taxes paid i Premiums on U. S. bonds I 1,546.88 | Stocks, securities, etc \ 243.83 National-bank notes outstanding.! j Ban k'ghouse,furniture, and fixtures 180. 50 \ State bank notes outstanding Other real estate and mortg's owned I Due from other national banks | ! Due to other national banks Due to State banks and bankers..! Due from State banks and bankers. j om S e a s a d b a k s ( 41,815. 50 ! Dividends unpaid. d Due from approved reserve agents.I |_* Checks and other cash items 37. 85 Exchanges for clearing house ! Individual deposits i 3, 343. 0t» | United States deposits Bills of other nationall)anks i 15.60 | Deposits of U.S. disbursing officers.1 Fractional currency, nickels,cents. 2, 319. 00 j Specie 1, 240. 00 ' | Notes and bills rediscounted Legal-tender notes !j Bills payable IJ. S. certificates of deposit J 562. 50 j Redemption fund with Treas. U. S.j ! Due from Treasurer U, S... I Liabilities other tha-Bthost above ' ! stated ; 84, 524. 60 Total . Total . $35,000.00 2, 580.00 11, 250. 00 35, 694. 60 84, 524. 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1037 First National Bank, Wilkesbarre. No. 2736. WM. S. MCLEAN, President. P. M. CARHART, Cashier. Resources. Liabilities. $371, 849.12 ! Capital stock paid in 929.86 I 50,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid 5,000.00 National-bank notes outstanding. 464, 342. 20 State-bank notes outstanding 60, 000. 00 500.00 Due to other national banks 58, 791.15 Due to State banks and bankers.. 17, 954. 02 117,303.32 Dividends unpaid 13,269.51 Individual deposits "'^uh'.oo United States deposits Deposits of U. S.disbursing officers. 350.42 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total 22, 895. 00 44, 717. 00 2,250.66 ! $375, 000. 00 165, 000. 00 10, 952. 78 45,000.00 53, 385. 55 4,170. 73 150.00 585. 637. 54 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,239,296.60 ; 1, 239, 296. 60 Total . Second National Bank, Wilkesbarre. ABRAM NESBITT, President Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer U, S 85, 000. 00 861,180. 71 37,418.56 3,000.00 29,154.15 16, 786. 29 109, 078. 42 19, 609. 87 12, 000.00 292.13 90, 246. 00 73, 100. 00 20, 250. 00 Capital stock paid in. $450, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 17, 491. 52 405, 000.00 Due to other national banks Due to State banks and bankers. 68, 726. 87 5,109.33 205, 000. 00 288.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 1,451,651.76 44, 890. 04 551.36 Notes and bills rediscounted Bills payable Liabilities other than those above stated 2,648,708.88 I Total . E. W. MULLIGAN, Cashier. No. 104. $791, 574. 68 18.07 450,000.00 50, 000. 00 Total . 2, 648, 708.88 Wyoming National Bank, Wilkesbarre. GEO. S. BENNETT, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banka Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ' Redemption fund with Treas. TJ. S. Due from Treasurer TJ, S Total. No. 732. $474, 097. 36 694.62 50, 000. 00 296, 500. 00 53, 500. 00 97, 382. 01 18,371.01 108, 896.40 17, 790. 84 3, 300. 00 198. 23 81,150. 00 40, 000. 00 GEO. H. FLANAGAN, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 270,000.00 Due to other national banks Due to State banks and bankers.. 6,141.33 63, 174.47 19, 955.41 43, 840. 00 598. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 690,421.26 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities oilier than those above stated 1,244,130.47 Total . 1, 244,130. 47 1038 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Wilkinsburg. A. W. DUFF, President. No. 4728. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on hand ' Premiums on U. S. bonds j Stock s, securities, etc ' Bank'ghousejfurniturejandfixturessj Other real estate andmortg'sownedi Due from other national banks | Due from State banks and bankers.'' Due from approved reserve agents.! Checks and other cash items | Exchanges for clearing house Bills of other ?iationalTbanks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total. P. J. PIERCE, Cashier. I Liabilities. $270,413.61 ;! Capital stock paid in 313.80 12, 500. 00 Surplus fund : 1, 300. 00 34, 948. 53 3, 000.00 132. 02 67, 329." 33 125. 00 .$50, 000. 00 Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding, j State-bank notes outstanding \ Due to other national banks Due to State banks and bankers 20, 000. 00 4, 765. 44 11,250. 00 j Dividends unpaid . 75.00 j Individual deposits j " T 000. 00 I United States deposits 240. 97 Deposits of U.S.disbursing officers' 17, 805. 00 1, 346. 00 Notes and bills rediscounted j Bills payable 562. 50 350.00 Liabilities other than those above stated 325,276.32 411,366.76 I 411, 366. 76 Total. First National Bank, Williamsport. J . A. BEEBER, President. No. 175. W. H. SLOAN, Cashier. Loans and discounts ! $887,191. 06 Capital stock paid in Overdrafts j 4, 201. 77 U. S. bonds to secure circulation...}j 50, 000. 00 Surplus fund U. S. bonds to secure deposits Undivided profits, less current U. S.bonds on hand * expenses and taxes paid ! Premiums on U. S. bonds 4,000.00 National-bank notes outstanding. ; Stocks, securities, etc 25, 720.00 State-bank notes outstanding Bank'ghouse,furniture,and fixtures 32,000.00 Other real estate and mortg's owned Due to other national banks Due from other national banks 72, 456. 79 Due from State banks andbankers. 36, 838. 74 Due to State banks and bankers.. Due from approved reserve agents. 53,909. 90 Dividends unpaid Checks and other cash items 11.134.09 Exchanges for clearing house Individual deposits Bills of other national l>anks United States deposits Fractional currency, nickels, cents. 333. 70 Deposits of U.S.disbursing officers. Specie 22, 455. 37 Legal-tender notes 8,372.00 Notes and bills rediscounted U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S. 1, 860.00 Due from Treasurer U. S Liabilities other than those above stated Total. 1,210,473.42 Total $300,000. 00 200, 000. 00 45, 902. 97 45, 000. 00 78, 298. 80 3, 234. 95 356. 00 537, 680. 70 1,210,473.42 Lycoming National Bank, Williamsport. GEO. BUBB, President. No. 2227. CHAS. GLEIM, Cashier. Loans and discounts $249. 420 *)8 i Capital stock paid in ' Overdrafts 2; 256. 83 75, 000. 00 , I Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits '.. I Undivided profits, less current U. S. bonds on hand •.. ! expenses and taxes paid : 6, 250. 00 National-bank notes outstanding. Premiums on U. S. bonds Stocks, securities, etc State-bank notes outstanding Bank'ghouse,furniture,andfix lures 19, 060" O'j" Otherreal estate and mortg's owned .. Due to other national banks Due from other national banks | '"{,'216'72" Due to State banks and bankers.. Due from State banks and bankers. j 5. 482. 33 Due from approved reserve agents, j 32, 625. 02 Checks and other cash items , 2, 845. ^ : Dividends unpaid Exchanges for clearing house Individual deposits Bills of other national banks ; 60. 00 125.03 ! United States deposits Fractional currency.nickels, cents. Specie 12,587.87 29, 504. 00 ; Deposits of U.S.disbursingofficers Legal-tender notes. Notes and bills rediscounted U. S. certificates of deposit "37375*00' 1 Bills pay ab<M*. Redemption fund with Treas. U. S. 1 Due from Treasurer U, S Liabilities other than those above stated Total. 439,749.03 Total . $100, 000. 00 90,000.00 4,042.67 67,500.00 2,711.93 86. 44 175,407. 99 439, 749. 03 ftlPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 3 9 PENNSYLVANIA. Merchants' National Bank, Williamsport. J . W. MUSSINA, President. Iso. 3705. J . H. BOYEK, Cashier. He sources. Loans and discounts I Overdrafts I U. S. bonds to secure circulation-..I II. S. bonds to secure deposits ]\ TJ. S. bonds on hand ; Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,andh'xturesj Other real estate and mortg'sownedi Due from other national b a n k s . . .. . | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Liabilities. $229,402. 180. 25,000. Capital stock paid in 3, 500. 42, 000. 3,000. 3, 657. 2,106. 16,568. 7, 050. I $100, 000.00 Surplus fund j Undivided profits, less current j expenses and taxes paid j .National-bank notes outstanding, j State-bank notes outstanding ; 26, 000.00 Due to other national banks Due to State banks and b a n k e r s . . 4,317.42 Dividends unpaid 152.50 Individual deposits i United States deposits Depositsof IT.S.disbursing officers J I Notes and bills rediscounted Bills payable ' Due from Treasurer U, S 2, 346.13 22, 500.00 199, 540. 81 Liabilities other than those above ! stated ! Total Total . 354, 886.1 "West Branch National Bank, "Williamsport. H E N R Y C. PARSONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Barik'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie * Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer II. S JsTo. 1505. $699, 650. 95 2, 830. 76 50, 000. 00 6,000.00 10,100. 00 44,711.31 | $100,000. 00 Surplusfund I Undivided profits, less current j expenses and taxes paid • National bank notes outstanding., State-bank notes outstanding j 100, 000. 03 Due to other national banks 27, 977. Si 12, 299. 70 76.560. 67 6, 319. 49 580. 135. 7, 475. 17, 053. 00 08 2;{ 00 2. 250. 00 i Duo to State banks and bankers.., 92, 939. 04 45, 000. 00 20,485. 41 4, 561. 27 Dividends unpaid Individual deposits \ ! United States deposits . Depositsof U.S.disb i using officers. . Xotes and bills rediscouuted JUllspayable !. Liabilities other than those abo stated 963, 944.03 Total . W. H . PAINTER, Cashier. Capital stock paid in Total . 600,958. 31 963,944.03 Williamsport National Bank, Williamsport. ELIAS DEEMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. j Specie Legal-tender n o t e s . * U. S. certificates of deposit Redemption fund with Treas. C. S. Due from Treasurer U. S Total . Xo. 1464. $253,259. 65 988. 73 25, 000. 00 J A S . S. LAWSON, Cashier Capital stock paid in ; Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding., State-bank notes outstanding 28,000.00 ; Due to other national banks "'V, Oil'. 98 \ Due to State banks and bankers. 19.50 59,076.87 : Dividends unpaid 512.97 Individual deposits "779." 66";| United States deposits Deposits of U.S.disbursing officers.' 95.24 .1.0, 844. 35 8,000. 00 || "Notes and bills rediscounted Bills payable 1, 125.00 i Liabilities other than those above j stated j. 392,616.29 ! Total . $100, 000. 00 7, 500. 00 6, 577. 67 22,500. 00 11, 894. 94 244,143. 68 392,616.29 1040 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. East Pittsburg National Bank, Wilmerding. JOHN F. MILLER, President. No. 5000. P . W. MORGAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixtures! Other real estate and mortg'a owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels., cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $51,720.92 ""1*2*560.' 66 1.500.00 13, 084. 55 17 305. 86 9.51 4,620. 00 34.81 5, 640. 35 1, 500. 00 Capital stock paid in Capital stock not certified Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding $40, 000. 00 4, 900. 00 101.87 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. I 52, 226. 03 Notes and bills rediscount ted. Bills payable 562.50 Liabilities other t h a n those above stated Total . 10<5, 478. 50 108, 478. 50 First National Bank. Wrightsville. No. 246. D S. COOK, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds | Stocks, securities, etc \ Bank'ghouse,furniture,and fixtures! Other real estate and mortg' s owned! Due from other national banks I Due from State banks and bankers.' Due from approved reserve agents.) Checks and other cash items j Exchanges for clearing house ! Bills of other national banks ! Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $271,263. 13 3. 855. 25 50,000.00 5,000. 00 5, 265. 00 1,000.00 I 1,250.00 I 7,259,55 L. K . F O N DERSMITH, Cashier. Capital stock paid in. $150, 000. 00 Snrplusfund Undivided profits, less current expenses and taxes paid National bank notes outstanding, j State bank notes outstanding ' 30, 000. 00 22, 710.51 45, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 7,010.04 Individual deposits " l , " 060." 66' United States deposits Deposits of U.S.disbursing officers 150.22 137,428. 04 29, 036. 82 1,666.50 12,021.65 1, 780. 00 2,250.00 !j 703. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 392,858,12 392,858.12 Yardley National Bank, Yardley. THOS. C. KNOWLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned j Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. 1 Checks and other cash items ! Exchanges for clearinghouse j Bills of other national banks ' Fractional currency, nickels, cents. Specie Legal-tender notes. IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer tT. S Total . No. 4207. $79,948.24 25 73 12, 500'. 00 1, 350. 00 20, 455. 00 4, 600. 00 13, 500. 00 397. 74 11,744.35 9.80 Capital stock paid in. JESSE E. HARPER, Cashier. I $50,000.00 Surplus fund | Undivided profits, less current | expenses and taxes paid ! National-bank notes outstanding-1 State-bank notes outstanding.....! 1,301.69 11, 250. 00 Due to other national banks ( Due to State banks and bankers..! Dividends unpaid Individual deposits 740.66* United States deposits 100. 20 DepositsofU.S disbursing officers. 5, 825. 00 1,280.00 ' Notes and bills rediscounted ; Bills payable 562.50 i : Liabilities other than those above j i stated i 153, 038. 56 ! Total . 5, 750. 00 10, 663.67 2.00 64, 071.20 10, 000. 00 153, 038. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1041 First National Bank, York. No. 197. J. D. SCHALL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U.S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, andtixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. j Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J. J. FKICK, Cashier. Liabilities. $601, 056. 57 2,024.31 50.000.00 50, 000, 00 11,500.00 100 803. 07 28, 668. 07 Is,i77*84 2, 044. 67 32. 578. 23 8,433.70 9,345.00 126.91 37, 507. 50 16,730.00 * 2,250"66 Capital stock paid in $300. 000. 00 Surplus fund j Undivided profits, less current I expenses and taxes paid \ National-bank notes outstanding.! State-bank notes outstanding 100, 000. 00 Due to other national banks I Due to State banks and bankers..' Div idends unpaid ! 5. 482. 20 16, 140. 77 Individual deposits ; United States deposits ' Deposits of U.S.disbursing officers.' 421,237.49 38. 185. 91 6,814.09 Notes and bills rediscounted Bills payable 38,230.41 45, 000. 00 !. Liabilities other than those above j stated . 971,245.87 971, 245. 87 Total . Drovers and Mechanics' National Bank, York. ISRAEL F . GROSS, President. No. 2958. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits • U. S. bonds on hand : Premiums on U . S . bonds j Stocks, securities, etc I Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. D u e from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer TJ. S s. Total. $223, 138. 28 29.17 50, 000. 00 5, 375. 00 105, 687. 00 14,075.00 G. K. SCHENBERGER, Cashier. Capital stock paid in \ 11,726.85 45, 000. 00 Due to other national banks i * " 8," 728." 34" Due to State banks and bankers..; 2, 330. 52 9, 880. 75 Dividends unpaid 2, 161. 28 Individual deposits j 200. 00 United States deposits 56. 33 Deposits of U.S.disbursing officers J 22, 559. 75 I 2, 500. 00 Notes and bills rediscounted : Bills payable ' 2, 250. 00 Liabilities other than those above j stated j Total. 448, 971. 42 $100, 000. 00 30, 000. C O Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 4,115. 29 1, 973. 73 25(5,155. 55 448, 971. 42 Farmers' National Bank, York. V. K. KEESEY, President. ! $200, 000. 00 Surplus fund | Undivided profits, less current [ expenses and taxes paid j National-bank notes outstanding. 1 State-bank notes outstanding | 100, 000. 00 ! Due to other national banks Due to State banks and b a n k e r s . . •. Dividends unpaid ! 1,257. 82 Individual deposits 2, 210. 00 United States deposits \. 37. 59 ! Depositsof U.S.disbursingofncers.i 35,531 00 I "" I 1.177.00 I Notes and bills rediscounted ' 4,500.00 j Bills payable Liabilities other than those above stated 191,075.45 Capital stock paid in. 4.000.00 4i 067.15 22. 325. 96 6,068. 49 667.35 40, 913 62 79. 98 610,811.30 Total . CUR? P I 2- E. P. STAIR, Cashier. No. 2228. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc 1 Bank'ghouse,furmture,and fixtures' Other real estate and mortgs owned Due from other national banks | Due from State banks and bankers. j Due from approved reserve agents J Checks and other cash items i Exchanges for clearing house j Bills of other national panks j Fractional currency, nickels, cents, j Specie Legal-tender notes j U. S. certificates of deposit J Redemption fund with Treas. U. S.j Due from Treasurer U. S ; -66 Total. . 28, 478. 03 89, 500. 00 500.00 1042 REPORT OF THE COMPTROLLER OF THE CURRENCY. Western National Bank, York. No. 2303. ALBERT SMYSER, President. 0. .K. LEWIS, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts | U. S. bonds to secure circulation... \ U. S. bonds to secure deposits XJ. S. bonds on hand ; Premiums on U.S. bonds \ ! Stocks, securities, etc Bank'g house, furniture,and fixturesj Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S $275, Oil. 19 I Capital stock paid in ; 557.93 i 150,000.00 ! Surplus fund Undivided profits, less current j expenses and tax"es paid ' 17,687.50 National bank notes outstanding.| 3, 150.00 State-bank notes outstanding ! 2, 500. 00 Due to other national banks \ 875.74 Due to State banks and bankers.. l 4,522.81 55,230.81 ! Dividends unpaid 3,454. 22 Individual deposits 295. 00 | United States deposits 622. 54 •! Deposits of U.S.disbursing officers. j 14,113.75 4, 086. 00 Notes and bills rediscounted Bills payable 6, 750. 00 Liabilities other than those above stated 538,863.49 Total. Total . $150, 000. 00 11, 963.28 5, 523. 00 134, 700.00 8, 148.87 90.00 228, 438. 33 538, 863. 49 York County National Bank, York. W M . S. ROLAND, President. No. 694. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds j Stocks, securities, etc j Bank'gbouse,furniture,andfixturesj Otherrealestate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1,200,169.81 Total. ISAAC A. ELLIOTT, Cashier. $673,043. 55 | Capital stock paid in 3,190.01 300, 000. 00 ! Surplus fund Undivided profits, less current 1 1 expenses and taxes paid 56, 750. 00 National-bank notes outstanding. 33, 986. 00 ; State-bank notes outstanding...!. 35, 000. 00 15, 000. 00 Due to other national banks 14, 405. 97 ; Due to State banks and bankers .. 8, 785. 32 2,103. 55 | Dividends unpaid 12, 555. 64 ; Individual deposits 1, 500. 00 I United States deposits 58.87 I Deposits of U.S.disbursingofficers. 22,871.90 7,419. 00 Notes and bills rediscounted i Bills payable " 1*375*66." 00* j Liabilities other than those above stated Total $300, 000. 00 100, 000. 00 27, 619.40 '270, 000. 00 15, 868. 37 89.07 1,043.20 485, 549. 77 ! l s 200,169.81 York National Bank, York. GRIER HERSH, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on TJ. S. bonds Stocks, securities, etc I Bank'ghouse,furniture,andfixtures; Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house ! Bills of other nationalbanks j Fractional currency, nickels, cents.' Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. SDue from Treasurer U. S Total. No. 604. $813, 839. 77 7, 037. 87 50, 000. 00 W. H. GRIFFITH, Cashier. Capital stock paid in I $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid , 40, 814. 62 2, 601. 81 Individual deposits 10, 805. 00 I United States deposits 17.34 I DepositsofU.S.disbursingofficers. 362, 012. 25 46, 230. 63 19,741.44 19,162. 78 6,186. 23 63,216.18 4, 239. 59 23, 658.10 4,110. 00 2,250.00 I 1, 070, 494. 93 18, 237. 00 45, 000. 00 1, 829. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1,070,494.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE 1043 I S I A WD . Ashaway National Bank, Ashaway. H. L. CRANDALL, President. No. 1150. F. HILL, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts | U. S. bonds to secure circulation...: U. S. bonds to secure deposits U, S. bonds on hand Premiums on II. S. bonds ... Stocks, securities, etc B an k' g house, furniture, andfi K t u res Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers. . Due from approved reserve agents.. Checks and. other cash items _ . . . . Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents.: Specie | Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. ; $09,559.10 ;j Capital stock paid in $100, 105.85 ;|| 25, 000. 00 :| | Surplus fu Surplus fund ndivided p , j Undivided profits, less current ! expenses and taxes paid d 1,300.00 jl National-bank notes o u t s t a n d i n g . 21,200.00 i| State-banknotes outstanding 2,.000. 00 |i ,j Due to other national b a n k s C. 903. 32 ! Due to Stair bunks and bankers L 21 5. 31 Dividends iinpa:d.. 5<>8. 50 Individual d e p o t s 2n(). 00 United Stales dej osits 28. 72 Deposiiuof r.S.di^'mrsingoth'eers ep< 870. on 402. 00 Notes <md bills lvliscounted Bills payable 1.125. 00 Liabilities oilier tli,,n thoseabove ! stated .. 136,087.80 Total 000. 00 150. 10 148.47 5!K). 00 652.10 125. 75 , 111.32 i:;0, 087. 80 First National Bank, Bristol. W. T. C. WARDWELL, President. No. 1292. HEZEKIAIL 'W. CHURCH, Cashier. Loans and discounts. $144, 040. 45 Capital stock paid in . Overdrafts I U. S. bonds to secure circulation...: 25, 000.00 |i Surplu ; U. S. bonds to secure deposits • Undivided profits, less current j LT. S. bonds on hand I expenses ana taxes paid ' Premiums on U. S. bonds National-bank notes outstanding. Stocks, securities, etc State-bank notes outstanding..."-. Bank'ghouse,furniture,and fixtures ]. 500. 00 j Other real estate and mortg's owned; j Due 1 o other national iv.mks Due from other national banks ....' 33, 314. 09 j Due from State banks and bankers. 2,199. 44 Due to State banks and bankers.. Due from approved reserve agents.; 9. 789. 49 ! Checks and other cash items ! 532. 88 | Dividends unpaid Exchanges for clearing house | Bills of other national banks j 1, 250. 00 : Individual deposits United States deposits Fractional currency, nickels,cents. j 49. 09 Depositor U.S.dis i nirsing officers Specie j 10, G85. 00 j Legal-tender notes I 3,500.00 Notes and bills rediseounted ! U. S. certificates of deposit I Bills payable Redemption fund with Treas. U. S.j 1,125. 00 j Duo from Treasurer U. S ' | Liabilities other than those above stated Total. 233, 580. 04 Total i $75, 000. 00 47, 000. 00 3, 138. 23 17,480,00 2, 989.10 10,121.51 402. 00 71, 395. 20 233, 580. 04 National Eagle Bank, Bristol. SAMUEL P . COLT, President. No. 1502. JOHN G-. WATSON, Cashier. Loans and discounts ! $118, 710. 25 !! Capital stock naid in I Overdrafts i 85.83 i ! U. S. bonds to secure circulation ...! 20, 000. 00 || Surplus fund | U. S. bonds to secure deposits ;... ij Undivided profits, less current \ U. S. bonds on hand * i... II expenses and taxes paid I Premiums on U. S. bonds || National-bank notes outstanding J wStocks, securities, etc i 13, 750. 00 ij State-bank notes outstanding ' Bank'ghouse,furniture,and fixtures 2,959. 76 ; i " i Other real estate and mortg's owned . . . j Duo to other national b:-nks ' Due from other national banks | 13, 260. 85 1 Due to State banks and bankers.. ; 1 Due from State banks and bankers, j 8,747.20 !| ; Due from approved reserve agents. 17,144.42 || Dividends unpaid i Checks and other cash items Il 21.37 |i j Exchanges for clearing house ... 'j Individual deposits ; Bills of other national banks J 200 00 ( United States deposits I | Fractional currency, nickels, cents, i 12. 79 i DepositsofU.S.dlshursini'oiiieers.'' Specie .1 3,595.40 I Legal-tender notes j 2,880.00 ! Notes and bilks rediseounted. U. S. certificates of deposit Bills payable Redemption fund with Treas. U. S.I 900.00 !| Due from Treasurer U. S »...!... 1 Liabilities other than those above j 1 1 stated 1 !. Total. 202,282.96 Total . $50, 000. 00 30, 000. 00 20, 815. 81 18, 000. 00 581.12 40.00 82. 810.03 202, 282. 96 1044 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Centreville National Bank of Warwick, Centreville. GEO. B. WATERHOUSE, President. No. 1284. M. FIFIELD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... | IT. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house,furniture.and fixturesi Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents Checks and other cash items j Exchanges for clearing house Bills of other national banks ! Fractional currency, nickels, cents, j Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due fro:*. Treasurer U. S Liabilities. $152,827.51 .70 26,000. 00 Capital stock paid in Surplus fund j Undivided profits, less current j expenses and taxes paid • National-banknotes outstanding.! State-bank notes outstanding 10, 375. 00 2,052. 00 Due to other national banks j Due to State banks and bankers..' Dividends unpaid 228. 78 2,969. 00 44. 84 5, 31)0. 00 4,510.00 0,217.75 20, 784.94 Individual deposits United States deposits DepositsofU.S.disbursing officers. 10,638. 76 41,763.23 780.50 Notes and bills rediscounted Bills payable 1,072. 50 Liabilities other than those above i stated 216,109.09 Total . 10, 467. 44 23,400.00 Total . 216,109.09 Greenwich National Bank, Bast Greenwich. JAMES M.DAVIS, President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds | Stocks, securities, etc j Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers. \ Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house : Bills of other national banks j Fractional currency, nickels, cents I Specie j Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. IT. S.; l Due from Treasurer U. S Total . No. 1405. $72,487. 61 219.55 19.000.00 1 S. M. KNOWLES, Cashier. ! Capital stock paid in. 1 Surplus fund Undivided profits, less current I j expenses and taxes paid ! 1, 500. 00 j National-bank notes outstanding.; : 22.846.97 j State-bank notes outstanding 1,907.78 Due to other national banks ; 5, 363.13 Due to State banks and bankers..; 3,291.91 Dividends unpaid 138.22 \ i Individual deposits 3,471.00 United States deposits \. 1.00 • Depositsof U.S.disbursing officers. . 7, 514. 50 Notes and bills rediscounted Hills payable Liabilities other than those above .stated 138, 551. 67 Total . $60, 000. 00 4, 594. 61 3, 752.54 16, 700. 00 3,177. 54 4, 244. 87 549.50 45, 532. 61 138, 551.67 National Exchange Bank, Greenville. H. E. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... i U. S. bonds to secure deposits-..,... . U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers. . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.! Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Xo. 1498. N. S. WINSOR, Cashier. $182, 219. 05 | Capital stock paid in \: 37, 500. 00* | Surplus fund j Undivided profits, less curren t I expenses and taxes paid 3, 475. 00 j National-bank notes outstanding. State-bank notes outstanding 7,500.00 Due to other national banks 2, 305. 63 Due to State banks and bankers.. 612.50 Dividends unpaid 175. 00 j Individual deposits 465. 00 : 11 nited States deposits 97.07 Depositsof IT.S.disbursing officers 562.00 2,125. 00 !Notes and bills rediscounted Bills payable 1,687.50* 509.50 Liabilities other than those above stated 239, 293. 25 Total . $150,000. 00 30, 000. 00 6,508 54 33, 300. 00 19, 484. 71 2:i9i 203.2 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 4 5 It II O I> £ I S L A N D . First National Bank of Hopkinton, Hope Valley. AMOS G. NICHOLS, President. No. 1054. S. R. RICHMOND, Cashier. Resources. Loans and discounts \ Overdrafts j 17. S. bonds to secure circulation...; U. S. bonds to secure deposits | IT. S. bonds on hand | Premiums on IT. S. bonds ; Stocks, securities, etc j Bank'ghouse,furniture,and fixtures1 Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents. !| Checks and other cash items Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents. j Specie j Legal-tender notes ! IT. S. certificates of deposit •. Redemption fund with Treas. U. S.j Due from Treasurer IT, S Liabilities. $38,707.00 I Capital stock paid i n . . . 106.18 I 75,000.00 s Surplus fund \ Undivided profits, less current j expenses and taxes paid (5. 000. 00 National-bank notes outstanding. 77, 027. 09 State-bank notes outstanding 6, 000. 00 Due to other national banks 10, 258. 02 Due to State banks and bankers.. 5,292.66 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingotncers. 785.00 55.34 3,213.00 685. 00 3,375.00 ! 2.50 I 272. 50 33,183. 37 Notes and bills rediscounted . Bills pavable Liabilities other than those above i stated 226,506.79 | Total . 3, 494. 59 542.19 Total . 226, 506. 79 National Landholders' Bank, Kingston. No. 1158. J . G-. PECKHAM, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... j IT. S. bonds to secure deposits j XT. S. bonds on hand j Premiums on IT. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. I Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit i Redemption fund with Treas. U. S. !j Due from Treasurer IT. S Total. $69, 864. 00 M. F. PERRY, Cashier. Capital stock paid in $105, 000. 00 Surplus fund Undivided profits, less current 50.00 expenses and taxes paid 5, 050. 00 National-bank notes outstanding. 30, 450. 23 State-bank notes outstanding 1,500.00 Due to other national banks 3,185. 21 Due to State banks and bankers 6, 921. 41 766. 79 Dividends unpaid. 21, 000. 00 105,000. 00 550. 00 41.51 ,462. 00 4,725.00 5, 779.83 91, 200.00 728.55 Ind ividual deposits United States deposits Deposits of U.S.disbursing officers 11, 857. 77 Notes and bills rediscounted Bills pavable Liabilities other than those above stated 235, 566.15 Total . 235, 566.15 First National Bank, Newport. T. M. SEABURY, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... ] IT. S. bonds to secure deposits ! j U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc ! Bank'ghouse,furniture, and fixtures' Other real estate and mortg's owned ] Due from other national banks Due from State banks and bankers Due from approved reserve agents. \ Checks and other cash items I Exchanges for clearing house ! Bills of other nationalpanks j Fractional currency, nickels, cents. | Specie Legal-tender notes \ U. S. certificates of deposit ! Redemption fund with Treas. U.S.; Due from Treasurer U. S ! Total . No. 1021. NATH'L R. SWINBURNE, Cashier. $205, 967. 32 Capital stock paid in 2,596.23 120,000. 00 | Surplus fund 50,000.00 i Undivided profits, less current I expenses and taxes paid : I j \ ! National-banknotes outstanding J 5, 591.39 | State-bank notes outstanding 12,000.00 I Due to other national banks L 786. 96 | Due to State banks and bankers.. 73,139. 70 j Dividends unpaid 7,924. 0G • I Individual deposits 1,428. 00 ij United States deposits 1 98.33 1 Deposits of U.S.disbursingofticers. G, 500. 00 j 20,335.00 I Notes and bills rediscounted. i Bills payable 5,400. 00 Liabilities other than those above stated 511,766.99 , Total . 60, 000. 00 7, 212. 94 105,087.50 11,982.51 50.00 166, 909. 99 33, 919. 75 6, 604. 30 511, 766. 99 1046 REPORT OF T H E COMPTROLLER OF T H E CURRENCY. U II O H .3 E $ L, A J D . > 1 * Aquidneck National Bank, Newport. TIIOS. COGGESHALL, President. No. 1546. CIIAS. T. HOPKINS, Cashier. Kesourees. Loans and discounts ' Overdrafts i U. S. bonds to secure circulation. ..: ; U. S. bonds to secure deposits . TT. S. bonds on hand | Premiums on TJ. S. bonds ! Stocks, securities, etc Bank'ghouse,furniture,and fixtures' Other real estate and mortg's owned Duf from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ; Bills of other national banks Fractional currencj', nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total . Liabilities. Surplus fund Undivided profits, less current expenses and taxes paid Xational-bank notes outstanding. State-bank notes outstanding 22, 500.00 Duo to other national banks i Due to State banks and bankers.. i Di vidends unpaid. 25, 821.16 897. 89 45.00 •i Individual deposits ! I United States deposits ! I; Deposits of U.S. disbursing officers.!. 364,590.89 50 000. 00 1!), 900. 00 129,500.01) 04, 000. 00 4, 000. 00 32, 073. 74 7U, 191.04 7<J1. 00 1, 420. 36 40. 00 311.95 12,871.70 20,611.00 $200, 000. 00 ('apital stock paid in $186,71^ 31 470. 25 100,000.00 "*4,"500.'00 , 4, 689. 01 81, 850. 00 : Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 700,393.95 ! 700, 393. 95 National Bank of Rhode Island, Newport. FRED'K TOMPKINS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationarbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 15.32. T. P. PECKHAM, Carhier. $127,672.44 : Capital stock paid in. 2S9.79 i 100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 350.00 National-hank notes outstanding. 173. 705. 00 State-bank notes outstanding 13,500. 00 Due to other national banks Due to State banks and bankers.. 1,582.24 57, 122.5:) Dividends unpaid 4,450. 33 4. 0:>2. 11 Individual deposits : :.:, 70."). 00 I nitcd States deposits 50. 00 Deposits of U.S.disbursing officers. 9,107. 24 25. 000. 00 Notes and bills rediscounted J >ills payable 4, 500. 00 Liabilities other than those above stated 528, 589. 27 $100,000.00 30, 000. 00 11, 378. 40 85, 650. 00 7,7*41.65 95.00 293, 724. 22 Total . 528,589.27 National Exchange Bank, Newport. A. C. TITUS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc | Bank'gh ouse, furniture, and fixtures' Other real estate and mortg'sownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1565. $223, 089. 42 2, 099. 92 100, 000. 00 50. 000. 00 21,105.60 68,135. 75 20,134.87 EDWARD NEWTON, Cashier. Capital stock paid in ! $100, 000. 00 Surplus fund | Undivided profits, less current | expenses and taxes paid ! National-bank notes outstanding. State-bank notes outstanding.. 22, 500. 00 Due to other national banks Due to State banks and bankers 114, 742. 93 2, 350. 90 445.00 708. 09 24,757. 15 7, 372. 00 4, 500. 00 3, 800. 00 19, 719. 08 88, 610. 00 359. 50 Dividends unpaid ! Individual deposits United States deposits DepositsofU.S.disbursingofficers Notes and bills rediscounted liiils payable '. Liabilities other than those above stated | Total . . 412,113. 11 I ! ! '. 043,301.69 REPORT OF T i i COMPTROLLER OV TME CURRENCY. 104? ff 11 O 1> ISLAND Newport National Bank, Newport. No. 1492. HENRY BULL, JR., President. H. C. STEVENS, Cashier. Resources. Loans and discounts 0 v^erdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ, S Liabilities. $265, 556. 46 Capital stock paid in | $120, 000.00 262.30 i 110, 000. 00 Surplus fund 30,000.00 Undivided profits, less current 34,879. 60 expenses and taxes paid 7,000. 00 National-bank notes outstanding. 89, 030. 00 30, 000. 00 State-bank notes outstanding 6, 800. 00 Due to other national banks ! 684.99 Due to State banks and bankers. J . 11, 630.39 67, 695. 21 Dividends unpaid. 486. 00 3,904. 77 Individual deposits ! 258,829. 93 840.00 United States deposits 701. 79 Deposits of U. S.disbursing officers J 12, 369. 60 12, 200. 00 Notes and bills rediscounted i Bills payable ; 4,950. 00 Liabilities other than those above stated 533, 910. 52 Total Total. 533,910.52 Union National Bank, Newport. No. 2554. B. S. BARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,f urniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $78,444.44 47.30 150,000.00 J . S. COGGESHALL, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 14,226. 37 National bank notes outstanding. 104, 730. 38 State-bank notes outstanding 1, 200. 00 Due to other national banks Due to State banks and bankers.. 32,000.88 ! Dividends unpaid 392.51 I Individual deposits 6, 500. 00 United States deposits 255.40 Deposits ofU.S.disbursing officers. 15, 706. y9 10, 050. 00 Notes and bills rediscounted Bills payable " 6* 75*6* 66' 1, 000. 00 Liabilities other than those above stated 421,304.27 ! Total. $155, 250. 00 11,966.85 989. 56 112,177.50 4.84 1,947.46 138, 968.06 421, 304. 27 Pascoag National Bank, Pascoag. O. T. INMAN, President. Loans and discounts \ Overdrafts U. S. bonds to secure circulation...I U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture.and fixtures Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.| Due from Treasurer U. S *..! Total. P. O. HAWKINS, Cashier. No. 1512. $104,542.16 Capital stock paid in. $100, 000. 00 89.62 100, 000.00 Surplus fund 20, 000. 00 Undivided profits, less current 1,103. 76 expenses and taxes paid 13,395. 00 National-bank notes outstanding. 88, 700.00 14, 382.15 State-bank notes outstanding Due to other national banks j 20, 090. 04 Due to State banks and bankers..! 1,309. 29 Dividends unpaid 410. 55 Individual deposits 2C5. 00 United States deposits ! 35. 67 DepositsofC.S.disbursingofficers. 6,046. 30 1, 985.00 Notes and bills rediscounted. Bills payable • 4,500.00 Liabilities other than those above stated * » 267, 050. 7 Total . 4,402.00 242.00 52, 603. 02 267, 050. 78 1048 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. First National Bank, Pawtucket. No. 843. OLNKY ARNOLD, President. W M . H. PARK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I Premiums on U. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers, j Due from approved reserve agents. I Checks and other cash items.'. Exchanges for clearing house Bills of other national'banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $922, 507. 80 9, 292,13 50,000. 00 5, 000. 31, 000. 3, 000. 10, 688. 20, 205. Capital stock paid in Due to other national banks Due to State banks and bankers.. Dividends unpaid 00 00 00 82 85 69, 340. 63 27, 816. 77 175, 000. 00 42,157. 77 16, 981. 39 5, 554. 00 14,444.76 30, 000. 00 2, 250. 00 1, 000. 00 5, 849. 07 44, 000.00 796. 00 Individual deposits United States deposits j Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable 623, 310. 53 I Liabilities other than those above stated Total . 1,208,100.76 Total . I $300, 000. 00 Surplus fund | Undivided profits, less current expenses and taxes paid National-bank notes outstanding. | State-bank notes outstanding.... .j. 1, 208,100. 76 Pacific National Bank, Pawtucket. Lucius B. DARLING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures' Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ; Bills of other national banks j Fractional currency, nickels, cents. | Specie j Legal-tender notes U. S. certificates of deposit I Redemption fund with Treas. U. S.j Due from Treasurer IT. S ! Total . . 1616. $464,893.72 59. 78 50, 000. 00 50, C00. 00 14,109.69 13, 872. 97 70,219.14 CHARLES L. KNIGHT, Cashier. Capital stock paid in j $200, 000.00 Surplus fund \ Undivided profits, less current j expenses and taxes paid ' National bank notes outstanding.j State-bank hotes outstanding i 64, 000. 00 i Due to other national banks '\ ! Due to State banks and bankers. J I 10,106. 70 j 95,199.68 i Dividends unpaid ! 891.81 \ Individual deposits ! 10, 785. 00 | United States deposits ; 427. 07 Deposits of U.S.disbursing officers.1 16,115. 25 15,400.00 ! Notes and bills rediscounted I Bills payable j 2,250.00 j 500. 00 Liabilities other than those above stated Total . 814,830.81 ; 9, 377. 28 44, 000. 00 1, 553. 88 3, 881. 35 492, 018. 30 814, 830.81 Slater National Bank, Fawtucket. STEPHEN A. J ENKS, President. No. 856. Loans and discounts j $737, 818.10 Overdrafts I 134. 64 136, 500. 00 U S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand !. Premiums on U. S. bonds j. Stocks, securities, etc ! 14,192.01 Bank'g house,furniture,and fixtures!. Other real estate and mortg's owned! Due from other national banks j 57, 551. 56 Due from State banks and bankers. i 21,973, 78 Due from approved reserve agents. i 95, 834.51 Checks and other cavsh items | fi, 756. 31 Exchanges for clearing house Bills of other national banks 6, 420.00 Fractional currency, nickels, cents. 910. 21 Specie 41,110.90 Legal-tender notes 13,150.00 IT. S. certificates of deposit Redemption fund with Treas. IT. S.i 4,242. 50 Due from Treasurer TJ. S Total ! 1,136,594.52 GEO. W. NEWELL, Cashier. $300, 000. 00) Capital stock paid in. 171,000. 00l Surplus fund ; Undivided profits, less current ! expenses and taxes paid \ National-bank notes outstanding. State-bank notes outstanding 9, 690.08119, 250. 00' Due to other national banks I Due to State banks and bankers.. ; Dividends unpaid. \ Individual deposits ! United States deposits. | Deposits of U.S. disbursingoffi< 14, 042. 82 144.00 ' ' 522,467.62 , Notes and bills rediscounted. ! Billspayable Liabilities other than those above stated Total ! 1,136,594.52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1049 R II O I> JE I S L A I* O . Phenix National Bank, Phenix. RICHARD Gr. HOWLAND, President. No. 14G0. H. 1>. BROWN, Cashier. Re sources. Liabilities. Loans and discounts j Overdrafts | U. S. bonds to secure circulation... j U. S. bonds to secure deposits I U. S. bonds on hand I Premiums on U. S. bonds | Stocks, securities, etc | Bank'gbouse,furniture,and fixtures | Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents, j Checks and other cash items ' Exchanges for clearing house j. Bills of other national banks I Fractional currency, nickels, cents. I Specie I Legal-tender notes i IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total i $108, 572. 33 Capital stock paid hi... ! $100,000.00 i 25,000.00 j Surplus fund Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding.; 4, 700. 00 State-bank notes outstanding 10, 538. 00 4, 798.42 21, 000.00 4, 000. 00 Due to other national banks ' 21, 231. 98 i| Duo to State banks and bankers.. 3.187.63 Dividends unpaid. Individual deposits j 2, 320. 00 United States deposits . (37. 60 ; Depositsof U.S.disbursingofficer.s. . 1, 795. 00 3,014.00 ] Notes and bills rediscounted. Bills payable 1, 125. 00 Liabilities other than those above stated 175,613.54 ; Total. 199.09 294.00 723.75 31,460.28 175, 613. 54 First National Bank, Providence. Gr. L. LITTLEFIKLD, President. No. 134. Loans and discounts $1, 088, 528. 62 Overdrafts U. S. bonds to secure circulation... 451, 000. 00 , II. S. bonds to secure deposits 50,000.00 ' U. S. bonds on hand 800.00 ' Premiums on U. S. bonds 55, 016. 47 Stocks, securities, etc 66, 866. 81 Bank'ghouso,furniture,andfixtures 7, 225. 41 Other realestateand mortg's owned 41,710. 63 Due from other national banks Due from State banks and bankers. 103. 64 Due from approved reserve agents 184,806.59 Checks and other cash items 337.99 Exchanges for clearing house 4, 527. 41 21, 024. 00 Bills of other national Danks 805.85 Fractional currency, nickels, cents. 51,445.00 Specie 14, 205. 00 Legal-tender notes I IT. S. certificates of deposit Redemption fund with Treas. U. S. I 6, 475. 00 Due from Treasurer U. S I Total. 2,044,944.42 C. E. LAPHAM, Cashier. Capital stock paid i n . . . $500, 000. 00 Surplus fund ! Undivided profits, less current j expenses and taxes paid | National-bank notes outstanding.! ! SIate-bank notes outstanding . ]}\u> to other national banks ! I>u<' to State banks and bankers.. Dividends unpaid 100,000.00 75, 345.41 397,100. 00 82, 827. 38 6,154. 33 ; 765. 00 ; Individual deposits 837, 474. I' nited States deposits 37, 033. Deports of U.S.dislrarsingoftieeir.. 8, 244. No1 es and bills rediscounted ' Bills payable Liabilities other than those above stated Total ! 2, 044, 944. 59 40 31 42 Second National Bank, Providence. JAMES M. KIMBALL, President. Loans and discounts | Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furi]iture,andfixtures Other real estate and mortg's owned j Due from otjer national banks j Due from State banks and bankers.! Due from approved reserve agents ) Checks and other cash items."". Exchanges for clearing house Bills of other national Danks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . ! Due from Treasurer U. S I Total. AVTM. W7. PAINE, Cashier. No. 565. $648,940. 98 j | Capital stock paid in. 60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4.800.00 i National-bank notes outstanding. State-bank notes outstanding Due to other national banks j Due to State banks and bankers.. 1,638. ]0 37,038.22 J; D i v i d e n d s u n p a i d . . f>, 814. 635. 628. 7, 414. 6. 520. 05 00 36 00 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 1 $300, 000. 00 60, 000. 00 63, 973. 70 54, COO. CO 36,528. 32 37, 638. 91 236. 00 203, 751. 78 Notes and bills rediscounted "2,"7o6."66"i Bills payable 20, 000. 00 Liabilities other than those above stated 776,128.71 Total. 776, 128. 71 1050 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Third National Bank, Providence. No. 636. A. L. SAYLES, President. P. W. GALE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand . Premiums on TJ. S. bonds ! Stocks, securities, etc ! Bank'g house, furniture,andnxture.M; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Hills of other national Jbanks Fractional currency, nickels, cents. I Specie ' Legal-tender notes ' XJ. S. certificates of deposit | Redemption fund with Treas. IT. S.1 Due from Treasurer IT. S j Total . i $952, C06. 88 9,171. 27 50, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 2,000.00 j 19,595.58 ! Due to other national b a n k s I 3,636.51 Due to State banks and b a n k e r s . . ! . 9,022.89 | Dividends unpaid 4,629.60 i 2,996.57 j Individual deposits 1,556.00 United States deposits 86.89 ! Deposits of U.S.disbursingofficers. 6, 234. 00 19, 932. 00 Notes and bills rediscounted Bills payable 2. 250. 00 2, 000. 00 Liabilities other than those above 38,425.04 144. 70 090, 782. 07 stated 1,086,318.19 : Total. 1,086,318.19 Fourth National Bank, Providence. No. 772. B. "W. EVANS, President. Loans and discounts ! Overdrafts I IT. S. bonds to secure circulation...! IT. S. bonds to secure deposits I U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc •. | Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house ' Bills of other nationalbanks I Fractional currency, nickels, cents. i Specie j Legal-tender notes j TJ. S. certificates of deposit ; Redemption fund with Treas. XJ. S. I Due from Treasurer U. S [ $500, 000. 00 i Undivided profits, less current I j expenses and taxes paid , 2,500. 00 j|1 National-bank notes outstanding. 99,425. 00 j State-bank notes outstanding 1 Due to other national banks 1 23,193. 83 i| Due to State banks and b a n k e r s . 58, 603.16 !' Dividends unpaid 64.75 j 4,185. 94 j Individual deposits 1,900.00 ! United States deposits 80. 09 j Deposits of U.S.disbursingofficers 21, 850 00 j 9, 310. 00 \ Notes and bills rediscounted. j Bills payable 4, 500. 00 ; Liabilities other than those above 100,000.00 92, 644. 33 90, COO, 00 20, 739. 99 2, 778. 50 494,141.13 15,000. 00 stated 1,315, 303. 05 Total. THOMAS BOYD, J R . , Cashier. $989, 013, 28 ! Capital stock paid in. 71. 90 100, 000. 00 I Surplus fund 1,315,303.95 Total . Fifth National Bank, Providence. No. 1002. S. M. LEWIS, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation j XT. S. bonds to secure deposits XJ. S. bonds on hand Premiums on XJ. S. bonds j Stocks, securities, etc j Bank'ghouse,furniture,andfixtures ! Other real estate and mortg's owned' Due from other national banks j Due from State banks and bankers, i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents, j Specie ' Legal-tender notea \ TJ. S. certificates of deposit ' Redemption fund with Treas. XL S.j Due from Treasurer U. S Total ! "VVM. 11. DUNHAM, Cashier. • $463, 654. 20 Capital stock paid in. 51.66 50, 000. C Surplus fund O Undivided profits, less current expenses and taxes paid National-bank notes o u t s t a n d i n g . 19, 055. 65 State b a n k notes outstanding $300, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . Dividends unpaid 22, 381. 38 197.16 3. 796. 75 5,116.07 49,195.83 2. 295. 35 2, 424. 62 2, 240. 00 98. 44 37,057.75 |i G.310.JOO i 2. 250. 00 043,540.32 i Individual deposits | United States deposits j Deposits of U.S.disbursing officers. I 39, 000. 00 9, 544. 22 44, 380. 00 667. 00 227, 376. 56 Notes and bills rediscounted ; Bills pay able j Liabilities other than those above stated ; >-. Total G43, 546. 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 5 1 BHOB£ ISLAND, American National Bank, Providence. H. A. HUNT, Cashier. No. 1472. F. \Y. CARPENTER, President. Liabilities. Resources. 1,696,866.65 Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds t o secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank r ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve a g e n t s . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Capital stock paid i n . ~5o,"666'66": $1, 437, 650. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...".. 4, 692. 38 58, 450. 25 110,000.00 G , 948.45 O 43, 880. 00 I Due to other national banks j 27, 569. 79 j Duo to State banks and b a n k e r s . . . 322, 392. 21 | Dividends unpaid 7,113.97 11,033.32 I Individual deposits 13,756.00 I United States deposits 76.44 j Deposits of TJ.S.disbursingofficers 62,661.70 31,883.00 Notes and bills rediscounted. ',931.34 4, 475. 50 1,573,860.42 . Bills payable 2,250.00 | ! 1 Liabilities other than those above stated .1 3,288,745.71 Total. 3, 288, 745. 71 Atlantic National Bank, Providence. HENRY F. RICHARDS, President. No. 2913. ! Loans and discounts Overdrafts --U. S. bonds to secure circulation . . . U. S. bonds to secure deposits -. U. S. bonds on hand j. - Premiums on U. S. bonds | Stocks, securities, etc \... Bank'ghouse,furniture and fixtures1 Other real estate and mortg's owned . . . Due from other national banks ! Due from State banks and bankers. L.. Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national panks ! Fractional currency, nickels,cents.! Specie ! Legal-tender notes ' TJ. S. certificates of deposit J--. Redemption fund with Treas. TJ. S.' Due from Treasurer U. S i--- Total. W M . R. GREENE, Cashier. Capital stock paid in 5, 300. 00 4, 600. 00 3,435.45 5,170. 75 4.71 949. 92 993.00 1, 709. 90 4,162.10 2, 000. 00 "'2," 250.'66" ! $225, 000. 00 Surplus fund I Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding- J State-bank notes outstanding ! 13, 800. 00 2, 345. 87 43, 600. 00 ! Due to other national banks Due to State banks and bankers.. ! | 725. 00 Individual deposits United States deposits : Deposits of U.S.disbursingofficers. j Dividends unpaid 98, 354.73 Notes and bills rediscounted ' Bills payable j Liabilities other than those above stated I. 408,825.60 Total I 25, 000. 00 408, 825. € Blackstone Canal National Bank, Providence. WILLIAM AMES, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand ! Premiums on TJ. S. bonds Stocks, securities, etc I Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Chocks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S. Total. No. 1328. $743, 840. 71 1, 023. 38 425,000.00 38, 000. 00 20, 464. 50 17, 018.19 1,594.99 818. 84 2.071.25 11.187.00 309. 48 11.734.30 7,100. 00 39,125.00 10, 570. 00 1, 309, 857. 04 OREN WESTCOTT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits , Deposits of U.S.disbursing officers. $500, 000. 00 100, 000. 00 34,124. 84 382, 500. 00 25,073. 48 779.23 127. 00 267, 253. 09 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated . ^ Total. 1,309,857.64 1052 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE I S L A N I>. City National Bank, Providence. EDWIN A. SMITH, President. No. 1429. FRANK E. CHAFEE, Cashier. ^Resources. Loans and discounts ' Overdrafts U. S. bonds to secure circulation... I U. S. bonds to secure deposits I U. S. bonds on hand | Premiums on U. S. bonds | Stocks, securities, etc i 1 Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house JBills of other national panks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $939. 587. 83 ; Capital stock paid in • Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding.' State-bank notes outstanding 162, 000. 00 8,479.45 i Due to other national banks Due to State banks and bankers.. 36, 364. 49 60, 964. 76 41,641. OG' 10,097.94 4,125. 6G 3, 150.00 148.70 ! 13,900.00 5,000.00 ! Individual deposits | United States deposits ' Deposits of U.S.disbursing officers. 20, 000. 00 3, 000. 00 Dividends unpaid 11,713.11 135, 000. 00 1,056. 00 298, 782. 28 Notes and bills rediscounted ""6,"75'6'66'! Bills payable Liabilities other than those above | stated i 1,205,880.64 Total . $500, 000. 00 "156*666." 66' Surplus fund Total ! 1,205,880.64 Commercial National Bank, Providence. ANDREW COMSTOCK, President. No. 1319. Loans and discounts \ $1, 808, 455. 05 i Overdrafts i 52. 52 i TJ. S. bonds to secure circulation...!! 50, 000. 00 ! U. S. bonds to secure deposits TJ. S. bonds on hand Premiums onTJ. S. bonds i !, 562, 50 Stocks, securities, etc ; .; 355. 55 Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned 14 425). 64 Due from other national banks. ] 302 98 Due from State banks and bankers. Due from approved reserve agents. 142 525 69 Checks and other cash items 588 30 8 074 79 Exchanges for clearing house 2 184 00 Bills of other national Ibanks 165 70 Fractional currency, nickels,cents. 19, 227 50 Specie Legal-tender notes 42, 079 00 ! TJ. S. certificates of deposit 250. 00 '.Redemption fund with Treas. U. S. 000. 00 Due from Treasurer TJ. S j Total . 2,110, 253. 22 ABRAM BARKER, Cashier. Cax>ital stock paid in ! $1, 000, 000. 00 Surplus fund ! Undivided profits, less current | expenses and taxes paid \ National-bank notes outstanding.j State-bank notes outstanding j 83, 000. 00 45, 412. 68 45, 000.00 Duo to other national banks Duo to State banks and bankers.. Dividends unpaid . 29,301. 30 6, 847. 30 Individual deposits United States deposits Deposits of U.S.disbursing officers. 894,590. 44 6,101. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 2,110,253.22 Globe National Bank, Providence. MARSDOXV J. PERRY, President. Loans and discounts ! ! Overdrafts U. S. bonds to secure circulation...' TJ. S. bonds to secure deposits | TJ. S. bonds on hand 1 Premiums on TJ. S. bonds i Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national bank3 j Due from State banks and bankers J Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U, S Total . No $387,403.84 ]50,000. 00 80, 493. 75 GEO. C. NOYES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. St ate-bank notes outstanding. Due to other national banks Due to State banks and bankers.. i 30, 472. 33 909. 00 548. 00 92.01 7, iOO. 00 2,000.00 ! 3,435. 00 Dividends unpaid .. ; 2,483.00 Individual deposits i United States deposits DepositsofU.S.disbursingolncers. 124, 844.33 Notes and bills rediscounted Bills payable Liabilities other than those above stated 662,453.93 ' Total . • ! 909. 58 662, 453.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1053 RHODE IS1AND. Manufacturers' National Bank, Providence. N. D. ARNOLD, President. No. 1283. GEORGE W. LANPHEAK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank!ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S ! Liabilities. •2, 027, 590.14 Capital stock paid in 57, 668.72 10,000. 00 193, 475.70 1,270. 03 21,859. 46 6, 996.00 597. 78 51, 542.75 48, 000.00 275, 000.00 63, 604. 24 44, 240. 00 ! Due to other national banks i Due to State banks and bankers j Dividends unpaid 24, 2G9.19 18.00 Individual deposits > United States deposits i Deposits of U.S.disbursing officers. 1, 572, 810. 65 Notes and bills rediscounted Bills payable 2,250.00 i| 5,000.00 ij Liabilities other than those above i i stated 2, 479, 942. C Total. I $500, 000. 00 Surplus ii ur pi us fund. Undivided profits, less current expenses and taxes paid I National-bank notes outstanding 3. 691. 50 i | State-bank notes outstanding 50,000.00 Total | 2, 479, 942. C Mechanics' National Bank, Providence. JAMES H. CHACE, President. No. 1007. S. H. TINGLEY, Cashier. Loans and discounts I $865,159.17 j Capital stock paid in | $500, 000. 00 Overdrafts U. S. bonds to secure circulation... 500, 000.00 : Surplus fund | 100, 000. 00 U. S. bonds to secure deposits ; Undivided profits, less current ! U. S. bonds on hand ! expenses and taxes paid j 18, 909. 23 Premiums on U. S. bonds 60, 000. 00 ! National-bank notes outstanding. J 449,180. 00 Stocks, securities, etc 46,498. 00 \ State-bank notes outstanding j Bank' ghouse,furniture,and fixtures 22,000.00 Other real estate and mortg's owned' i Due to other national banks | 30, 578. 55 Due from other national banks j 16, 864.59 | Due to State banks and bankers..! 25, 000. 00 Due from State banks and bankers. I f 89,571.44 Due from approved reserve agents. 2, 695. 00 Dividends unpaid 2,735.55 ! Checks and other cash items 1,933.86 Individual deposits ! 540, 694.17 Exchanges for clearing house 1,826.00 United States deposits Bills of other national banks j 368.34 : Deposits of U.S.disbursing officers.! Fractional currency, nickels, cents. 31,800.00 ; Specie ! 5. 800. GO Notes and bills rediscounted Legal-tender notes Bills payable. U. S. certificates of deposit i Redemption fund with Treas. U. S. | 22, 500. 00 Liabilities other than those above J Due from Treasurer U. S stated | Total. 1,667,056.95 Total I 1, 667, 056. 95 Merchants' National Bank, Providence. ROYAL C. TAFT, President. No. 1131. J. W. VERNON, Cashier. $2, 859,171. 78 i Capital stock paid in Loans and discounts ! $1, 000, 000. 00 Overdrafts U. S. bonds to secure circulation... " ""8o6"666."6o I S u r p l u s fund | 200, 000.00 U* S. bonds to secure deposits ;. Undivided profits, less c u r r e n t j U. S. bonds on hand ' . expenses a n d t a x e s p a i d j 155, 233. 89 90,000.00 ;i N a t i o n a l - b a n k n o t e s o u t s t a n d i n g . ! Premiums on U. S. bonds 720, 000. 00 280,047.56 [ State-bank n o t e s o u t s t a n d i n g ! Stocks, securities, etc ! 149,334.72 J ! Bank'ghouse,furniture .and fixtures' Other real estate and mortg's owned . Due to o t h e r national b a n k s 845, 534. 71 ' J 36," 953." 12 V Duo to State b a n k s and b a n k e r s . . Due from other national banks 328, 344. 84 100.342.28 Due from State banks and bankers. 377, 156. 86 | Dividends u n p a i d . Due from approved reserve agents. 2, 082. 25 Checks and other cash items ;. E x c h a n g e s for c l e a r i n g house ' 12. 479. 67 Individual deposits ; 1, 73G, 335. 29 Bills of o t h e r n a t i o n a l b a n k s I 5,199. 00 United States deposits F r a c t i o n a l c u r r e n c y , nickels, c e n t s . ! 745. 85 ; Deposits of U.S. disbursing officers Specie ' 105,100.14 Legal-tender notes 30, 000.00 i Notes and bills rodisconnted X S. certificates of deposit T Bills payable Redemption f and with Treas. U . S . ; 36, 000. 00 Due from Treasurer IT. S3 i 5,000. 00 Liabilities other than those above stated Total. 4, 987, 530. 98 Total 4. 987. 530. 98 1054 REPORT OF THE COMPTROLLER OF THE CURRENCY. J>. H II O D £ National Bank of Commerce, Providence. ROBERT KNIGHT, President. No. 1366. J. FOSTER, Cashier. Liabilities. Resources. Loans and discounts I $3,217,529.50 Capital stock paid in $1, 709, 200. 00 Overdrafts '. U. S. bonds to secure circulation... j 316, 000. 00 50, 000. 00 Surplus fund U. S. bonds to secure deposits ;. Undivided profits, less current ; U. S. bonds on hand expenses and taxes paid 70, 736. 82 5, 000. 00 National-bank notes outstanding.; Premiums on U. S. bonds \ 45, 000. 00 Stocks, securities, etc Bank'ghouse,furniture,and fixtures: Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house ! Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . 252, 589. 00 State-bank notes outstanding 40, 000. 00 69, 000. 01) Due to other national banks 81,680.30 Due to State banks and bankers.. I 769.81 0,739.99 10,855.00 : 369.37 ! 89,073.50 50, 000. 00 Dividends unpaid. 09, 012. 49 261, 451. 31 4, 273. 50 Individual deposits United States deposits De posits of U.S.disbursingofficers.; 1, 626, 925. 38 Notes and bills rediscounted Bills payable 2,250.00 | 3,002.50 ! Liabilities other than those above j i stated Total I 4,102,599.50 4,102,599.50 j | National Bank of North America, Providence. J E S S E METCALF, President. No. 1036. S. E. CARPENTER, Cashier. ! Loans and discounts $1, 389, 305. 89 Capital stock paid in j $1, 000, 000. 00 Overdrafts 146.19 131, 500. 00 TJ. S. bonds to secure circulation... 310, 000. 00 Surplus fund I U. S. bonds to secure deposits Undivided profits, less current J U. S. bonds on hand expenses and taxes paid i 22, 296. 44 Premiums on U. S. bonds 28, 000.00 National-bank notes outstanding. | 273, 080. 00 Stocks, securities, etc 38, 425. 00 State-bank notes outstanding ' Bank'g house,furniture,and fixtures 96, 562.12 Other real estate and mortg's owned Duo to other national banks ! 126, 903. 89 Due from other national banks 72, 399. 38 Due to State banks and bankers.. j 87, 521. 47 Due from State banks and bankers. 16, 355. 74 Due from approved reserve agents. • 80, 820. 51 Dividends unpaid I 2, 982. 25 Checks and other cash items 5,671.04 Exchanges for clearing house 6,150.43 : Individual deposits ! 474,141.32 Bills of other national banks j 3,200. 00 1-United States deposits 1 j. Fractional currency, nickels, cents. 1 681. 57 I Deposits of U.S. disbursingofficers- !• Specie i 30,057.50 1 1 j Legal-tender notes 26, 700. 00 ! ! | Notes and bills rediscounted . ; TJ. S. certificates of deposit | Bills payable Redemption fund with Treas. U. S.I 13,950.00 | ! Due from Treasurer U. S Liabilities other than those above i ! stated 2,118,425.37 Total . Total | 2,118, 425. 37 National Eagle Bank, Providence. ROBT. B. CHAMBERS, President. No. 1030. CHARLES E. SAMPSON, Cashier. Loans and discounts | $1,053,975.77 Capital stock paid in I Overdrafts U. S.bonds to secure circulation...\ 100, 000. 00 Surplus fund U. S. bonds to secure deposits Undivided profits, less current IT. S. bonds on hand expenses and taxes paid Premiums on U.S. bonds ; 10,500.00 National-bank notes outstanding. Stocks, securities, etc j 2,182.13 State-bank notes outstanding Bank'g house, furniture,and fixtures; 4,000.00 Other real estate and mortg's owned Due to other national banks Due from other national banks 14, 595.85 Due to State banks and bankers.. j Due from State banks and bankers. i Due from approved reserve agents.! 134, 584.28 Dividends unpaid I Checks and other cash items Exchanges for clearing house ; 18,193. 76 i Individual deposits j ! Bills of other national banks 5, 295. 00 i! United States deposits Fractional currency, nickels, cents 286. 13 il iDeposits of U.S.disbursingofficers Specie G, 505. 75 ' Legal-tender notes 29, 781. 00 ' iNotes and bills rediscounted ! U. S. certificates of deposit Redemption fund with Treas. U. S, Due from Treasurer U. S Total ' 3, 840. 00 j 1,383, 739. 67 • $500, 000. 00 100, 000. 00 29,110. 76 90, 000. 00 36, 370. 39 111,006.19 1,669.50 515, 582. 83 Bills payable I Liabilities other than those above ! stated !. Total . 1, 383, 739. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY"? _ 1055 RHODE ISLAND. National Exchange Bank, Providence. K SHELDON, President. No. 1339. Resources. Total Cashier. Liabilities. Loans and discounts | $1,113,260.35 Overdrafts { U. S. bonds t o secure circulation... i 500, 000. 00 U. S. bonds to secure deposits I U. S. bonds on hand. Premiums on X S. bonds L | Stocks, securities, etc I Bank'ghouse,furniture,and fixtures} Other real estate and mortg's owned i Due from other national banks | Due from State banks and bankers. \ Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks "Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S } CHARLES H. SHELDON, Capital stock paid in j Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 57, 500. 00 446, 800. 00 200, 000. 00 $500, 000. 00 300, 000. 00 88, 783.16 439, 680. 00 Due to other national banks Due to State banks and bankers.. 2,862.77 98,325.10 : 1,133.74 ij 6,132.16 ' 9, 699. 00 ! 728.55 I. 83,395.00 ! 3,000.00 ! 22, 500. 00 13, 767. 46 135. 5L Dividends unpaid 514.00 Individual deposits 1,002,456.54 United States deposits i Depositsof U.S.disbursing officers.1 Notes and bills rediscounted Bills payable I j Liabilities other than those above stated 2, 545, 336. 67 Total . 2, 545, 336. 67 Old National Bank, Providence. CHRISTOPHER L I P P I T T , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'ghouse,furniture,and fixtures} Other realestate and mortg's owned} Due from other national banks... Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing hous* Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1151. F. A. CRANSTON, Cashier 5855,171. 60 | Capital stock paid in so, 666.6b i $500, 000. 00 Surplusfund | Undivided profits, less current ! expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . 118,727.56 100, 000. 00 12, 509. 91 44, COO. 00 Duo to other national banks ! Due to State banks and bankers '• | Dividends unpaid | " "2*406" 5i" 95, 006.85 65.56 1,876.46 4, 244. 00 167. 70 23, 537. 35 19,100. 00 Individual deposits j United States deposits I. Depositsof U.S.disbursing officers.}. Notes and bills rediscounted Bills payable " 2.250. 66" 9,235.15 54,119. 50 597. 00 451,924.10 I- Liabilities other than those above stated 166.67 Total. 1,172, 553. 22 } 1,172^5537^ Phenix National Bank, Providence. JONATHAN CHACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghousejfurniture^ndfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 948. $1,263,925.05 987. 66 50, 000.00 G E O . E. MARTIN, Capital stock paid in Cashier. $450, 000.00 400, 000. 00 92,051.49 Surplus fund Undivided profits, less current I expenses and taxes paid | National-bank notes outstanding. I State-bank notes outstanding | 20,171. 09 Due to other national banks ! Due to State banks and b a n k e r s . . I 34,195. 27 152. 39 83, 368. 06 99(5. 78 926. 33 11,532.00 400. 00 19, 030. 96 28, 500. 00 2, 250. 00 4,140. 00 1,578,279.42 ! I Dividends unpaid. 10,399. 78 43, 960. 00 668. 50 Individual deposits i United States deposits j Deposits of U.S.disbursing officers.j 632, 903. 48 Notes and bills rediscounted. Bills payable Liabilities other than those abovo } stated i Total ! 1, 578, 279.42 1056 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Providence National Bank, Providence. No. 1302. WILLIAM GODDARD, President. A. R. MATTESON, Cashier. Resources. Liabilities. Loans and discounts $1,223,591.30 Capital stock i>aid in. Overdrafts U. S. bonds to secure circulation... " " 5 6 6 7 6 6 6 ' 66"; Surplus fund TJ. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S.! Due from Treasurer U. S Total j 1500,000. 00 392, 736. 28 229, 685. 79 522, 514. 97 307.50 6, 274.41 42, 947. 00 242.16 63, 344. 25 7, 000. 00 27, 272. 90 435, 860. 00 Due to other national banks (5,211.66 10, 000. 00 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 155,091.51 867, 439. 60 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of TJ.S.disbursingofficers. Notes and bills rediscounted "22," 5o6.'66"! Bills payable Liabilities other than those above stated 2, 634, 619. 04 Total 256, 218. 75 j 1 ! j ! 2,634,619.04 Rhode Island National Bank, Providence. S. S. SPRAGUE, President. No. 983. Loans and discounts $1,330,860.87 Overdrafts 8, 523. 05 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc 33, 750. 00 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned 6. 530. 09 Due from other national banks 19, 634.57 Due from. State banks and bankers. 8, 890.38 Due from approved reserve agents. 52, 444. 74 Checks and other cash items 1, 049. 56 Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S^ Due from Treasurer U. S Total. 19,070.38 9,185.00 154. 99 5, 200. 00 37, 000. 00 *2, 250." 66" 942. 50 F. A. CHASE, Cashier. Capital stock paid in $600, 000. 00 Surplus fund Undivided })iofits, less current expenses and taxes paid National-bank notes outstanding, j State-bank notes outstanding... 120, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 17,308.34 1, 328. 04 Individual deposits United States deposits Deposits of U.S.disbursing officers. 737, 089. 41 55, 555. 04 45, 000. 00 9, 205. 30 Notes and bills rediscount ed Bills payable Liabilities other than those above stated 1, 585,486.13 Total I 1, 585, 486.13 Roger Williams National Bank, Providence. CHARLES II. GEORGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 1506. M. E. TORREY, Cashier. $644, 776. 01 I Capital stock paid in. I i $499,950~00 j 50,000.00 i Surplus fund Undivided profits, less current i expenses and taxes paid 5, 750. 00 National-bank notes outstanding. 11,141.80 State-bank notes outstanding 50,000.00 |! Due to other national banks 11,121.12 |! Due to State banks and bankers.. . 35,532.72 \' Dividends unpaid 802.85 ii 3,565.36 I! I n d i v i d u a l deposits 8,999.00 I! United States deposits 35.31 !! DepositsofU.S.disbursingofficers. 100,00D. 00 12, 302. 00 2, 500. 00 Notes and bills rediscounted Bills payable 13, 985 88 43, 2iiO 00 40, 339.14 1. 90*2. 03 119, "539. 72 20, 000. 00 2,250.00 Liabilities other than those above stated 838, 776. 77 Total . 838, 776. 77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 5 7 RHODE ISLAND. Traders' National Bank, Providence. LEWIS W. ANTHONY, President. No. 1396. EDWIN KNIGHT, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT, S Total. Liabilities. 5226, 530. 62 50, 666." 66 5, 500.00 8, 850.00 900. 00 $200, 000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 17, 302. 00 5, 710. 49 43, 800. 00 Due to other national banks Due to State banks and bankers 2, 879. 61 481. 76 206. 28 85.00 210. 49 4, 172. 00 828. 75 Dividends unpaid Individual deposits United States deposits. Deposits of U. S .disbursingofficers. 34, 424. 52 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total. 302, 065. 76 302,065. 76 Weybosset National Bank, Providence. GEORGE B. CALDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1173. $540, 054. 43 50,666.00 160, 824. 00 O. A. JILLSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 2, 250. 00 27, 244. 00 Dividends unpaid 758. 34 2, 623. 08 Individual deposits ! 896. 00 United States deposits 257.28 Depositsof U.S.disbursingofficers. j 14, 922. 50 7,185.00 Notes and bills rediscounted. Bills payable 2, 250. 00 1, 000. 00 Liabilities other than those above stated 810, 264. 63 Total. $500,000. 00 77, 625.92 11,126.02 44, 940. 00 3,381.50 173,191.19 810, 264. 63 First National Bank of Smithfield, Slatersville. H. W. PARKIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Hills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CUR PT 2 - -67 No. 1035. $101, 099. 98 so, 666.66 1, 200.CO 8, 500. 00 551.73 254. 95 110.GO 27.52 2, 277. 55 460. 00 2, 250. 00 172, 430. 86 CHAS. S. SEAGRAVE, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 9, 200. 00 6, 017. 81 44, 270. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 264.33 Individual deposits United States deposits Depositsof U.S. disbursing officers - 11, 565.42 113. 30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , Total. 172, 430.86 1058 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. First National Bank, Warren. No. 673. J . "WATERMAN, President. A . B. GARDNER, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. "bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house,fnrniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S- Due from Treasurer IT, S Total. $163, 497. 29 Capital stock paid in j $150,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 500. 00 National-bank notes outstanding. 7, 074. 50 State-bank notes outstanding 5, 000. 00 Due to other national banks 3, 901. 59 Due to State banks and bankers. 1, 723. 34 Dividends unpaid 109. 47 Individual deposits 870. 00 United States deposits 6.84 Deposits of U.S.disbursing officers. 5,001.55 1, 626. 00 Notes and bills rediscounted. 37, 500. 00 14, 250. 00 11, 654. 78 33, 750. 00 453. 00 21, 390. 30 Bills payable 1, 687.50 Liabilities other than those above stated 231, 498.08 Total . 231,498.08 National Hope Bank, Warren. E . M. MARTIN, No. loos. President. Loans anddiscounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc -. Bank'g house,furiiiture,and fixtures Otherreal estate and iriortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S 1 Total ;189,527.52 12.01 32, 500. 00 7,629.00 2, 443. 92 5,715*43 704. 28 4, 595. 00 155.53 3, 854. 00 1, 684. 00 2,412.50 H . W. EDDY, Cashier. Capital stock paid in. $130,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 26,000. 00 Due to other national banks Due to State banks and bankers -. Dividends unpaid 1,851.18 Individual deposits United States deposits Deposits of U.S.disbursingofficers 48, 873. 35 15, 090.16 29, 250. 00 156. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 12.50 Total . 251,233.19 25l7233.l9 National Warren Bank, Warren. H. F. DROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits j U. S. bonds on hand ' Premiums on U. S. bonds | Stocks, securities, etc j Bank'g house, furniture, and fixtures! Other real estate and mortg's owned' Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents Checks and other cash items ! Exchanges for clearing house ! Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 1419. C. W. GREENE, Cashier. 1180,361.89 Capital stock paid in | $200, 000.00 * 50," 666 "66 Surplus fund Undivided profits, less current expenses and taxes paid ! National-bank notes outstanding, j State-bank notes outstanding ! 40, 000. 00 4,500.00 77, 274. 25 4, 500. 00 ?>. 400. 00 3, 715. 60 1, 615. 98 270. 20 " "4I6.OO 6.81 1, 879. 90 2,141. 00 2, 250. 00 332, 325. 63 I 7, 929. 22 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 052. 82 Individual deposits United States deposits Deposits ofU.S.disbursing officers.! 37,886.09 457. 50 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 332,325.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1059 RHODE ISLAND. National Niantic Bank, Westerly. No. 823. "W. SEGAK, President. D. F . STILLMAN, Cashier. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniture.and fixtures Otherreal estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $127,644.82 254.14 180,000.00 21, 712. 50 195, 953. 65 21,142. 53 413. 63 32, 786. 57 2.195.15 3, 220. 00 101.71 1,804.20 500. 00 8,099.40 Capital stock paid in $250, 000.00 Surplus!'und Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 797. 34 161,475.00 Due to other national banks Due to State banks and bankers.. 1. 604.46 3; 652.12 Dividends unpaid 63/225. 00 424.89 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 111,649.49 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 595,828.30 Total 595, 828.30 National Fhenix Bank, "Westerly. EDWIN BABCOCK, President. Loans and discounts.. Overdrafts U. S. bonds to secure circulation... U, S. bonds to secure deposits U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1169. $178, 036. 40 377.14 65, 000. 00 6,000. 00 32, 475. 00 6, 000. 00 463.47 3, 033. 72 494.61 4, 259. 00 99.25 7, 746. 45 5, 000. 00 J . B. FOSTER, Cashier. Capital stock paid in Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding ', Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits j United States deposits I. Deposits of IT. S.disbursingoincers .'. 7, 224. 29 58, 500.00 257. 60 65, 928.15 Notes and bills rediscounted. Bills payable 2, 925. 00 Liabilities other than those above stated Total. 311, 910. 04 311, 910. 04 "Washington National Bank, Westerly. NATHAN F. DIXON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national^banks Fractional cnrrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer D, S Total. No. 952. $162,177. 58 2, 545. 58 150.000.00 98, 207. 78 10, 000. 00 469. C 1, 945. 59 7, 014. 78 4, 051. 00 35.00 25, 697. 52 3, 257. 00 CHARLES P E R R Y , Cashier. Capital stock paid i n . S u r p l u s fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g Due to other national b a n k s Due to State b a n k s a n d b a n k e r s . . $i5o7ooo7oo 50, 000.00 5, 708. 63 133, 965. 00 18, 515. 03 Dividends u n p a i d Individual deposits United States deposits Deposits of U.S.disbursingofficers. 113, 962. 23 Notes and bills rediscounted. Bills payable 6, 750. 00 Liabilities other than those above stated 472,150.89 Total. 472,150. 89 1060 REPORT OF THE COMPTROLLER OF THE CURRENCY. It II O 1 I] > I S L A N D . Wickford National Bank, Wickford. JNO. J . REYNOLDS, President. No. 1592. THAD'S W. HUNT, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure, circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges lor clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S 25, 000. 00 11,500.00 4, 000. 00 10,548. 05 3,237.17 244.95 935. 00 56. 83 3, 562. 00 3,400. 00 1,125. 00 JOSEPH E. COLE, President. $100, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 727.19 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. 49, 300. 65 $322, 611.17 2,594.40 200, 000. 00 20, 000. 00 20, 000. 00 4,100.00 877. 40 17, 270. 87 442. 48 5, 055. 00 792. 35 12, 245. 85 1, 999. 00 9, 000. 00 174.40 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 184,577.11 First National Bank, Woonsocket. No. 1402. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S 1, 500.00 7, 574. 87 22, 300. 00 Due to other national banks . . . . . . Due to State banks and bankers.. Dividends unpaid 184,577.11 Total. Total. Liabilities. $120, 968.11 R. G. RANDALL, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8,180. 81 34, 704.12 Individual deposits United States deposits Deposits of U.S. disbursing officers 92,257.19 418.68 177, 997. 50 3,430. 22 Notes and bills rediscounted Bills payable Liabilities other than those above stated 616, 988.52 616, 988. 52 Total. Citizens' National Bank, Woonsocket. EDGAR K. RAY, President. No. 970. HARRY H. SMITH, Cashier. Loans and discounts $120,195.94 ] Capital stock paid in. 337.04 I Overdrafts 50,000.00 1 Surplus fund 1 U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 3,000.00 i National-bank notes outstanding. « Premiums onU. S. bonds 22,200.00 j: State-bank notes outstanding Stocks, securities, etc 1,000.00 1 1 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned . . . Duo to other national banks Due from other national banks 23.418.83 ii Due to State banks and bankers.. Due from State banks and bankers. 42,633.79 Due from approved reserve agents. Dividends unpaid Checks and other cash items 262.55 Exchanges for clearing house Individual deposits 420. 00 Bills of other nation albanks United States deposits 243. 25 Fractional currency, nickels, cents. Deposits of U.S.disbursingofficers. 5. 456. 57 Specie 356. 00 Legal-tender notes Notes and bills rediscounted. U. S. certificates of deposit Bills payable* 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities other than those above stated Total. 271,773.97 Total. $100, 000. 00 20,000.00 7, 263.12 45,000.00 68.18 459.00 98, 983.67 271, 773.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1061 RHODE IS LAND. National Globe Bank, Woonsocket. ARLON MOWRY, President. No. 1423. FRANK E. FARNUM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand I Premiums on U. S. bonds j Stocks, securities, etc ! Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks | Fractional currency, nickeis, cents. | Specie Legal-tender notes ' U. S. certificates of deposit ! Redemption fund with Treas. U. S. Due from Treasurer U . S Liabilities. $147, 093. 71 35.61 100, 000. 00 6,720. 00 "is" 666." 6o $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks " 5," 237." 93" Due to State banks and bankers.. 4, 579. 63 Dividends unpaid 25,000.00 9,532.62 90, 000. 00 9,837.10 896.63 105. 99 766. 66 341.95 5, 720. 75 4,500.00 293,101. 57 Total . Capital stock paid in Individual deposits United States deposits Deposits of U. S.disbursing officers. 57, 835. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 293,101.57 Total . National Union Bank, Woonsocket. GEO. S. READ, President. Loans and discounts Overdrafts ............ U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Oth er real estate and mortg's owned Due from other national banks Due from State banks and'bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Snecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Total J . S. READ, Cashier. No. 1409. $150, 000. 00 $147, 777. 20 Capital stock paid in 205 23 100,000. 00 I Surplus fund 30, 000.00 Undivided profits, less current expenses and taxes paid 2 425 U 90, 000. 00 13, 000. 00 National-bank notes outstanding. 8,500. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 1, 676.49 847.50 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 3, 870. 23 475 00 90. 40 691 85 227. 00 Notes and bills rediscounted Bills payable 4, 500.00 Liabilities other than those above stated 277,143.17 Total 277,143.17 Producers' National Bank, Woonsocket. CHAS. E. THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Tota No. 1421. Capital stock paid in $400, 438. 34 1,736.77 200, 000. 00 23, 085. 29 6,500. 00 4, 000.00 12,819. 29 48, 386. 87 2,167. 83 S. P. COOK, Cashier. 17, 278. 53 178, 900. 00 Due to other national banks Due to State banks and bankers.. 19,117.87 Dividends unpaid Individual deposits "i* 567.' 66 United States deposits 294. 26 Deposits of U.S.disbursing officers. 17,167. 50 4, 200.00 Notes and bills rediscounted. Bills payable 9, 000. 00 Liabilities other than those above stated , 731,363.15 $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 70, 000.00 184. 20 245, 882.55 731,363.15 1062 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Woonsocket National Bank, Wocmsocket. JOHN W. ELLIS, President. No. 1058. L. W. BALLOU, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned I Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $461,856. 30 225.03 200, 000. 00 19, 000. 00 28, 500. 00 13,000. 00 19,948.90 61,707.36 140.85 | 6,721.00 747.86 28,674.45 15,000.00 9,000.00 Capital stock paid in. $200, 000. 00 Surplus lund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 170, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid | 8, 288. 22 92, 315. 43 8, 259. 00 Individual deposits | United States deposits | Deposits of U.S.disbursingofficers. j 2, 627. 22 178,000.00 205, 031.1 Notes and bills rediscounted Bills payable Liabilities other than those above stated 864,521.75 Total . 864, 521. 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 6 3 SOUTH CAROLINA. National Bank, Abbeville. J . ALLEN SMITH, No. 3421. President. B E N J . S. BARNWELL, Cashier. Resources. Liabilities. Loans and discounts I $151,147. 02 Overdrafts 24, 215. 74 j TJ. S. bonds to secure circulation... 18, 750. 00 j U . S. bonds to secure deposits U. 8. bonds on hand ! j Premiums on TJ. S. bonds ! Stocks, securities, etc • Bank'g house,furniture,and fixtures ; Otlier real estate and mortg's owned 1, 010. 00 | Due from other national banks 2, 544. 22 j Due from State banks and bankers. 968.31 j Duo from approved reserve agents. 2,467.47 Checks and other cash items 9, 590. 24 Exchanges for clearing house Bills of other national banks 1, 700. 00 Fractionalcurreney, nickels, cents. 374. 42 Specie 2, 075.45 Legal-tender notes 5, 851. 00 TJ. S. certificates of deposit Redemption fund with Treas. U . S . 843. 75 Due from Treasurer TJ. S Total. Capital stock paid in I $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000.00 1,761.64 16,875.00 Due to other national banks J Due to State banks and bankers..' Dividends unpaid | j Individual deposits j United States deposits ' Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 3.00 43, !98. 28 ! j 69, 000. 00 Liabilities other than those above stated 221, 537. 92 Total. 221, 537. 92 First National Bank, Charleston. ANDREW SIMONDS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherrealestateand mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1622. $543, 917. 67 13, 641. 29 50, 000. 00 150,000. 00 343, 980.10 10,000.00 3,450.00 27, 703.19 21, 973. 53 93, 848. 20 2, 360. 00 202. 54 39, 300. 00 34, 685. 00 JOHN C. SIMONDS, Cashier. Capital scockpaid in $200, COO. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 200, 000. 00 219, 726.45 42, 530. 00 Due to other national banks Due to State banks and bankers. ]5, 692. 66 71, 480. 31 Dividends unpaid 561. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 351,140.69 103, 822.64 32, 357.77 Notes and bills rediscounted Bills payable 100, 000. 00 2, 250.' 00 Liabilities other than those above stated Total 1, 337, 311. 52 1, 337, 311. 52 Bank of Charleston National Banking Association, Charleston. E. H. PRINGLE, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Otherrealestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchangesforclearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. No. 2044. , 356,119. 27 2, 854.74 100,000.00 6,000.00 302, 072. 82 10,000. 00 11,000.00 19, 916.18 62, 014. 07 140, 673. 55 355. 88 5, 500. 92. 29,134. 60, 000. 00 02 00 00 M. W. WILSON, Cashier. Capital stock paid in I $300, 000.00 Surplus fund | Undivided profits, less current j expenses and taxes paid ! National-bank notes outstanding. I State-bank notes outstanding I 100, 000.00 Due to other national banks I Due to State banks And bankers.. j Dividends unpaid. Individual deposits United States deposits Deposits ofU.S. disbursing officers. Notes and bills rediscounted Bills payable 48, 569. 66 90, 000. 00 42, 685. 12 82, 509. 00 8, 597. 25 1, 023, 411.16 414 460 34 4, 500. 00 Liabilities other than those above stated 2,110, 232. 53 Total 2,110 232 53 1064 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. People's National Bank, Charleston. No. 1621. C. O. WITTE, President. E. H. SPARKMAN, Cashier. Ilesourees. Loans and discounts Overdrafts ... U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furiiiture,and fixtures Other real estate and niortg's owned . Due from other national banks Due from State banks and bankers. Due from approved reserve agents. i Checks and other cash items Exchanges for clearing house Bills of other nation alibanks Fractional currency, nickels, cents. Specie . Legal-tender notes. II. S. certificates of deposit "Redemption fund with Treas. IT. S. Due from Treasurer U, S Total. Liabilities. $751,085.48 Capital stock paid in 1U, 152. 37 50,000.00 Surplus «fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 198,850. 00 State-bank notes outstanding 12, 000. 00 Due to other national banks 15,173.84 10,423.98 Due to State banks and bankers.. 31,381.12 780. 70 | Dividends unpaid $250,000. 00 125,000.00 54, 933.45 45, 000. 00 22, 258. 31 207, 955. 29 \ Individual deposits 1,179.13 I United States deposits 49, 094. 25 1 5, 405. 00 I Deposits of U.S.disbursing officers. : Notes and bills rediscounted 2, 250. 00 Bills payable Liabilities other than those above i stated 1,142,095.87 Total 436, 948. 82 i 1,142,095.87 Carolina National Bank, Columbia. No. 1680. W. A. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secui e deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc • Bank' g bouse,furniture, and fixtures Other real estate and mortg s owned: Due from other national banks \ Due from State banks and bankers. j Due from approved reserve agents.) Checks and other cash items Exchanges for clearing house j Bills of other national banks I fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit | Redemption fund with Treas. U. S.j Due from Treasurer U, S j Total. W I L I E JONES. Cashier. $659,529. 77 Capital stock paid in ' $100, 000. 00 28, 628. 00 25, 000. 00 i Surplus fund 75, 000. 00 I Undivided profits, less current expenses and taxes paid ; 28, 835.85 ! National-bank notes outstanding.; 22,500.00 6,095. 00 State-bank notes outstanding \ 10,000.00 9,076. 90 Due to other national banks 10,904. 33 \ 13,591.80 Due to State banks and bankers.. i 7, 424. 24 13, 397. 78 39, 012. 31 Dividends unpaid ; 37.50 19,711.08 ! Individual deposits ! 481,998.87 '""i," 750." 66"| Unitfd States deposits !. 142. 80 ] )eposits of U. S.disbursingomcers.!. 8, 228. 00 2, 000. 00 Notes and bills rediscounted 85, 587. 65 25, 000. 00 i Bills payable 1,125.00 i ! .; Liabilities other than those above stated 837, 288. 44 Total. 837, 288. 44 Central National Bank, Columbia. A. X. TALLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... | IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds \ Stocks, securities, etc j Bank'gbouse,furniture,and fixtures; Other real estate and mortg's ownedj Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender n otes IT. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer TJ, S Total. No. 1765. J . H. SAWYER, Cashier. $204,561.14 ! Capital stock paid in 4,225. 80 ! 25,000. 00 j Surplus fund i Undivided profits, less current | expenses and taxes paid 2, 500. 00 ! National-bank notes outstanding. 21,800. 00 .! State-bank notes outstanding 31, 455. 00 11,778.86 Due to other national banks 6,461.00 5,565.65 Due to State banks and bankers.. 7,380.28 |j Dividends unpaid 2,802.00 1 1 Individual deposits 5, 962. 00 i j United States deposits 87.90 i! Deposits of U.S.disbursingoflficers. 7, 522. 50 5, 000. 00 |j Notes and bills rediscounted.. || Bills pay able 1,125.00 |j . Liabilities other than those above 343, 227.13 Total . $100,000.00 30, 000.00 1,013.71 22,500. 00 9, 328. 66 1, 208. 29 9.00 159,167.47 20, 000. 00 343, 227.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH 1065 CAROLINA. City National Bank, Greenville. No. 5004. G. A. NORWOOD, President. E. R. LUCAS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Battk'ghou8e,furniture,ancl fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other casb items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from TreasurerU, S Total. $146,195. 45 3, 075. 27 25, 000. 00 4, 078. 13 9,424. 25 168.18 866. 01 837. 73 6,196. 53 26. 95 5, 375. 65 1, 290. 00 1,125. 00 203, 869.15 i Capital stock paid in Capital stock not certified Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $80, 000.00 7,030. 00 3,705. 21 22, 500. 00 Due to other national banks Due to State banks and bankers. . Dividends unpaid Individual deposits United States deposits Depositsof U .S.disbursingofficers. Notes and bills rediscounted. Bills payable 90, 633. 94 Liabilities other than those above stated Total. 203,869.15 National Bank, Greenville. W. E. BEATTIE, Cashier. No. 1935. HAMLIN BEATTIE, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation...! U. S. bonds to secure deposits | U. S. bonds on hand I Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $236,958.34 !j Capital stock paid in 13,486.78 1 1 100,000.00 j! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 33, 344. 63 State-bank notes outstanding 500.00 1, 032. 42 Due to other national banks C, 846. 41 Due to State banks and bankers.. 5,474. 65 14,167. 00 Dividends unpaid 4,114.18 Individual deposits 4,648. 00 United States deposits 335. 31 Depositsof U.S.disbursingofficers. 23, 264. 50 5, 919. 00 Notes and bills rediscounted Bills payable 4,500. 00 Liabilities other than those above $100, 000.00 20, 000. 00 79.418.00 89, 200. 00 248. 51 3, 068.43 690.00 161, 966. 28 stated 454,591.22 Total. 454,591. 22 National Bank, Laurens. JNO. A. BAEKSDALE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of depositRedemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3540. JNO. AUG. BARKSDALE, Cashier. $98, 606. 88 Capital stock paid in. $63, 000.00 291. 56 16, 000. 00 Surplusfund 12,600.00 Undivided profits, less current expenses and taxes paid 387.27 Nationai-bank notes outstanding. 14,260.00 424.08 State-bank notes outstanding 3, 975. 55 4,982. 60 Due to other national banks 683.73 248. 51 Due to State banks and bankers.. 498.14 5.15 6, 682. 46 Dividends unpaid 302.00 236. 22 Individual deposits 38,460.47 2, 235. 00 United States deposits 219. 50 Depositsof U.S.disbursingofficers. 7, 019.10 3,545. 00 Notes and bills rediscounted. Bills payable 15,000. 00 720.00 145,191.61 Liabilities other than those above stated Total. 145,191.61 1066 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH €AROLHA. National Bank, Newberry. No. 1844. R. L. MCCAUGHRIN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $388, 881. 06 10, 000. 00 37, 500.00 I j Surplus fund $150, 000.00 75, 000. 00 | Undivided profits, less current | expenses and taxes paid j National-bank notes outstanding. 2, 015. 00 State-bank notes outstanding.. .1. 6, 000.00 930. 67 Due to other national banks 2,371.96 35,473.17 Due to State banks and bankers.. 32,101.30 "6,000.00 240.00 15, 354. 00 5, 784. 00 1, 687. 50 544, 338. 66 Total. T. S. DUNCAN, Cashier. Liabilities. Capital stock paid in. 24, 545. 67 33,750.00 4, 516.38 295. 61 400.00 Dividends unpaid 175, 322. 65 Individual deposits United States deposits Deposits of U. S. disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above 40, 000. 00 40, 508. 35 stated Total. 544,338.66 First National Bank, Rock Hill. No. 3616. W . L. RODDEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. H. MILLER, Cashier. $188,819. 70 I Capital stock paid in. 8,996. 71 18, 750. 00 Surplus fund I $75,OOoToO 10, 500. 00 Undivided profits, less current expenses and taxes paid 2, 500.00 National-bank notes outstanding. 6, 300.00 State-bank notes outstanding 18, 021.77 16, 835. 00 1, 586. 98 Due to other national banks 1, 793.30 11,013. 27 1,743.24 12, 650. 94 Due to State banks and bankers.. 5, 510. 64 Dividends unpaid 660. 79 Individual deposits United States deposits 203.12 Deposits of 0". S.disbursing officers. 5, 826. 45 3, 712.00 Notes and bills rediscounted. Bills payable 843.75 258,104.32 119,940.98 5, 000. 00 Liabilities other than those above stated Total. 258,104. 32 Central National Bank, Spartanburg. W. A. LAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4996. $113, 397. 77 2, 389. 94 25,000.00 1,031, 25 400. 95 1,179. 28 2, 263.43 2, 308. 62 42.06 460. 00 98.34 9, 757. 90 5, 346. 00 1,115. 00 164,790.54 J. C. EVINS, Cashier. Capital stock paid in Capital stock not certified Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. j $90,000.00 1,380.00 2,913.71 22, 300.00 3, 453.92 3,219.73 37,203.18 4, 320. 00 164,790.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1067 SOUTH CAROLINA. National Bank, Spartanburg. No. 1848. GEO. COFIELD, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation -.. U. S. bonds to secure deposits TJ. S bonds on hand Premiums on TJ. S bonds Stocks securities etc Bank'g house,furniture,and fixtures Other rea. estate and mortg's owned Due frou othei national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie " . Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total W. E. BURNETT, Cashier. Liabilities. $259, 240.75 25, 082. 02 25, 000. 00 100. 00 22, 771. 63 17, 524. 21 5,511.35 48,125.83 6,164. 39 Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 5, 240.09 13,961.33 Dividends unpaid Individual deposits *2,"485."66"i United States deposits ' 3.65 Deposits of U.S.disbursing officers. 13,911.84 5, 000. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above 432, 045. 67 20,000.00 58, 825. 92 22,100. 00 stated Total 181,918. 33 30, 000.00 432, 045.67 Simonds National Bank, Sumter. R. M. WALLACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds « Stocks, securities, etc Bank'g house, furniture, and fixtures Other realestato and niortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S L. S. CARSON, Cashier. No. 3809. $75, 000. 00 Capital stock paid in. 13, 500.00 Surplus fund Undivided profits, less current 774.89 expenses and taxes paid 1, 750. 00 16, 875.00 National-bank notes outstanding. 4, 900. 00 State-bank notes outstanding $174, 530. 85 2, 072. 66 18, 750.00 5, 486. 45 1,454. 03 3 279.94 9J794 64 24, 463 96 450. 00 127.46 10, 647. 00 9, 852. 00 843.75 268,402. 74 Total. Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits ofU.S. disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 227. 30 136,025. 55 25, 000.00 268,402.74 Merchants and Planters' National Bank, Union. F. M. FARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. §. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national.banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 8. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2060. $143, 588.15 1,117. 21 15, 000. 00 GEO. MUNKO, Cashier. Capital stock paid in. $60, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 47, 276. 01 Due to other national banks Due to State banks and bankers. 3,388. 71 3,477.42 10, 340. 00 2, 000. 00 4,199. 56 176. 90 209. 36 750. 00 94.82 11,677.75 675.00 179,488. 75 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 360.00 54, 646.61 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 179,488.75 1068 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. Winnsboro National Bank, Winnsboro. G. H. MCMASTER, President. No. 2087. T. K. ELLIOTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on II. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . Liabilities. Capital stock paid in. Surplus fund \ Undivided profits, less current i expenses and taxes paid 2,625.00 National-banknotes outstanding. 51,512.50 I State-bank notes outstanding 10,000.00 890. 00 | Due to other national banks 4, 978. 88 I Due to State banks and bankers.. 1, 532, 28 8, 801. 35 i Dividends unpaid i Individual deposits ! 725.00 I United States deposits 183.66 DepositsofU.S.disbursingofficers-j. 4, 475. 00 1, 200. 00 Notes and bills rediscounted j Bills payable 1,125.00 Liabilities other than those above stated 330,939.57 Total. $100, 000.00 35, 000. 00 8, 462. 78 22, 500. 00 104.78 2, 603.12 895.00 74, 373. 89 87, 000.00 330,939.57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1069 SOUTH DAKOTA. First National Bank, Aberdeen. No. 2980. C. F . EASTON, President. S. H. JUMPER, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $50, 000.00 116, 789. 86 Total . $46, 374. 28 | Capital stock paid in 345. 57 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 14, 629.43 State-bank notes outstanding 8. 200. 00 7, 050. 00 Due to other national banks 1, 225. 76 Due to State banks and bankers.. 340.. 20 14, 400. 23 Dividends unpaid 270.32 Individual deposits 1 500.00 United States deposits 11.57 Deposits of U .S.disbursing officers. 1, 480. 00 7, 900. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 116, 789. 86 Total . 5, 000.00 556.95 11,247. 50 2, 307. 58 47, 677.83 Aberdeen National Bank, Aberdeen. No. 3326. ROBERT MOODY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S ! $119,776.28 885.74 19,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,232. 50 National-bank notes outstanding. 20. 290. 58 State-bank notes outstanding 15,000.00 4 993.03 Due to other national banks '. Due to St^te banks and bankers. J 8, 690.13 29.915.11 Dividends unpaid 2, 795. 22 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 5,805. 61 9, 900. 00 Notes and bills rediscounted. Bills payable $75, 000.00 15, 000.00 1,310.52 17,100. 00 16, 824.45 114, 904. 23 Liabilities other than those above stated 240,139. 20 Total . F. W. BROOKS, Cashier. Capital stock paid in. Total 240,139.20 First National Bank, Brookings. T. L. FiSHBACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on 0". S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtu res Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearinghouse Bills of other national jbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. HORACE FISHBACK, Cashier. No. 3087. $138, 429. 25 Capital stock paid in. $50, 000. 00 3, 634. 88 12, 500. 00 Surplus fund . 10, 000. 00 Undivided profits, less current expenses and taxes paid 6, 839.44 1,411.21 National-bank notes outstanding. 11, 250. 00 23,457.16 State-bank notes outstanding 13,024.18 1,919.60 Due to other national banks 5, 091.71 Due to State banks and bankers.. 1, 588. 97 11,343.68 Dividends unpaid 2, 000.00 1,130. 74 Individual deposits 154, 804.82 3,108.00 I United States deposits 239.40 Deposits of U. S. disbursing officers. 24,634.75 j 3,000.00 Notes and bills rediscounted Bills p%able 562. 50 1.65 Liabilities other than those above stated 239,985.97 Total. 239, 985.97 1070 REPORT OF THE COMPTROLLER OF THE CURRENCY. S O U T H I> A KO T A . First National Bank, Canton. No. 2830. JUDD, President. H. ANDERSON, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts | U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on band I Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.! Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house ! Bills of other national banks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas U. S. Due from Treasurer U. S Total . $83,448.17 ! Capital stock paid in. 674.30 i 12,500.00 | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 2, 689.11 State bank notes outstanding 10, 745. 00 7,151.93 Due to other national banks 3,137.28 Due to State banks and bankers.. "* 6," 624 "39" Dividends unpaid $50, 000. 00 8, 200. 00 11, 250. 00 10, 734. 75 1, 020. 00 1, 029. 53 845. 00 47.02 9, 225. 05 2, 000. 00 562.50 Individual deposits United States deposits DepositsofU.S.disbursingomcers. Notes and bills rediscounted Bills payable 50, 962.03 7, 612. 50 Liabilities other than those above stated Total. 140, 679. 28 140, 679. 28 National Bank, Canton. No. 4637. F . H. BACON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $38, 082. 25 75.49 12, 500.00 L. H. LARSEN, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 2,935.05 ! State-bank notes outstanding 18,072.09 j Due to other national banks 654.52 Due to State banks and bankers.. 6,014.40 Dividends unpaid. 1,267.00 Individual deposits 255. 00 United States deposits 57.15 DepositsofU.S.disbursingomcers. 2,341.55 1, 450.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total . 84, 267. 00 700. 00 11, 250. 00 22,312.03 84, 267. 00 First National Bank, Clark. FEED WARE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other nationa? banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3479. $90,174. 84 1,163.19 15, 000. 00 9,449. 62 5, 262. 77 9, 653.30 507. 96 151. 74 56.17 2, 649. 25 2, 285. 00 675.00 137, 028.84 CARL JACKSON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 13, 500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 81.69 Individual deposits United States deposits DepositsofU.S.disbursingomcers. 38,614. 05 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 24, 833.10 137, 028.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1071 SOUTH DAKOTA. First National Bank, Ouster City. No. 4448. D. CARRIGAN, President. W. F . HANLEY, Cashier. Resources. Liabilities. Total. $44,353.23 | Capital stock paid in. 49.64 I 12, 500. 00 i Surplus fund j • | Undivided p , profits, less current expenses and taxes paid National-bank notes outstanding 31,365.75 State-bank notes outstanding 1,800.00 1,880.00 Due to other national banks 4,802.41 Due to State banks and bankers.. 1,125.53 8,619.89 Dividends unpaid 2. 551. 25 Individual deposits 315. 00 United States deposits 2.05 Deposits of U.S.disbursingoflicers. 5,815.75 3, 425. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated $50, 000. 00 119,168.00 Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on band.. Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from othei; national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house \ Bills of other national banks | Fractional currency,nickels,cents. | Specie J L^gal-tender notes j TJ. S. certificates of deposit ! Redemption fund with Treas. U S.j Due from Treasurer U. S i 119,168.00 Total. 4, 200. 00 2, 387.91 11,250.00 811. 87 50,518.22 First National Bank, Dead wood. No. 2391. O. J . SALISBURY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits? U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $240, 729. 55 17, 299. 34 25, 000. 00 50, 000. 00 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 9, 750. 00 188,800.54 26, 200.00 36, 040. 05 Due to other national banks 1, 421. 73 Due to State banks and bankers. 11,034.52 47, 394. 90 Dividends unpaid 1, 244. 57 Individual deposits 2,641.00 United States deposits 53.45 ! Deposits of U.S.disbursingofficers 40,513.75 I 20,000.00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 719, 248. 40 Total. D. A. MCPHERSON, ( Capital stock paid in. Total . 100,000. 00 2, 267. 77 22, 500. 00 7, 715.49 9, 941.31 431, 823. 83 42,115. 79 2,884. 21 719, 248. 40 American National Bank, Deadwood. HARRIS FRANKLIN, President. No. 4983. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S.| Duo from Treasurer U. S $242, 015. 27 2, 878. 46 12,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 593. 75 National-bank notes outstanding. 39,616.56 State-bank notes outstanding 2, 251. 78 Due to other national banks I, 3,157. 86 Due to State banks and bankers.. I 745.14 [, 118,167. 32 Dividends unpaid 4, 045. 66 Individual deposits 1,490. 00 United States deposits 68.65 DepositsofU.S.disbursingofficers.I. 30,125.10 5, 000. 00 """562." 50* $5o,ooo7oo 5, 980. 93 11, 250. 00 16, 206.09 380, 781. 03 Notes and bills rediscounted Bills payable Liabilities other than those above stated I Total. BEN BAER, Cashier. Capital stock paid in. 464,218.05 Total. 464, 218.05 1072 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH DAKOTA. First National Bank, Dell Rapids. No. 3508. O. F . BOWLES, President. M. R. KENEFICK, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.TJ. S. Due from Treasurer U. S $118,285.23 || Capital stock paid in. O 776. TO 3, I7I7C 79 18, 750.00 665.42 17, 500. 00 10,007.11 2, 276. 07 2, 978. 50 2,220. 28 100. 59 5, 838. 25 1, 907. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 10, 000. 00 16, 875. 00 r Individual deposits United States deposits DepositsofU.S.disbursingofficer8. 67, 773. 99 Notes and bills rediscounted. Bills payable. 15, 500. 00 843. 75 Liabilities other than those above stated 185,148.99 Total . $75,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 185,148.99 First National Bank, Huron. THOS. H. CAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national bunks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2819. J . M. MACKENZIE, Cashier. $42,154.12 Capital stock paid in. 1,157.61 ! 20,000.00 Surplus fund 50,000.00 ; Undivided profits, less current expenses and taxes paid 8, 500. 00 National-bank notes outstanding. 49,713.28 State-bank notes outstanding.. ' 16, 000. 00 1,221. 03 Due to other national banks : 1,199. 73 Due to State banks and bankers.. j 722. 09 36,908. 29 Dividends unpaid 586.52 Individual deposits 3,531.00 |i United States deposits Deposits of U.S. disbursing officers. 12, 734. 55 6, 000.00 Notes and bills rediscounted. Bills payable $75, 000. 00 15, 000. 00 1,227.05 18, 000. 00 6, 924. 62 84, 890. 85 42, 635.14 7, 650. 56 Liabilities other than those above stated Total . 251, 328. 22 251, 328. 22 National Bank of Dakota, Huron. F. R. BRUMWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits I ! U. S. bonds on hand Premiums on U. S. bonds I Stocks, securities, etc Bank'g house,furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve'agents. Checks and other cash items Exchanges for clearing hous* Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3636. H. A. MAXPIELD, Cashier. $40,865.44 : Capital stock paid in. I 20.85 1 1 I 12,500.00 i Surplusf und | Undivided profits, less current expenses and taxes paid j National-bank notes outstanding. | 5,735.00 1 State-bank notes outstanding...'.. 1. 1 15,500.00 ! 200.00 ! Due to other national banks 3,915.16 !i Due to State banks and bankers.. I. 9,004.77 |i 2,085.07 ' Dividends unpaid. 259.83 !j Individual deposits 736. 00 United States deposits 22. 39 Depositsof U.S.disbursingofncers 1,435.60 7, 000. 00 '"*562*56'! Notes and bills rediscounted Bills payable $50,000~00 2, 300. 00 1,910.01 11, 250. 00 34,382. 60 .j Liabilities other than those above stated 99, 842. 61 Total . 99, 842. 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH 1073 DAKOTA. First National Bank, Lead. T. J . GRIER, No. 4631. President. R. H. DRISCOLL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg' s owned Duo from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing hou Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S \ Total. Liabilities. $107, 205. 33 5, 779. 23 12, 500. 00 1,250.00 32. G61. 06 10.104. 32 12. 158. 65 14.720 96 150 580 22 53,00 233. 00 216. 27, 572. 00 7, 550. 00 Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 300.00 2, 290. 98 11,250.00 Due to other national hanks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. I 312,311.46 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated Total . 383,152. 44 383,152.44 First National Bank, Madison. F. D. FlTTS, President. No. 3149. Gr. L. MCALLISTER, Cashier. Total. $89,063.60 1 Capital stock paid in 995.52 ! 12,500.00 ! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 11,739.20 State bank notes outstanding 9, 930. 00 8, 952. 28 Due to other national banks 367. 47 Due to State banks and bankers. 9, 083. 34 4,700.41 Dividends unpaid 528. 28 Individual deposits 4, 000. 00 United States deposits 126. 05 Depositsof U.S.disbursing officers. 6, 041. 00 2,153.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above $50, 000. 00 160, 742. 65 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. (hecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treaa. U. SDue from Treasurer U. S 160, 742. 65 stated Total. 11,500.00 8, 730.58 11, 250. 00 79, 262. 07 First National Bank, Mitchell. JOHN D. LAWLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes I U. S. certificates of deposit Redemption fund wit h Treas. U. S -! Due from Treasurer U. S ! Total. 0UR? PT 2 No. 2645. $112, 565. 74 3, 011. 76 13, 000. 00 1,650.00 8,723.61 11,000.00 10,132.78 10,808.71 | 164.91 ! 11,75986 1,907.48 508.37 1,312.00 245.16 7, 658. 40 2, 000. 00 ! ""'585."oo" 197,033.78 j 68 F . E. MOSES, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due 1 o other national banks Due to State banks and b a n k e r s . . $50, 000. 00 25, 000.00 1,025.09 11,300.00 26,021. 80 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. | 83, 686. 89 Notes and bills rediscounted Bills payable: Liabilities other than those above stated Total 197, 033. 78 1074 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH DAKOTA. Mitchell National Bank, Mitchell. "W. G. DAVISON, President. N. L. DAVISON, Cashier. No. 3578. Resources. Liabilities. Loans and discounts j Overdrafts \ TJ. S. bonds to secure circulation... \ U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds j Stocks, securities, etc ! Bank'ghouse,furniture,and fixtures Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ; Exchanges for clearing house Bills of other national banks I Fractional currency, nickels, cents, j Specie j Legal-tender notes J TJ. S. certificates of deposit Kedemption fund with Treas. U. S.j ! Due from Treasurer U. S $92,107. 96 Capital stock paid in 2,171.19 12, 500. 00 | Surplus fund , j Undivided profits, less current I expenses and taxes paid ! 1, 500. GO National-bank notes outstanding.j 3,981.29 ! State-bank notes outstanding-. 7. 000. 00 2, 329. 64 | Due to other national banks i 15, 677. 27 I Due to State banks and bankers. .! 8, 790. 04 11, 469. 46 Dividends unpaid | 249.71 Individual deposits 325.00 J United States deposits ;. 477. 06 j; Deposits of U.S. disbursing officers, j . 6, 388. 95i | • ! 2, 877. 00jj Notes and bills rediscounted ! ! I Bills pay able . 562. 50 Liabilities other than those above ! stated Total . 168, 407. 07 Total . $50, 000. 00 2, 700. 00 19, 667. 27 11,250.00 14,764.48 70, 025. 32 168,407. 07 First National Bank, Parker. L. K. LORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc...' Ban k'g house, furniture,andfixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing housi Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S F. L. CLISBY, Cashier. No. 3675. $59,587.96 !j Capital stock paid in Ij $50, 000.00 1,122.93 |i I 10, 000. 00 12,500.00 i| Surplus fund j J; Undivided profits, less current I 1, 556. 73 ii expenses and taxes paid j 10, 850. 00 National-bank notes outstanding.; 3, 645. 80 State-bank notes o u t s t a n d i n g . . . . . L 10,719.66 5, 033. 38 Due to other national banks 18, 083. 09 Due to State banks and bankers. 3,407.40 ! Dividends unpaid !. 411.46 i| " • I !j Individual deposits \ 45, 075. 63 806.00 jj United States deposits I. 7.63 jj Deposits of U.S.disbursing officers.•. 2,677.55 3, 820. 00 Notes and bills rediscounted Bills payable 5, 000. 00 562.50 |j 97.00 i Liabilities other than those above || stated 122,482.36 I Total . 122, 482. 36 Total. First National Bank, Pierre. C. C. BENNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. J U. S. bonds to secure deposits ' U. S. bonds on hand j Premiums on U. S. bonds i Stocks, securities, etc Bank'g house,furniture and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit i Kedemption fund with Treas. U. S.j Due from Treasurer U.S i Total. No. 2941. $91, 947. 05 B. A. CUMMINS, Cashier. Capital stock paid in. 12, 500. 00 Surplus fund Undivided profits, less current 1 expenses and taxes paid jj National-bank notes outstanding 5, 480.12 || State-bank notes outstanding 12, 034. 67 4, 349. 37 Due to other national banks Due to State banks and bankers. J 3, 686.12 12, 959. 04 Dividends unpaid 793. 87 Individual deposits 10. 00 United States deposits 119. 26 Deposits of U .S.disbursing officers. j 6, 561. 25 1, 515. 00 Notes and bills rediscounted ! Bills payable j 562. 50 Liabilities other than those above j stated 152, 518. 25 Total. $50, 000. 00 10, 000. 00 667. 95 11,250.00 329.10 67, 771. 20 12, 500. 00 152,518.25 REPORT OF THE COMPTROLLER OV THE CURRENCY. 1075 S O U T H I> A K O T A . National Bank of Commerce, Pierre. J. C. EAGER, President. No. 4279. ADOLPH EWERT, Cashier. Kesources. Liabilities. Loans and discounts j Overdrafts J TJ. S. bonds to secure circulation.. .| IT. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks #. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $126, 988.17 I Capital stock paid in 919.46 25, 000. 00 i Surplus fund fund |i Undivided profits, less current I expenses and taxes paid | National-bank notes outstanding. 1.4, 412. 59 | j State-bank notes outstanding 14, 330. 76 9, 076. 25 Due to other national banks i 3, 935. 51 Due to State banks and bankers..; 9,540.22 !! Dividends unpaid 856.27 fi ! Individual deposits 115.00 j United States deposits 5.64 1 Deposits of U.S.di&bursingofncers. 1 4, 336. 65 3, 074. 00 Notes and bills rediscounted j Bills payable ' .|j Liabilities other than those above stated I 213,715.52 Total . $100, 000. 00 1,000.00 701.40 22, 500. 00 3,425.67 1, 125.00 i 213, 715.52 Pierre National Bank, Pierre. PATTISON F . MCCLURE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. . U. S. bonds to secure deposits TJ.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie j Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.I No. 4104. —, Cashier. Total. $50,000.00 187,174.32 i Due from Treasurer U. S $86,014.81 j| Capital stock paid in 439.06 1 1 12,500.00 || Surplus fund. Undivided profits, less current expenses and taxes paid 1, 125.00 I National-bank notes outstanding. 1,577.20 ; State-bank notes outstanding..... 14,712.07 I 1, 676. 15 Due to other national banks 29,769.88 |Due to State banks and bankers.. 33.35 j 28,995.03j Dividends unpaid 837.85 i 1,005.67 I Individual deposits 325.00 : United States deposits \ 18.30 Deposits ofU.S.disbursing officers. i 582.45 7,000.00 ! ! Notes and bills rediscounted Bills payable 562"50"! Liabilities other than those above ! stated 187,174. 32 Total . 9, 000. 00 215. 87 11,250.00 16, 943. 40 99, 765. 05 First National Bank, Rapid City. RICHARD C. LAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hous( Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3237. JAMBS HALLEY, Cashier. $175,334.40 Capital stock paid in. $50, 000. 00 1, 634.10 12,500.00 Surplus fund 25, 000. 00 Undivided profits, less current expenses and taxes paid 2,413.94 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 391. 73 11, 079. 71 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 199,198. 78 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 304,334.16 Total. 304,334.16 1076 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH DAKOTA. Merchants' National Bank, Redfield. No. 3522. S. E. MORRIS, President. A. LOOMIS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other casb items Exchanges for clearing house Bills of other national banks Fractional currency, nickels ; cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S ! Total . Liabilities. $53, 797. 68 j Capital stock paid in . 136. 36 12, 500.00 j Surplus fund • ! Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding. 10,181.04 ! State-bank notes outstandin; 8, 000. 00 i 3,446.71 Due to other national banks I! Due to State banks and bankers . jj 10, 000.13 j! Dividends unpaid 174. 03 Individual deposits United Statesideposits 55.78 ! Deposits of U.S. disbursingofficers. 1,513.05 | 3, 511. 00 ; Notes and bills rediscounted Bills payable ""562."50'i Liabilities other than those above ! stated I Total . 103,878.28 j $50, 000. 00 10, 000. 00 11,250.00 29, 628. 28 3, 000. 00 103, 878.28 Dakota National Bank, Sioux Falls. GEO. H. BRACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other casb items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . - , Cashier. No. 2843. $210, 931. 71 1, 795.40 12, 500. 00 1, 000. 00 57, 053. 23 2, 800. 00 23, 388. 70 8, 016. 52 11,193.91 18, 985. 70 170.14 877.87 3, 785. 00 95.00 20, 617. 93 10,500.00 562. 50 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 Due to other national banks Due to State banks and bankers .. / Dividends unpaid 39, 300. 76 13, 624. 44 Individual deposits United States deposits DepositsofU.S.disbursingofficers- 205, 238. 31 Notes and bills rediscounted Bills payable Liabilities other than those above stated 10, 000. 00 Total . 384, 273. 61 4, 860.10 11,250.00 384, 273. 61 Minnehaha National Bank, Sioux Falls. PORTER P . PECK, President. ^ Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and rixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3393. _ $239,836.72 \ 5,631.78 i 50,000.00 ! - 50,000.00 j 10, 000. 00 32, 016. 93 3, 000.00 19,199. 81 2,861.65 1, 722. 62 34, 965. 12 863.99 2, 260.19 1, 375. 00 56.40 10,296.10 5, 000. 00 2, 250. 00 T, 500. 00 472, 836. 31 W. L. BAKER, Cashier. Capital stock paid in . Surplus fund v Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $150,000.00 11, 500. 00 3, 044. 88 45, 000. 00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 18, 886. 59 28, 363.10 Individual deposits. United States deposits Depositsof U.S.disbursingofficers. 143, 835.14 28, 312.45 20, 694.15 Notes and bills rediscounted. Bills payable 700. 00 22, 500. 00 Liabilities other than those above stated Total . 472, 836.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 7 7 SOUTH DAKOTA. Sioux Falls National Bank, Sioux Palls. CHARLES E. MCKINNEY, President. No. 2823. CHARLES L. NORTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $88,654. 98 545. 22 25, 000.00 37, 899. 31 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 342.46 22, 000. 00 21,131. 65 2, 536. 57 Due to other national banks Due to State banks and bankers.. 11,891.21 9, 380. 85 91.64 1, 200. 00 1.110.00 44.00 1, 955. 00 8, 097. 00 1,100. 00 Dividends unpaid 54,422. 55 Individual deposits United States deposits Deposits of U .S.disbursing officers. Notes and bills rediscounted Bills payable 10, 000.00 Liabilities other than those above stated 198, 656. 22 Total $100, 000. 00 Capital stock paid in 198, 656. 22 Total Union National Bank, Sioux Falls. EDWIN A. SHERMAN, President. B. H. RE QUA, Cashier. No. 4629. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S,bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. 36, 054. 93 State-bank notes outstanding 2, 500. 00 26, 864. 08 Due to other national banks 2, 220. 64 Due to State banks and bankers. 2,434.13 Dividends unpaid 304. 74 1, 001. 65 Individual deposits 1,150. 00 United States deposits 145.20 !Deposits of U.S.disbursing officers . 4,419.20 5, 500. 00 Notes and bills rediscounted Bills payable-. 1,125.00 Liabilities other than those above stated 175, 781. 67 Total. Total . ( $100, 000.00 1, 000. 00 110.15 22, 500. 00 43,171. 52 4, 000. 00 5, 000. 00 175;78L67 First National Bank, Sturgis. CHARLES FRANCIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U, S Total - H. E. PERKINS, Cashier. No. 3739. $80,971. 89 Capital stock paid in. $50, 000.00 4, 207. 87 6, 000. 00 12,500.00 Surplusfund Undivided profits, less current 706. 23 expenses and taxes paid 11, 250. 00 1,125. 00 National-bank notes outstanding. 2, 555. 86 State-bank notes outstanding 13, 200. 00 Due to other national banks 2,059. 66 Due to State banks and bankers. 7,475.78 Dividends unpaid 1,277.66 63, 714.72 Individual deposits 439. 00 United States deposits 49.23 Deposits of U .S.disbursing officers. 1,386.50 3,500. 00 Notes and bills rediscounted. Bills payable 562. 50 360. 00 Liabilities other than those above stated 131, 670.95 Total. 131,670.95 1078 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH DAKOTA. First National Bank, Vermillion. No. 4603. D. M. INMAN, President. MARTIN J . LEWIS, Cashier. Resources. Loans and discounts | Overdrafts ! U. S. bonds to secure circulation.. .1 U. S. bonds to secure deposits j U. S. bonds on hand I Premiums onU. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items E xchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. Capital stock paid in 17,221.46 8, 358. 30 115.24 6, 538. 03 658. 07 17.49 5, 999. 50 3, 294.00 j $50, 00J. 00 Surplus fund j Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 124,420.52 Notes and bills rediscounted Bills payable. Liabilities other than those above stated 204,475.93 j Total. 8, 805.41 11,250.00 Total . 204,475. 93 First National Bank, Watertown. HOMER D. WALRATH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortal's owned! Due from other national banks ! Due from State banks and bankers. \ Due from approved reserve agents. I Checks and other cash items ! Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2935. SAMUEL B. SHELDON, Cashier. $64,566. Capital stock paid in | $50, 000. 00 412. 25,000. Surplus fund ! 10, 000. 00 Undivided profits, less current expenses and taxes paid 17, 673.19 906. National-bank notes outstanding15, 620. 00 5, 987. State-bank notes outstanding j 7,643. Due to other national banks | 5, 698. 79 Due to State banks and bankers 11,204.97 I Dividends unpaid 594.57 |j I) Individual deposits 43, 783. 26 2, 573. 00 ii United States deposits 46.02 i Deposits of U.S.disbursingofficers. 9,317.25 | 2, 000. 00 ' Notes and bills rediscounted j Bills payable i'i.25'66" Liabilities other than those above stated Total . 137,076.45 i 137, 076.45 Citizens' National Bank, Watertown. ALFRED D. LEET, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, j Checks and other cash items Exchanges for clearing house. Bills of other national oanks. Fractional currency, nickels, centsSpecie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S Total No. 3349. $89,947.13 2,437. 49 12, 500. 00 1,125.00 12, 842. 60 6, 056. 88 1,440.00 2, 252. 92 15, 890. 04 2,049.86 "WALTER D. MORRIS, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current p , dt id expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000.00 4, 509.80 10,130.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingomcers. 83, 352.20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 7 9 SOUTH DAKOTA. Watertown National Bank, Watertown. FOSTER R. CLEMENT, President. No. 3414. C. G. CHURCH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $44, 006. 522. 12, 500. 1.250. 18. 828. 2. 938. 12 140. 19,980.94 661.24 2,000.00 135.64 Capital stock paid i n . . . •0. 000. 00 Surplus fund j. Undivided profits, less current J expenses and taxes paid j National-bank notes outstanding. State bank notes outstanding Due to other national banks Due to State banks and bankers.. I Dividends unpaid ( j : j Individual deposits ij United States deposits I | Deposits of U.S.disbursingofficers. 4, 664. 50 434.17 11, 250.00 10,108. 09 50, 398. 99 j 2, 000. 00 !! Notes and bills rediscounted i! Bills payable 562.50 i! .-.. | j| Liabilities other than those above jl ! stated 122,191.25 Total . 122,191. 25 First National Bank, Yankton. J . C. MCYAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers. i Due from approved reserve agents. Checks and other cash items Exchanges for clearing house I Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S.j Due from Treasurer U. S Total. W. H. JVJCVAY, Cashier. No. 2068. $75, 221.19 Capital stock paid in ! $50, 000.00 40.08 12, 500.00 Surplus fund 25, 000.00 Undivided profits, less current \ 1, 270. 22 expenses and taxes paid 11,250.00 1. 600. 00 National-banknotes outstanding. 2, 371. 28 i State-bank notes outstanding I. 10,392.04 !| j Due to other national banks i. 25,061.30 Due to State banks and bankers..!. 2, 998. 35 1,308.29 1, 029. 00 61.19 6, 328. 70 4, 000. 00 " 562. 50 Dividends unpaid 36.00 Individual deposits United States deposits ' Deposits of U.S.disbursing officers.f 55, 917. 70 ; Notes and bills rediscounted Bills payable | Liabilities other than those above i stated ; 143,473.92 |. Total. 143, 473. 92 Yankton National Bank, Yankton. NEWTON EDMUNDS, President. Loans and discounts j Overdrafts ; U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4613. W M . H. EDMUNDS, Cashier. $95, 347. 51 Capital stock paid in 128.91 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 1,486.18 State-bank notes outstanding 25, 318. 75 Due to other national banks 12,253.01 Due to State banks and bankers 57.58 5, 914. 72 Dividends unpaid 2, 294. 67 Individual deposits io."ob" United States deposits | 119.33 Deposits of U.S. disbursing officers.! 17, 724.15 5,010.00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 223, 914. 81 Total . $50, 000. 00 10,000.00 5,791.87 45, 000. 00 113,122.94 223, 914. 81 1080 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. First National Bank, Athens. J . D. WILLIAMS, President. No. 3341. ROBERT J . FISHER, Cashier. Resources. Liabilities. $83, 049. 99 1,763.84 19, 000. 00 Loans and discounts Overdrafts U. S, bonds to secure circulation.... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums onU.S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Thanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 300. 00 National-bank notes outstanding. 291.23 I) State-bank notes outstanding. 6. 900. 00 28,095.16 Due to other national banks 11, 984. 21 Due to State banks and bankers.. 233. 08 2, 087.17 Dividends unpaid 136. 24 Individual deposits 252.00 United States deposits 127.29 Deposits of U.S.disbursingofficers. 5,618.55 1,600.00 Notes and bills rediscounted. Bills payable 855. 00 Liabilities other than those above stated Total. Capital stock paid in. 15, 000. 00 Total 164, 293. 76 708. 87 17,100. 00 747.57 55, 737. 32 164, 293. 76 National Bank, Bristol. JOHN C. ANDERSON, President. No. 2796. Loans and discounts J Overdrafts I TJ. S. bonds to secure circulation... I TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total j $210, 539.16 679. 53 25,000. 00 J O H N B. BAUMGARDNER, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 3, 557. 40 22, 500.00 17,178. 69 2, 238. 02 4, 950. 00 Due to other national banks 17,125. 43 Due to State banks and bankers.. 5,119.34 20, 573. 31 Dividends unpaid 1,941.84 Individual deposits "i," 500." 00 United States deposits 425. 20 Deposits of TJ. S .disbursing officers. 11, 392. 00 8. 485. 00 Notes and bills rediscounted. Bills payable 1,125. 00 200. 00 Liabilities other than those above stated 176, 486. 91 328,472. 52 328,472. 52 Total . 3, 435. 52 2, 492. 69 First National Bank, Centerville. H. CLAGETT, President. Loans and discounts I Overdrafts ! TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse.f urniture,au(l fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national "banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. V. S. Due from Treasurer U. S Total . J. B. WALKER, Cashier. No. 3288. $91, 073. 34 460. 01 12, 500. 00 1,100.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 1, 680. 44 11, 250. 00 5, 200. 00 Due to other national banks 29, 394. 07* Due to State banks and bankers. 12,468.63 Dividends unpaid 47.30 Individual deposits ' 100.00 United States deposits 84.45 Deposits ot'U.S.disbursing officers.' 5,184.15 500. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 158.074.45 • Total . 85, 744. 01 158, 674. 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1081 TE S S E E, First National Bank, Chattanooga. T. G. MONTAGUE, President. No. 1606. J. H. RATHBURN, Cashier. Resources. $1,029,813.79 Loans and discounts Capital stock paid in . 3, 442. 83 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits, less current 50, 000. 00 TJ. S. bonds on hand expenses and taxes paid 6, 250. 00 National-bank notes outstanding. Premiums on U. S. bonds 66, 890. 04 State-bank notes outstanding Stocks, securities, etc Bank'g house, furniture,and fixtures 103,640.00 Other real estate and mortg's owned 65,021.43 Due to other national banks Due from other national banks 50, 066. 96 Due to State banks and bankers.. Due from State banks and bankers. 21,076.30 Due from approved reserve agents. 217,812.57 Dividends unpaid 5, 985. 31 Checks and other cash items Exchanges for clearing house 10, 432.15 Individual deposits 20,055,00 Bills of other national banks United States deposits 566. 62 Deposits of TJ.S.disbursingoflicers Fractional currency, nickels, cents. 75,131.00 Specie 111,167.00 Notes and bills rediscounted. Legal tender notes Bills payable TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer TJ. S Liabilities other than those above stated 1, 889, 601. 00 Total. Total. Liabilities. $200, 000. 00 300, 000.00 17,341.75 37, 250. 00 21,321.91 22, 326.54 1,291,360.80 1, 889, 601. 00 Third National Bank, Chattanooga. W. B. MITCHELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks..... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . No. 2559. $213, 669. 68 203.04 50, 000. 00 50, 000. 00 3, 000. 00 17,860. 54 42, 291.10 6, 866. 25 IB, 833. 95 3,104. 61 34, 865. 91 873. 69 4,492.81 2,150. 00 401, 89 18, 645. 50 17,300.00 CHAS. O. LUTZ, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. $150, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 509. 84 35, 536.80 Individual deposits United States deposits Deposits of U.S.disbursing officers 204, 307. 80 4,138. 20 28,774.93 11,541.40 45, 000. 00 State-bank notes outstanding Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 481, 808. 97 Total . 481, 808. 97 Chattanooga National Bank, Chattanooga. CHAS. A. LYERLY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation -.. U. S. bonds to secure deposits U S bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Ban kg house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3691. J. S. O'NEALE, Cashier. $675,861.92 $300, 000.00 Capital stock paid in 1,588.51 50,000.00 Surplus fund 60, 000. 00 Undivided profits, less current 14, 641. 08 expenses and taxes paid 6, 500. 00 National-bank notes outstanding. 45, 000. 00 39,608.53 State-bank notes outstanding 6,000.00 11,959.36 Due to other national banks 52,434. 36 11,692.34 Due to State banks and bankers.. 38, 041.91 4, 560. 29 45, 700. 65 Dividends unpaid 840. 00 4,665.03 6,482. 86 Individual deposits 412, 082. 90 4,335.00 United States deposits 230.51 Deposits of U.S.disbursing officers. 21,605.25 30,000.00 j Notes and bills rediscounted Bills payable 2, 250. 66 Liabilities other than those above stated 923,040.25 Total 923, 040.25 1082 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. First National Bank, Clarksville. No. 1603. B. W. MACRAE, President. R. D. MOSELEY, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... D. S. bonds to secure deposits IT. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractiona currency, nickels, cents. Specie Legal-tendex notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. $132, 027.14 7,564.75 25, 000. 00 2, 000. 00 54.62 1, 000. 00 Capital stock paid in | $100,000.00 Surplus fund 1 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,001. 03 21, 800.00 Due to other national banks 62, 721. 98 Due to State banks and bankers. 25.40 95, 842. 94 Dividends unpaid 871. 65 Individual deposits 27,458*00 United States deposits 161.50 Deposit s of U.S.disbursingoflicers. 20, 900. 00 30, 000. 00 Notes and bills rediscounted Bills payable " 1,125.60 Liabilities other than those above stated 406,752. 98 Total. Total . 25,000. 00 249, 951. 95 406, 752. 98 Clarksville National Bank, Clarksville. No. 2720. H. C. MERRITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U . S . bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $188, 503. 31 11,870.71 25, 000. 00 2, 250. 00 26,102. 20 1,800.00 12, 034. 75 23, 202. 84 2, 222. 75 45,247. 27 3, 428. 03 13, 376. 00 21.14 54, 425. 75 25, 000. 00 1,125. 00 I A. HOWELL, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 3, 927. 91 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8,423. 64 1, 069.05 Individual deposits United States deposits Deposits of U. S. d isbursing officers. 289, 689.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 435, 609. 75 Total. 435,609.75 Cleveland National Bank, Cleveland. J . H. CRATGMILES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national tmnks Fractional currency, nickels, cents. Specie Legal-tender notes U'. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1666. J . E. JOHNSTON, Cashier. $321,309.03 j Capital stock paid in. 2,869.32 ' 37, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 21,937.34 State-bank notes outstanding 4, 000. 00 25, 343.49 Due to other national banks 13, 291. 57 Due to State banks and bankers.. 172.07 1, 395. 60 Dividends unpaid 1,107. 81 Individual deposits United States deposits 49.60 Deposit s of U.S. disbursing officers . 10, 765. 00 4, 555. 00 Notes and bills rediscounted Bills payable 1, 687. 50 Liabilities other than those above stated 445, 783. 33 Total. $150, 000.00 60, 000. 00 84,857.44 33, 750. 00 143.08 199. 24 114, 333.57 2, 500.00 445, 783. 33 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1083 TE SSEE . Maury National Bank, Columbia. GEORGE T. HUGHES, President. No. 4849. C. A. PARKER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on XL S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $187,690. 03 6, 241. 25 15, 000. 00 8,494.80 9,500.00 $60, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 3, 957. 06 Due to State banks and bankers 1, 180. 07 15,633. 43 Dividends unpaid 451.71 Individual deposits 210. 00 United States deposits 154. 92 Deposits of U.S.disbursing officers. 15, 379. 60 7, 250. 00 azotes and bills rediscounted. Bills payable 675.00 Liabilities other than those above stated 271,817.87 Total . 8, 000. 00 3, 141. 22 13, 500. 00 187,176.65 271,817.87 First National Bank, Fayetteville. H. K. BRYSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . R. FEENEY, Cashier. No. 2114. $133,403. 93 Capital stock paid in. $60, 000. 00 868. 71 15, 000. 00 Surplus fund 15, 000. 00 Undivided profits, less current 8,181. 33 expenses and taxes paid 1,800.00 National-bank notes outstanding. 13, 500.00 1,995.75 State-bank notes outstanding 6, 000. 00 375.00 Due to other national banks 13,159. 92 I Due to State banks and bankers. 4, 770. 77 5,573.51 I Dividends unpaid 500.00 346.11 |! Individual deposits I 124, 200. 34 7, 299. 00 i I United States deposits 129. 22 j ] Deposits of U.S.disbursing officers.! 25, 984. 75 !i 4, 000. 00 || Notes and bills rediscounted — Bills payable 675. 00 Liabilities other than those above stated Total . 221,381.67 I 221,381.67 Elk National Bank, Fayetteville. ROBERT D. WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,ftirniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3702. $103,160.15 1, 866. 73 12, 500. 00 900.00 5, 000. 00 5, 000. 00 W. B. DOUTHAT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 7, 574.92 11, 250. 00 Due to other national banks '20,"873."53" 131.63 4,515.75 98.05 " "7"656."00' 87.18 17,103. 80 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof bills rediscounted. Notes and U.S.disbursingomcers. Bi 11s payable 805.00 99, 825.40 562. 50 Liabilities other than those above stated 179, 455. 32 Total. 179, 455. 32 1084 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. National Bank, Franklin. No. 1834. D. B. CLIFFE, President. J. L. PARKES, Cashier. Resources. • Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Tbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . Liabilities. $216,167.55 4, 819. 79 25, 000. 00 7,047.89 3, 000. 00 6, 774. 53 1,798.82 11,320.69 89.84 350. 00 273.88 5, 914. 50 600. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 27, 000.00 6,184. 93 22, 050. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits | United States deposits I Deposits of U .S.disbursingofficers. j 129, 047. 56 Notes and bills rediscounted ! Bills payable | "i," 125." 66" Liabilities other than those above stated Total . 284,282.49 284, 282. 49 First National Bank, Gallatin. J o s . "W. BLACKMORE, President. No. 4236. Loans and discounts $123, 795. 85 Overdrafts 5, 579.51 U. S. bonds to secure circulation... 12, 500.00 U. S. bonds to secure deposits U. S. bonds on hand j Premiums ouU. S. bonds j 1 J25. 00 , Stocks, securities, etc 13, 266.19 Bank'ghouse,furniture,and fixtures 9, 750. 00 Other real estate and mortg's owned Due from other national banks j 6,180. 81 Due from State banks and bankers.'' Due from approved reserve agents. j 14, 575. 31 Checks and other cash items j 1, 478. 71 Exchanges for clearing house Bills of other national banks \ 540. 00 Fractional currency, nickels, cents. i 22. 41 Specie | 10, 942. 60 Legal-tender notes 5, 500. 00 U. S. certificates of deposit Redemption fund with Treas. U.S.; 562. 50 Due from Treasurer U. S Total . D. F . BARRY, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding fr, 821. 23 3,198. 90 11,250.00 Due to other national banks Due to State banks and bankersDividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers.; 134, 548. 76 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 205, 818. 89 Total . 205, 818. 89 First National Bank, Greeneville. JOHN M. BRABSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures, Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents.! Checks and other cash items ' Exchanges for clearing house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4177. $133, 315. 02 726.21 18, 750. 00 2, 515. 63 600. 00 4, 363.97 10,942.08 6, 455. 27 -450. 00 176.15 6, 489. 50 3, 250. 00 843. 75 188, 877. 58 J . E. HACKER, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75, 000. 00 6. 574. 71 1, 524. 05 16, 875. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid , Individual deposits United States deposits Deposits of U.S.disbursing officers. 88, 903. 82 Notes and bills rediscounted. Bills payable Liabilities other than those above ' stated Total . 188, 877. 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1085 TENNESSEE. First National Bank, Harriman. WALTER C. HARRIMAN, President. No. 4501. WALTER H. JULIAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure-circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house.furniture, and fixtures Otherrealestate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U S $35, 280. 45 4.52 12, 500. 00 1,125. 00 1.037.46 3 000.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 27.64 Due to State banks and bankers.. 7, 439. 47 6,681.87 Dividends unpaid. 251.29 Individual de 60.00 United States deposits 47.59 DepositsofU.S.disbursingofficers. 7, 186. 55 2,399.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 3, 700. 00 1, 285. 56 10, 400. 00 138.45 62, 079. 33 stated Total . 127, 603. 34 Total . 127,603.34 Manufacturers' National Bank, Harriman. DANIEL DENNY, President. No. 4654. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities etc Bank'g house,furniture,and fixtures Other real estate and mortg s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U S Total. $53, 618. 93 68.03 12, 500. 00 1. 500. 00 1,177.49 5,500 00 3,100. 00 1,308 21 106. 38 1,663 10 175.97 "250.6(J 25.27 5, 648. 30 1, 000. 00 562. 50 G. B. DURELL, Cashier. Capital stock paid in. ;50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 501.70 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 8.41 Individual deposits United States deposits Deposits of U.S.disbursing officers. 4, 000.00 22,444. 07 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 88, 204.18 88, 204.18 First National Bank, Jackson. JOHN A. GREER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2168. 5260, 279. 31 10, 460. 72 60,000.00 J. W. VANDEN, Cashier. Capital stock paid in. \ Surplus fand Undivided profits, less current expenses and taxes paid 7, 000. 00 National-bank notes outstanding 2,149. 83 I State-bank notes outstanding $100, 000. 00 20,000. 00 9, 544. 85 54, 000.00 2, 400. 00 39, 913. 31 3. 467. 71 27, 928. 31 1,164.41 154. 00 30, 329. 00 7,500.00 2, 700. 66 455,446. 60 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 52, 604.21 250. 00 219, 047. 54 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 455,446.60 1086 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. Second National Bank, Jackson. N o . 3576. W. T. NELSON, President. W. S. MOORE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Liabilities. ;228, 826. 00 4. 752. 34 25, 000. 00 5,423.88 3,569.14 11,122. 35 8, 664. 85 1,458. 67 6, 680. 99 237. 99 Capital stock paid in. 12, 000. 00 10, 474.13 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 189.00 United States deposits 110.77 ! Deposits of U.S. disbursing officers 14, 073. 75 12, 000. 00 Notes and bills rediscounted Bills payable 178, 260. 60 Liabilities other than those above stated 323,234.73 Total. $100,000. 00 Surplus fund v Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 323,234.73 Total. First National Bank, Jonesboro. E . H . W E S T , President. No. 4715. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . 157, 781. 87 Total. TATE L. EARNEST, Cashier. $95,063.75 ! Capital stock paid in 1, 242. 84 12, 500. 00 | Surplus fund jj Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 1,162. 02 State-bank notes outstanding 3, 721. 04 Due to other national banks 26, 782. 93 Due to State banks and bankers.. 8, 602. 91 Dividends unpaid 495. 05 Individual deposits United States deposits 20.83 Deposits of U.S. disbursing officers. 3, 490. 00 4, 078. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated $50, 000. 00 1, 600. 00 3, 370.10 11, 250. 00 91, 538. 45 157,781.87 Third National Bank, Knoxville. H. B. BEANNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. F. "W. ARMSTRONG, Cashier. No. 3708. $527, 339.18 116.23 50, 000. 00 4, 500. 00 5, 900. 00 30, 000. 00 19, 875. 06 3, 233. 85 6,133. 34 15, 749. 65 1, 649. 49 3, 260. 00 236. 75 2, 735. 35 50,000. 00 2, 250. 00 722, 978. 90 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable $300, 000. 00 40, 000. 00 6, 704. 82 45, 000. 00 26, 077. 86 48, 274. 91 30.00 244, 891. 31 12,000.00 Liabilities other than those above stated Total. 722,978. 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1087 TE §§££, City National Bank, Knoxville. WM. S. SHIELDS, President. No. 3837. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fiirmture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national"banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit. Redemption fund with Treas. TJ. SDue from Treasurer U, S Total . -, Cashier. Liabilities. $609,143. 84 3, 799. 86 50,000. 00 6, 500. 00 41, 001. 08 17, 500. 00 12, 238. 57 5, 514. 40 25, 524. 02 70, 921. 07 10,701. 83 3, 535. 00 197.18 41,170. 00 20, 000.00 Capital stock paid in. $200,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 14,415. 39 45, 000.00 Due to other national banks Due to State banks and bankers.. 127,183. 04 87,492. 76 3, 000. 00 Dividends unpaid Individual deposits United States deposits. Deposits of U. S.disbursing officers. 442, 905.66 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 919, 996. 85 Total . 919,996.85 East Tennessee National Bank, Knoxville. E. L. FISHER, President. No. 2049. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $734,177. 31 1,419.73 50, 000. 00 50, 000. 00 S. Y. CARTER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $175, 000.00 175, 000. 00 32,146. 32 45, 000. 00 95, 376. 03 67, 700. 00 3, 200. 00 Due to other national banks 19,555.93 i Due to State banks and bankers.. 2,385.23 I 160,489.48 ' Dividends unpaid 12, 845.46 10,896. 57 Individual deposits United States deposits. Deposits of U. S. disbursing officers. 789, 604. 86 44,225. 22 2, 427.33 12,496.56 S 8,200.00 | 553.49 | 34,400.00 j 70,000. 00 2, 250.00 1, 312, 203. 76 Notes and bills rediscounted. Bills payable 18.00 25,000. 00 Liabilities other than those above stated Total. 40.00 1, 312, 203.76 Holston National Bank, Knoxville. H. S. MIZNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. JOSEPH P. GAUT, Cashier. No. 4648. $100,000.00 Capital stock paid in. Surplus fund 15,000.00 Undivided profits, less current expenses and taxes paid 3,866. 33 National-bank notes outstanding. 22, 050.00 12,444.15 State-bank notes outstanding $166, 697. 82 198. 43 25, 000.00 2,137. 43 3, 525. 00 12, 688. 53 8, 028. 04 31, 070. 53 608.92 2, 500. 00 93.34 8, 907. 75 3, 000. 00 1,102.50 278,002.44 Due to other national banks Due to State banks and bankers* . Dividends unpaid 831.63 25, 828. 51 Individual deposits United States deposits Deposits ofU.S.disbursing officers. Notes and bills rediscounted. Bills payable 110,425. 97 Liabilities other than those above stated Total. 278,002.44 1088 REPORT OF THE COMPTROLLER OF THE CURRENCY. TE S SE E . Mechanics' National Bank, Knoxville. No. 2G58. S. B. LUTTRELL, President. E. G. OATES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on ha nd Premiums on U. S. bonds Stocks, securities, etc Ban k'g bouse, furniture, and fixtures Other realestateand mortgsowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $443,259.95 Capital stock paid in . 511.16 . 25,000.00 ; Surplus fund Undivided profits, less current expenses and taxes paid 1, 750. 00 National-bank notes outstanding. 42, 518.97 State-bank notes outstanding 17,000.00 8, 250.00 Due to other national banks 18,951.17 Due to State banks and bankers.. 10, 010. 03 33, 559. 06 Dividends unpaid 10, 492. 44 Individual deposits 1,000.00 United States deposits 284.00 Deposits of U.S.disbursingofficers. 38, 465. 00 374.00 Notes and bills rediscounted.. Bills payable 855. 00 Liabilities other than those above stated Total. 652, 280. 78 $100, 000. 00 100, 000. 00 25, 641. 50 22, 500. 00 57. 900.18 21, 754. 59 324,484.51 652, 280. 78 National Bank, McMinnville. "W. H. MAGNESS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andnxtures Other real estate and mortg's ownedj Due from other national banks 1 Due from State banks and bankers, i Due from approved reseive agents. Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total - No. 2221. $135, 588. 63 396. 52 20,000. 00 2. 500. 00 1,700.00 7, 000. 00 *37 "883." 13* 4, 068. 86 1, 960. 00 6.59 16, 000. 00 3, 000. 00 JESSE WALLING, Cashier. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $70, 000. 00 14, 000. 00 7, 444. 31 18, 000. 00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 121, 559.42 Notes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above sta ted Total. 231, 003. 73 231, 003. 73 People's National Bank, McMinnville. J. F. MORFORD, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premium s on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. j Due from approved reserve agents. | Checks and other cash items j Exchanges for clearing house | Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2593. ' FRANK COLVILLE, Cashier. $148, 711.19 jj Capital stock paid in . 518.92 15, 000. 00 1,119.00 775.00 19, 355. 05 17,773.02 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 27, 500. 00 14.328.48 13,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ! United States deposits \ ] Depositsof U.S.disbursingofficers. Notes and bills rediscounted j """675."66" I Bills payable I Liabilities other than those above } stated i 2, 200. 00 11.78 9,590. 00 4,500. 00 220,228.96 ! $55, 000.00 Total. 109, 900. 48 220, 228. 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1089 TENNESSEE. First National Bank, Memphis. -, Cashier. No. 336. C. W. SCHULTE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse^'urniture.andfixtures Otber real estate and mortg's owned Due from otber national banks Due from State banks and bankers. Due from approved reserve agents. Checks and otber cash items Exchanges for clearing house Bills of other national Thanks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $681,618.93 Capital stock paid in. 16,135 31 50, 000. 00 Surplus fund 100, 000. 00 Undivided profits, less current expenses and taxes paid is." 666." 66 .National-bank notes outstanding. State-bank notes outstanding 27, 500. 00 62, 000.00 3, 062 25 9. 943. 49 25 398.77 13; 306.16 $500, 000. 00 50, 000.00 8,277. 54 45,000.00 Due to other national banks Due to State banks and bankers.. 36,615. 63 67, 218.90 Dividends unpaid 9.794.93 i Individual deposits.. 5, 000. 00 United States deposits 510. 98 Deposits of U.S.disbursing officers. 63, 650. 00 20,000.00 Notes and bills rediscounted. Bills payable 2. 250. 00 1,050. 00 Liabilities other than those above 318.418. 64 1, 239. 54 79,450.57 stated Total 1,106, 220.82 I | 1,106,220.82 Continental National Bank, Memphis. C. F. M. NILES, President. No. 4307. H. L. ARMSTRONG, Cashier. $1,128, 549. 41 I Capital stock paid in. Loans and discounts 9, 258. 93 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits U. S. bonds on hand j. expenses and taxes paid 5,000.00 | National-bank notes outstanding . Premiums on TJ. S. bonds 115,571.30 State-bank notes outstanding Stocks, securities, etc 157,943.00 I Bank'ghouse,furniture, and fixtures 24,000.00 Due to other national banks Other real estate and mortg's owned 34,168. 71 Due to State banks and bankers.. Due from other national banks 24,979. 91 Due from State banks and bankers. 58, 030. 38 Dividends unpaid Due from approved reserve agents. 207. 43 Checks and other cash items Exchanges for clearing horn Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S. Total. 11,892.17 4, 290. G O 281. 25 46, 332. 50 46, 300. 00 2,250.00 | Individual deposits United States deposits | Deposits of U.S.disbursing officers-! Notes and bills rediscounted Bills payable $600, 000. 00 18, 500.00 38, 832. 22 45, 000.00 301,225.60 224,357.07 491,140.10 j Liabilities other than those above stated Total 1, 719,054. 99 1,719,054.99 Memphis National Bank, Memphis. No. 3633. G. W. MACBAE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniturejandfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Totai . CUR, PT 2 $720, 745. 92 14,496. 08 50, 000. 00 3,600. 00 75,467. 53 85, 728. 00 13,019. 85 11,198. 25 18, 025. 29 58, 774.13 38,707. 27 11,330.00 538.50 72,385.00 10, 000. 00 2,250.00 1,186,265. 82 -69 T. J . LATHAM, Cashier. Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 14, 790. 28 77,499. 42 Individual deposits United States deposits Deposits of U. S.disbursing officers. 390, 674.54 8, 241. 58 45, 000. 00 60.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 1,186, 265.82 1090 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. State National Bank, Memphis. No. 2127. A. D. GUYNNE, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U.S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and morte's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $984, 935. 94 64,029.34 50, 000. 00 100, 000. 00 19,000.00 30, 467. 51 63, 312. 85 38,180. 00 M. S. BUCKINGHAM, Cashier. Liabilities. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 8, 026. 91 616.25 117, 263. 92 Due to State banks and bankers. Dividends unpaid. 36,394. 63 2, 200. 00 1,450.11 162, 655. 00 85, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers 2, 250. 00 $250, 000. 00 100, 000. 01) 118, 750. 49 43, 800. 00 61, 259.97 39, 780.47 909. 00 1,151,282. 53 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,765,782.46 1, 765, 782.46 First National Bank, Morristown. GEORGE W. FOLSOM, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks.... Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 3432. GEO. S. CROUCH, Cashier. $157,488.21 | Capital stock paid in. 570.46 j 18,750.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 14, 051. 78 State-bank notes outstanding 4, 000. 00 2, 790. 60 Due to other national banks 13.472.67 j Due to State banks and bankers. 5,531.99 I 367. 43 j Dividends unpaid Individual deposits 366. 00 United States deposits 67.82 Deposi ts of U. S .disbursing officers. 8, 330.00 5, 500.00 Notes and bills rediscounted . Bills payable 843.75 Liabilities other than those above stated 232,130. 71 Total. $75, 000.00 15, 000.00 26, 547. 84 16, 875.00 300.00 98,407.87 232,130. 71 First National Bank, Murfreesboro. EDWARD L. JORDAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures| Other real estate and mortg's owned . Due from other national banks | Due from State banks and bankers. . Due from approved reserve agents. j Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1692. H. H. WILLIAMS, Cashier. $289, 840.41 Capital stock paid in. $100,000.00 3,128. 83 25, 000.00 Surplus fund 100,000. 00 4,601.12 10, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 22, 472. 43 Dividends unpaid 2, 899.15 Individual deposits 3,500. 00 United States deposits 515.24 Deposits of U.S. disbursing officers. 10,192.69 16,160.45 22, 500. 00 29.30 168, 210.97 26, 625. 85 6, 000. 00 Notes and bills rediscounted. Bills payable 1,125.00 ] 1,000.00 Liabilities other than those above ! stated 406,900.72 i Total . 406, 900. 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 9 1 TEMJV E S S E E . Stones River National Bank, Murfreesboro. W M . MITCHELL, President. No. 2000. W. M. BELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . HERMAN JCSTI, President. SAM'L J. KEITH, President. 1, 2. 2, 4, 800. 00 004. 52 942. 00 279. 00 831.20 126. 53 3, 663. 42 1, 206. 92 400." 00 27.98 11,819.50 5,500.00 900.00 $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 10, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 31.85 2, 224. 74 Individual deposits United States deposits Deposits of U. S.disbursing officers. 116,837. 66 Notes and bills rediscounted Bills payable Total. First National Bank, Nashville. No. 150. , 467,492. 71 2, 440. 30 50, 000. 00 100,000. 00 17, 500. 00 145, 053. 36 8, 000. 00 117,141.16 39,394. 07 15, 580. 75 73,107. 75 22,976. 57 18,964. 00 167. 08 34, 962. 50 77, 670. 00 2, 250. 00 1,000.00 2,193, 700. 25 4,524.72 18,000.00 77.00 5, 048. 37 3, 547, 869. 57 232,244. 34 J. H. FULLTON, Cashier. Capital stock paid in . $600,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 83, 200.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 94, 825. 66 125, 868.57 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 938,661. 73 88, 055.82 8, 295. 93 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1,285.64 200, 000.00 Total. Fourth National Bank, Nashville. No. 1669. $2, 296, 408. 54 Loans and discounts 3, 099.17 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 5, 000. 00 Premiums on U. S. bonds 126, 061. 34 Stocks, securities, etc 58, 000. 00 Bank'g house,!urniture, andfixtures 52, 035. 27 Other real estate and mortg's owned 66,469.58 Due from other national banks 8, 752. 67 Due from State banks and bankers 502, 384.10 Due from approved reserve agents. 38, 700. 36 Checks and other cash items Exchanges for clearing house 15, 000. 00 Bills of other nationalbanks 2,425.04 Fractional currency, nickels, cents. 218, 283.50 Specie 100,000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 3, 000. 00 Total . Capital stock paid in . Liabilities other than those above stated 232,244. 34 Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills Of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $175, 697. 93 1,045.34 20, 000. 00 7, 756. 90 45, 000. 00 750.00 2,193, 700. 25 J. T. HOWELL, Cashier. Capital stock paid in j $1,000,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 241, 665.19 35, 790.00 Due to other national banks Due to State banks and bankers.. 292, 872. 20 359,889. 09 200, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 1, 417,653. i Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 3,547,869.57 1092 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. American National Bank, Nashville. W . W. BERRY, President. No. 3032. A. W. HARRIS, Cashier. Resources. Liabilities. Loans and discounts j $1, 640,864. 63 Overdrafts | 20,899. 75 j U. S. bonds to secure circulation...! 50,000. 00 ; U. S. bonds to secure deposits j \ U. S. bonds OD hand | 5,000.00 i: Premiums on U. S. bonds | 142,622.21 | Stocks, securities, etc I Bank'ghouse,furnitnre, and fixtures 52,372.71 ! Other real estate and mortg's owned; 51,977.19 | Due from other national banks j 38,494.64 |j Due from State banks and bankers.! 13,986.47 || Due from approved reserve agents. j 443,476.09 ij Checks and other cash items j 11,768.62 i Exchanges for clearing house Bills of other national banks \ Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S Total ! Capital stock paid in | $1, 000,000.00 Surplus Surplusfund. 56, 000.00 Undivided profits, less current expenses and taxes paid 29, 264. 77 45, 000. 00 National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 25,500.00 | United States deposits 410.92 ) Deposits of U.S.disbursing officers. 89,133. 60 ] 5,100. 00 i Notes and bills rediscounted. Bills payable 2,250.00 81,886.19 201,171. 75 1,180, 534.12 Liabilities other than those above stated Total 2,593,856.83 I 2, 593, 856.83 Citizens' National Bank, Pulaski. W. L. ABERNATHY, Cashier. No. 4679. $60, 000.00 Capital stock paid in. J . B. STACY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc .. \ | j Bank 'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $115,524. 09 14, 077. 03 15, 000.00 1, 300. 00 * 6*666." 66" 3, 049. 45 94.06 8, 346. 38 1, 026. 03 Surplus fund Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 900. 00 2,565.06 13, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 560.66 j United States deposits 51.77 S Deposits of U.S.disbursing officers. 7, 404. 70 1, 000. 00 Notes and bills rediscounted. Bills payable 675.00 | Liabilities other than those above 95,143.45 stated 174,108. 51 Total . 174,108. 51 People's National Bank, Pulaski. Z. W. EWING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2635. $133,628.17 24,673.00 15, 000.00 N. A. CROCKETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...". 12,100. 00 900. 00 | Due to other national banks 818.00 i Due to State banks and bankers.. 45.68 I 7,235. 56 Dividends unpaid 3,357. 26 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 675.00 Liabilities other than those above j stated 205,289780 j Total. 100.00 64.13 6,393. 00 300. 00 $60,000.00 19, 000. 00 2, 873. 09 13, 500. 00 1, 948. 07 i8,268. 64 9,700. 00 205,289. 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1093 TE S SE E , First National Bank, Rockwood. G. N. HENSON, President. No. 4169. W. B. CLARK, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $82,121. 83 2, 009. 66 12,500. 00 1,500.00 12,119. 53 4,600. 00 3,800.00 14, 915.78 3. 644.60 73.04 260. 00 55.64 8, 888. 55 6, 925. 00 562.50 $50,000.00 Capital stock paid i n . Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 500. 00 8, 988. 53 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 81, 237. 60 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 153,976.13 153,976.13 Rogersville National Bank, Rogersville. No. 4015. W . R . N E I L L , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $71, 269. 56 913.63 18, 750. 00 2, 000.00 2, 965. 26 750.00 29,189.48 2,856. 26 3, 742. 43 320. 06 5.26 365. 00 1,000.00 843. 50 JAMES COOPER, Cashier. Capital stock paid in. $75, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,129.42 5, 959.82 16, 870. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 27,698.70 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 135, 095. 44 7,437.50 135, 095.44 People's National Bank, Shelbyville. NATHAN P. EVANS, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3530. 5162, 826. 52 10. 79 25, 000. 00 2, 900. 00 5, 873. 00 13, 917. 33 1, 398. 75 4,288.17 2,158. 06 75.05 ""556.'66' 28.17 9, 658. 00 1, 500. 00 436. 58 230,620.42 J. D. HUTTON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 1,000.00 4,142.77 22,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2,271.51 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 92,126.14 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 8, 580. 00 230, 620.42 1094 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. First National Bank, South Pittsburg. No. 3660. A. L. SPEARS, President. T. G. GARRKTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractipnal currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $73,405.14 2,187. 58 12,500.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding 4, 878. 69 State-bank notes outstanding 6, 841. 06 6, 351.18 Due to other national banks 30, 335. 31 Due to State banks and bankers. 33, 896. 51 Dividends unpaid '^86. 27 I Individual deposits 475.00 i United States deposits 45.93 i DepositsofU.S.disbursing officers 10, 247. 00 3, 500. 00 I Notes and bills rediscounted ! Bills payable 562.50 Liabilities other than those above stated 10, 000.00 186, 512.17 Total. 2, 287.17 11, 250. 00 3,179. 52 109,795.48 186,512.17 First National Bank, Sparta. RICHARD HILL, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures' Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers, j Due from approved reserve agents. j Checks and other cash items • Exchanges for clearing house ! Bills of other national banks Fractionalcurrency, nickels, cents. " Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S N o . 3614. $152, 957. 60 26.47 12,500. 00 1,000.00 7, 000. 00 5,893. 57 22,504. 35 229. 00 10.25 10,610.00 2, 000. 00 162. 50 $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11, 373. 08 Individual deposits United States deposits Depositsof U.S.disbursing officers. 107,501.12 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 214, 893. 74 Total. J. N. WALLING, Cashier. Capital stock paid in. 5, 098.18 11,250.00 9,671.36 214,893.74 Springfield National Bank, Springfield. CHARLES C. BELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2019. $96,259. 55 2, 261. 27 15, 000. 00 1, 500. 00 2, 444. 50 5, 000. 00 "68," 967." 99" 31,4i6.85 3, 319. 08 H, 405. 00 41.23 2, 583. 00 18, 000. 00 675. 00 261, 873.47 -JOHN T. HUTCHISON, Cashier. Capital s t o c k p a i d i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000.00 12, 000.00 1,335.17 13, 500.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofiicers. 175, 038. 30 Notes and bills rediscounted. Bills payable Liabilities other than those above stated , Total. 261, 873.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1095 TENNE SSEE. First National Bank, Tullahoma. J. D. RAHT, President No. 3107. ALAN PARKER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $100, 036. 05 Capital stock paid in . 826. 56 45, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 306. 25 National-bank notes outstanding. 750. 00 State-bank notes outstanding 5,164. 45 3, 500. 00 Due to other national banks 7,278. 03 Due to State banks and bankers.. 732. 85 1,388. 63 Dividends unpaid $50, 000.00 Individual deposits 300. 00 United States deposits 15.54 Deposits of U. S. disbursing officers. 10, 000. 00 4, 000.00 IS otes and bills rediscounted Bills payable 83,488.07 10,000.00 1, 848.00 40, 500.00 487. 29 2, 025.00 Liabilities other than those above stated Total. Total. 186,323.36 186, 323. 36 7 Traders National Bank, Tullahoma. EDWARD WADDLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds ' Stocks, securities, etc j Bank'g house,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4020. $83, 242. 35 276. 26 12,740. 00 2, 351. 30 3, 000. 00 6, 643. 00 3, 014. 39 293. 36 3, 607. 00 14.90 5, 897. 50 5, 000. 00 573.50 FLETCHER B. MARTIN, Cashier. Capital stock paid In $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 6, 000.00 4,200. 56 11, 470.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of CT.S. disbursing officers. 54, 983.00 ]Notes and bills rediscounted. Bills payable Liabilities other than those above stated 126, 653. 56 Total. 126, 653.56 First National Bank, Union City. LEXIE S. PARKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3919. $105,692. 25 2, 623.49 12, 500.00 F. O. WATTS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 10, 000.00 4,207. 62 11,250.00 6, 000. 00 "23," 036* 35 13, 856. 28 323.66 6.92 17, 650.25 3,710. 00 562. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 20.89 110,483.19 Notes and bills rediscounted Bills payable Liabilities other than those above stated 185,961.70 Total. 185,961.70 1096 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Abilene. OTTO W. STEFFENS, President. No. 3195. E. S. KEAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds « Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $185, 614.68 4, 236. 66 31, 250.00 Capital stock paid in. 17, 600. 00 10, 000. 00 13, 592. 62 Due to other national banks 5,954. 07 1, 839.16 Due to State bants and bankers. 9,181.39 !! Dividends unpaid 4,034.06 |! .'I Individual deposits 065. 00 ! United States deposits , 56. 30 1 Depositsof U.S.disbursingofficers 1 535. 75 000. 00 Notes and bills rediscounted Bills payable 1,406.00 16, 000. 00 4,016.51 27, 770. 00 1, 325.20 485.59 4.00 84, 964. 05 64, 800. 34 . 1 Liabilities other than those above 1 stated 299,365.69 | Total. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding Total . 299, 365.69 Abilene National Bank, Abilene. J. Gr. LOWDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3336. $210,429.90 36,971. 69 25,000.00 2,133.78 10, 000. 00 19,961. 71 12,975. 21 3, 046.83 5, 982.19 39.29 6,132. 00 19.25 5, 043. 25 7, 930. 00 1,125. 00 GEO. S. BERRY, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 11,424. 96 2_', 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 1,195. 23 1, 820. 95 Individual deposits United States deposits Depositsof U. S. dis bursingoflfi cers. 89, 680. 76 Notes and bills rediscounted Bills payable 90,168.20 5, 000. 00 Liabilities other than those above stated 346, 790.10 Total. 346, 790.10 Farmers and Merchants' National Bank, Abilene. ED. S. HUGHES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation...} U. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 416C. $86, 059. 86 722.82 15, 000. 00 150.00 1,200.00 7, 760.50 7, 040.18 1, 705. 92 179. 87 2,048. 97 2, 686. 63 258. 37 270. 00 40.30 3, 592. 25 500. 00 405. 00 129,620.67 HENRY JAMES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $60, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers Notes and bills rediscounted Billspayable Liabilities other than those above stated 307. 44 1, 018. 56 Total. 200.00 331. 40 13, 500. 00 10.00 32,153. 47 21, 799.80 300. 00 129, 620. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1097 TEXAS. First National Bank, Albany. No. 3248. G-. T. REYNOLDS, President. N. L. BARTHOLOMEW, Cashier. Resources. Loan s and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture.and fixtures! Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit i Redemption fund with Treas. U. S.j Due from Treasurer U. S Liabilities. ;168, 682. 65 664. 06 18, 750. 00 Capital stock paid in. 25, 000.00 Due to other national banks | Due to State banks and bankers. Dividends unpaid 1,022. 60 13,421.84 16,875.00 6,000. 00 12, 433. 07 1,193. 37 11,908.96 174. 00 Individual deposits United States deposits DepositsofU.S.disbursiDg officers. 705. 00 97.45 6, 927. 75 5,160. 00 102,220. 62 Notes and bills rediscounted. Bills payable 843.75 Liabilities other than those above j stated 233,540.06 || Total. $75,000. 00 Surplus fund Undivided profits, less current | expenses and taxes paid ! National-banknotes outstanding.! State-bank notes outstanding j Total. 233, 540. 06 First National Bank, Alvarado. No. 3644. M. SANSOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house,furniture,and fixtures j Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers.' Due from approved reserve agents .1 Checks and other cash items Exchanges for clearing house Bills of other national banks Fraction?! currencv. nickels cents. Specie Legal-tender notes U. S. certificates of deposit ReflemptioTi fund with Treas. U. S. Tin A from Treasurer U. S $68, 466. 34 91, 946. 62 12, 500. 00 $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 187.79 4,978. 70 Due to other national banks 1,997.20 10, 000.00 11, 250. 00 6,167.12 Due to State banks and bankers.. j ! Dividends unpaid 815.00 !| 43.50 i 4,425.00 I 870.00 1 1 562. 50 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 84, 375. 53 25, 000.00 Liabilities other than those above stated 186, 792. 65 Total . J . R. POSEY, Cashier. Capital stock paid in 186,792. 65 Total . First National Bank, Amarillo. W. H. FUQUA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4214. $132,219. 74 4,911. 99 12, 500.00 "WALTER DAVIS, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 1,350.00 National-bank notes outstanding. 150. 00 | State-bank notes outstanding 13, 000. 00 3, 000. 00 Due to other national banks 387. 22 1,336.46 Due to State banks and bankers.. 18, 822. 62 Dividends unpaid 3, 068. 08 Individual deposits j 615. 00 United States deposits 40.00 I Depositsof U.S.disbursingotficers. \ 1,028.75 !| 7,675.00 j | Notes and bills rediscounted | Bills payable 562.50 Liabilities other than those above i stated I 200, 667.36 Total. $5o,ooo7ob 12,500.00 3, 875. 99 11, 250.00 5, 268. 73 1,139.33 100, 211.52 16,421.79 200, 667. 36 1098 REPORT OF THE COMPTROLLER OF THE CURRENCY. T EXAS. Amarillo National Bank, Amarillo. N o . 4710. J. C. PAUL, President. ALPHEUS H. WOOD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bankghouse,furniture, and fixtures] Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $82, 323. 62 248. 91 12, 500. 00 1, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,000.00 I 525.00 ! Due to other national banks 1,644.84 I I 205.30 i Due to State banks and bankers.. 4,074.83 i| Dividends unpaid 134.40 1 1 Individual deposits 200.00 j United States deposits 9.70 I Deposits of U.S.disbursing officers 2,318.25 | 2,735.00 i Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 109,982. 35 Total. $50,000.00 2,360.00 1, 924. 83 11,250. 00 233.35 106.66 44,107.51 109,982. 35 Total. First National Bank, Athens. T. F . MURCHISON, President. GEO. M. WOFFORD, Cashier. N o . 4278. Loans and discounts " I Overdrafts U. S. bonds to secure circulation.. .1 U. S. bonds to secure deposits j U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture,and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $97,523. 94 1,681.43 12, 500. 00 1,125. 00 4, 250. 00 213.50 2,817.91 22 48 3, 905. 78 •51. 75 115.00 34.15 13, 045. 00 1,000.00 562. 50 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid. $50, 000. 00 4,000. 00 3, 475. 84 11, 250. 00 55.63 Individual deposits United States deposits Deposits of U. S.disbursmgoflicers- 48, 654. 67 Notes and bills rediscounted Bills payable J 16,412. 80 Liabilities other than those above stated 138, 848.94 Total. Capital stock paid in. Total. 138,848. 94 First National Bank, Atlanta. M. JACOBS, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned! Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.| Due from Treasurer U. S I Total. B. F. ELLINGTON, Cashier. No. 4922. $74, 524.14 Capital stock paid in. $50,000.00 3,460. 91 12, 500.00 Surplus fund 2,000.00 Undivided profits, less current expenses and taxes paid 7,158.89 National-bank notes outstanding. 11,250,00 State-bank notes outstanding 6, 032. 78 Due to other national banks 23,776.56 Due to State banks and bankers. "i2~434.*68" Dividends unpaid 8,591.80 620. 00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 71, 537. 59 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 142,502. 77 Total. 556.29 142,502.77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1099 TEXAS. First National Bank, Austin. No. 2118. JAS. R. JOHNSON, President. R. J. BRACKENRIDGE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortgs owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. $180, 428. 38 5, 358. 78 50, 000. 00 156.88 Capital stock paid in. 16,813.97 29,545. 45 10, 879. 74 31,947. 76 143.25 Due to other national banks Dividends unpaid 500. 00 276. 95 16, 300. 00 18, 000. 00 Individual deposits United States deposits DepositsofU. S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated \ j. 6, 773. 07 38,100. 00 j. "2*265! ob* 20, 000.00 I Due to State banks and bankers.. 382, 556.16 Total . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding j. 7, 494. 53 5,711.17 224, 477. 39 j ; i Total 382, 556.16 American National Bank, Austin. GEO. "W. LITTLEFIELD, President. Loan8 and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned| Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. 6, 000. 00 2, 500.00 5, 000. 00 22, 784. 41 6, 406. 68 28,152. 05 984. 81 453. 75 24, 797. 40 12, 520. 00 2, 250. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $200, 000. 00 33, 000.00 7,011.59 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 31, 483. 59 13, 676. 39 Individual deposits United States deposits DepositsofU. S.disbursing officers. 216, 432.11 Notes and bills rediscounted.. Bills payable 230. 00 20, 000. 00 Liabilities other than those above stated Total. 566, 833. 68 Total. W M . R. HAMBY. Cashier. No. 4322. 566, 833.68 Austin National Bank, Austin. E. P. WILMOT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 4308. $453, 267. 22 4, 873. 57 37, 500. 00 3, 000. 00 3, 000. 00 600.00 8,177. 40 15, 897. 51 23, 726. 82 836.17 " 4 " 746.'66" 537. 62 7,629.10 15, 000. 00 1, 687.50 HENRY P. HILLIARD, Cashier. Capital stock paid in. $150,000.00 Surplnsfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 Due to other national banks Due to State banks and bankers.. 25, 646.57 8, 395. 76 Dividends unpaid Individual deposits United States deposits DepositsofU. S.disbursingofiicers Notes and bills rediscounted Bills payable 19. 508.11 33, 750. 00 28.00 238, 000.03 80,144.44 Liabilities other than those above stated 580, 472. 91 Total. 580,472. 91 1100 REPORT OP THE COMPTROLLER OF THE CURRENCY. TEXAS. City National Bank, Austin. No. 3289. A. P. WOOLDRIDGE, President. M. C. MILLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $310,492. 21 3,251.74 50, 000. 00 $150, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 000. 00 State-bank notes outstanding 32, 500. 00 10, 000. 00 1 Due to other national banks 1 23, 987. 27 | Due to State banks and bankers. 8, 382. 37 12, 088. 08 Dividends unpaid 521. 23 Individual deposits " 2,008. 00 United States deposits 143.45 I DepositsofU.S.disbursingofficers. 13,714.40 2, 000. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated Total . 486,338. 75 10, 750. 00 611.18 45, 000. 00 17, 734. 94 16, 415. 43 135,827. 20 110, 000. 00 486, 338. 75 State National Bank, Austin. J. G. PALM, Cashier. No. 2617. EUGENE BREMOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse/urniture^ndfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $279,413. 331 Capital stock paid in. 883. 91 25, 000. 0 0 Surplus fund Undivided profits, less current expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 67, 670. 73 State-bank notes outstanding 3, 621.10 Dne to other national banks 14, 308.68 Due to State banks and bankers.. 4,953. 57 51,053.40 Dividends unpaid 3, 412.70 Individual deposits 19,450. 00 United States deposits Depositsof U.S.disbursingoflicers. 54,999. 50 3, 000. 00 Notes and bills rediscounted. Bills payable * 1,125.00 Liabilities other than those above stated Total. 531, 391. 92 $100, 000. 00 50,000.00 837.41 22, 500. 00 11,813.86 8,188. 83 338, 051. 82 531, 391. 92 First National Bank, Baird. F. W. JAMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U S. bonds Stocks securities etc Bank'ghous*e,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items." Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S 5, 365. 78 10, 500. 00 7,128. 31 560. 24 18, 092. 69 602. 01 545. 00 25.75 6, 529. 00 1, 000. 00 625. 00 Total W. C. POWELL, Cashier. No. 3286. $177, 525.98 2, 910. 26 25, 000.00 Capital stock paid in 20, 000. 00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4,738.78 22, 500.00 Due to other national banks Due to State banks and bankers.. 1, 483.08 Dividends unpaid 408. 00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 74, 080. 99 Notes and bills rediscounted Bills payable 33,199. 27 Liabilities other than those above stated Total 256, 410.12 $100, 000. 00 256, 410.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1101 TEXAS. First National Bank, Ballinger. No. 3533. J. A. YOUNGER, President. D. M. BAKER, Cashier. Resources- Liabilities. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... U . S . bonds to secure deposits | U. S. bonds on hand Premiums on IT. S. bonds Stocks,, securities,, etc j B k ' h f i t Bank'g house, furniture, andfixtures! Other real estate and mortg's owned! Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $73, 820. 95 1, 299. 62 12, 500. 00 11, 373. 42 3,150. 20 15, 621. 69 5, 324. 28 6, 996. 42 1, 815.56 Capital stock paid in. 8, 000. 00 2,125. 38 11, 250. 00 Due to other national banks Due to State banks and bankers.. 134. 02 85. 36 Dividends unpaid Individual deposits 600. 00 United States deposits 86.25 Deposits of U.S.disbursing officers. 2, 959. 25 5, 615. 00 l Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above j stated 141, 725.14 Total. $50, 000.00 Surplus fund i Undivided profits, less current ! expenses and taxes paid ! National-bank notes outstanding. State-bank notes outstanding Total. 141, 725.14 Ballinger National Bank, Ballinger. DAVID P . GAY, President. W. J . WINGATE, Cashier. No. 4193. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $110,867. 57 4, 743. 82 25,000. 00 1, 500. 00 17, 268. 89 7,100. 00 925.70 3, 223.17 138.62 4, 949. 50 1,126. 22 Capital stock paid in Due to other national banks I Due to State banks and bankers ..'..*. $100,000.00 11,344.61 5, 651.05 22,500.00 168. 75 Dividends unpaid. Individual deposits 300. 00 United States deposits 7.85 , Deposits of U.S.disbursing officers. 1, 623. 70 1,107. 00 Notes and bills rediscounted Bills payable 1,125. 00 450.00 Liabilities other than those above stated Total. 181, 457. 04 Total. \ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18,963.32 17,829.31 5, 000.00 181,457. 04 First National Bank, Bastrop. BENJ. D. ORGAIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4093. $104, 577. 79 74, 913. 09 12, 500. 00 7, 865. 68 2, 335. 00 12, 214. 54 805. 94 3, 251. 05 12.50 37. 95 5,478. 00 562.50 224,554. 04 CHESTER ERHARD, Cashier. Capital stock paid in. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6,420.83 387.98 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 99, 344. 62 Notes and bills rediscounted. Bills payable 9,050. 61 11, 250. 00 100. 00 28, 000. 00 Liabilities other than those above stated Total. 224,554. 04 1102 REPORT OF THE COMPTROLLER OF THE CURRENCY TEXAS. First National Bank, Beaumont. "W. S. DAVIDSON, President. No. 4017. FRANK ALVEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $298,358. 83 432. 37 25,000. 00 2, 250. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,963.62 i 5,978.41 Due to other national banks 3,403.67 ! Due to State banks and bankers.. 150.00 ! 13,238.79 | Dividends unpaid. . . . 232.63 Individual deposits United States deposits 86.20 Deposits of U.S.disbursing-officers. 1,497.00 { 6,388.00 Notes and bills rediscounted Bills payable "l," 125." 66": 630.00 Liabilities other than those above stated Total 369,734.52 13, 000. 00 17, 262. 04 22, 500. 00 40.56 564.00 162,114. 59 47, 253.33 7, 000.00 369,734. 52 First National Bank, Beeville. L. B. RANDALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds { Stocks, securities, etc i Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4238. $133,155. 96 3, 957. 79 12, 500.00 1, 500. 00 1, 000. 00 9, 344. 47 411. 82 2,118. 70 100. 75 100.00 5. 20 14, 565. 00 60.00 562. 50 179, 382.19 B. W. KLIPSTEIN, Cashier, Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,513. 33 424.44 Individual deposits United States deposits Deposits of U.S. disbursing officers. 95, 513. 66 10, 680. 76 11, 250. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 179, 382.19 Commercial National Bank, Beeville. A. Gr. KENNEDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . r Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total D. C. STONE, Cashier. No. 4866. $58, 505. 83 Capital stock paid in. $50,000.00 951.66 12, 500. 00 Surplus fund 1,000.00 Undivided profits, less current expenses and taxes paid 811. 85 National-bank notes outstanding. 8,570.00 State-bank notes outstanding 9, 578. 58 Due to other national banks 870.65 6, 718. 02 Due to State banks and bankers.. 2, 272. 59 1,154.15 Dividends unpaid 217. 30 Individual deposits 49,450. 79 3," 266.'66" j United States deposits 42.66 j Deposits of U.S.disbursing officers. 10, 000. 00 5, 000. 00 N otes and bills rediscounted I Bills payable 562. 50 Liabilities other than those above stated 110,703. 29 Total. 110, 703.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1103 TEXAS. First National Bank, Bellville. C. F . HELLMUTH, President. No. 4241. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. J. G. WESSENDORF, Cashier. Liabilities. $98, 335.15 17,722. 04 12, 500. 00 1,500.00 3, 890. 65 3,500.00 254. 62 3,144.44 72.65 50.00 305. 25 3,467.75 5, 870. 00 562.50 Capital stock paid in $50. 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 1, 000. 00 2. 856. 43 11. 250. 00 10, 023. 65 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 50, 964. 62 Notes and bills rediscounted Bills payable 25, 080. 35 Liabilities other than those above stated 151,175. 05 Total. 151,175. 05 Belton National Bank, Belton. No. 3295. J. Z. MILLER, President. Loans and discounts Overdrafts,, IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $407, 298.41 1,423.16 37, 500. 00 6, 850. 00 9, 057. 60 3, 358.92 56,937. 50 8, 000. 00 51.89 20, 700. 00 25, 000. 00 1, 687. 50 577,864.98 J. Z. MILLER, Jr., Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 14, 650.00 19, 659.14 33, 750.00 4, 640.14 13 ; 430. 00 724. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 149, 024.10 Notes and bills rediscounted Billspayable Liabilities other than those above 191, 987. 60 stated Total. 577,864.98 First National Bank, Big Springs. J. I. MCDOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4306. $125,867. 36 125.65 12, 500. 00 E. O. PRICE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 8,402. 74 State-bank notes outstanding 9, 862. 41 3, 095. 00 Due to other national banks | 7, 646. 68 Due to State banks and bankers.. j 14, 206. 75 Dividends unpaid. 14.55 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 2, 004. 00 56.70 1,155. 25 7,500.00 | Notes and bills rediscounted Billspayable 562.50 ! Liabilities other than those above stated 194,499. 59 Total. $50,000.00 6, 600.00 5, 506. 04 11, 250. 00 570.93 55.00 100, 417. 62 20,100. 00 194,499. 59 1104 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Blooming Grove. No. 47 S. W. GRIMES, President. M. G. YOUNG, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. TJ. S. bonds on hand Premiums on U. S. bonds | Stocks, securities, etc. Bank'gbouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in 4.142.97 7,182. 07 13, 215. 24 2.45 3.470.98 90.00 4, 000.00 2, 202. 98 11,250.00 Due to other national banks j Due to State banks and bankers . 1, 224.72 Dividends unpaid i Individual deposits | United States deposits ; Depositsof U.S.disbursingofficers.; 562.50 43,397.82 Notes and bills rediscounted Billspayable j Liabilities other than those above [ stated I 380.00 128.28 759. 00 6, 000.00 I 16, 500. 00 6,000.00 Total . 134,575.52 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 134,575.52 First National Bank, Bonhaxn. No. 3094. W. A. NUNNELEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds | Stocks, securities, etc Bank'g bouse,furniture, and fixtures' Other real estate and mortg's owned; Due from other national banks j Due from State banks and bankers. t Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie j Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. U. S.f Due from Treasurer U. S 472, 696. 05 Total . A. B. SCARBOROUGH, Cashier. $239, 269. 24 Capital stock paid in $110,000.00 80,762.58 : 57,500.00 ! Surplus fund j 50,000.00 Undivided profits, less current j expenses and taxes paid j 13,468. 79 National-bank notes outstanding. j 51,750.00 13,835.28 State-bank notes outstanding 14,800.00 4,039.70 Due to other national banks 1, 698. 65 13,485.86 Due to State banks and bankers..[. 30.42 71.83 j 3, 667. 55 Dividends unpaid j 3,850.96 Individual deposits | 180,748.19 8, 602. 00 United States deposits I. 197.05 Depositsof U.S.disbursingofficersJ. 20, 526. 50 9, 500. 00 Notes and bills rediscounted. Billspayable 65, 000.00 2, 587. 50 Liabilities other than those above stated Total . 472, 696. 05 Bonham National Bank, Bonham. GBO. A. PRESTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total. No. 4540. $96,608.37 16, 692. 52 12, 500. 00 D. W. SWEENEY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 750. 00 1,689.20 8, 336. 24 Due to other national banks 9,120. 72 Due to State banks and bankers. 9, 776. 50 6, 899 39 Dividends unpaid 1, 286. 90 ! Individual deposits 355.66" United States deposits 26.95 \ Depositsof U.S.disbursingofficers 3, 586. 80 2, 085. 00 Notes and bills rediscounted ; Bills payable | $50,000.00 15, 000. 00 5, 883.16 11, 250. 00 85.81 75, 782.12 12, 275.00 ""'562."5b' I 170,276.09 Liabilities other than those above stated Total . 170, 276,09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1105 TEXAS. First National Bank, Bowie. No. 4265. Z. T. LOWRIE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on X S. bonds L Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S., Total. T. C. PHILLIPS, Cashier. Liabilities. $102, 350. 20 39, 386. 56 12,500. 00 1, 500. 00 4,006.66 4, 358.49 7, 335. 98 350.18 650. 00 80.65 850. 00 6, 910. 00 ji I 562. 50 700.00 181, 534. 56 Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 1,926.31 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,019.39 Individual deposits United States deposits Deposits of U.S. disbursing officers. 81, 338.86 Notes and bills rediscounted Bills payable 18,500. 00 Liabilities other than those above stated Total. -J_ -I 7, 500. 00 181,534.56 City National Bank, Bowie. WADE ATKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. A. MENEFEE, Cashier. No. 4785. $91,347.67 $50, 000.00 Capital stock paid in. 41,423.51 12, 500. 00 Surplusfund 5, 500.00 Undivided profits, less current expenses and taxes paid 4, 708. 35 1,500. 00 National-bank notes outstanding. 11, 250. 00 1, 680. 75 State-bank notes outstanding 6,476.84 Due to other national banks Due to State banks and bankers . 287.13 Dividends unpaid 242.15 Individual deposits United States deposits , 121. 00 Deposits of U.S. disbursing officers. 1, 217. 25 385. 00 Notes and bills rediscounted. Bills payable 562.50 I Liabilities other than those above stated 159,149.08 Total. 1, 405. 28 16, 864.30 1,526.02 54,300.41 15, 000.00 159,149.08 First National Bank, Brenham. H E B E R STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 15,000. 00 1, 082.03 19,861.02 74.72 18, 032. 62 2, 000. 00 5.11 27,110. 00 1,830.00 1, 687. 50 448, 086.35 Total. CUR, PT 2 H. K. HARRISON, Cashier. No. 3015. $150,000.00 Capital stock paid in. Surplusfund 30,000.00 Undivided profits, less current expenses and taxes paid 7, 255.31 1,680,00 National-bank notes outstanding. 33, 750.00 5,500.00 State-bank notes outstanding.. $290, 541. 02 26,182. 33 37, 500.00 70 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 2, 214. 26 7, 516.99 172,349.79 45,000.00 448, 086. 35 1106 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Brownsville., G-. M. RAPHAEL, President. No. 4577 J. D. ANDERSON, Cashier. Resources. Loans and discounts... Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. XI- S-1 Due from Treasurer U, S Liabilities. $87, 712. 24 699. 59 12, 500. 00 Capital stock paid in $50, 000. 00 2,400. 00 4,164.18 11,250.00 2, 550.00 Due to other national banks 8, 671.23 Due to State banks and bankers.. 2, 408. 59 21,183.80 I Dividends unpaid. 401.07 ! Individual deposits 600.66 United States deposits 2.47 Deposits of U.S. disbursing officers. 6,506. 00 5, 340.00 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 149,137.49 Total. | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 80.00 81, 243.31 149,137.49 First National Bank, Brownwood. No. 2937. D. H. TRENT, President Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $135,415.66 25,000.00 4, 300.00 14.805.00 15, 416. 50 10.972.01 24. 23 1. 351. 61 2, 313. 71 8, 075. 00 17.75 7,100. 00 7,500.00 1,103.50 Total. A. L. TRENT, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding; 20, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8,008. 77 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 75, 869. 75 7,446.45 22, 070. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 233,394.97 Brownwood National Bank, Brownwood. T. C. YANTIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k' g house,furniture,and fi xtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents. Specie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 4695. F. W. HENDERSON, Cashier. $94, 561.15 Capital stock paid in $60,000.00 161.91 15, 000. 00 Surplus fund 8,500.00 Undivided profits, less current expenses and taxes paid 1,988.00 2,100.25 i National-bank notes outstanding. 13, 500.00 1,833.47 ! State-bank notes outstanding 18,056.11 j 2,416.60 Due to other national banks 749.71 11,607.75 Due to State banks and bankers. . 301.47 666. 00 Dividends unpaid 6,169. 80 10, 374. 00 675. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 57,185.80 Notes and bills rediscounted Bills payable 22,000. 00 Liabilities other than those above stated 163, 923. 51 Total . 163, 923.51 REPORT OP THE COMPTROLLER OF THE CURRENCY. 1107 TEXAS. Merchants1 National Bank, Brownwood. W. Li. MOODY, No. 4344. president. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc .. Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U, S Total J . A . A U S T I N , Cashier. Liabilities. $93,676.17 5, 500. 00 12, 500. 00 U,389. 92 19, 038. 72 3, 634. 68 368.13 140. 37 712. 36 Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 0, 205. 05 1, 940. 09 .... Individual deposits 985." 6o" United States deposits 102. 25 Deposits of U.S(di»bursing officers. 6,096. 00 5, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 162, 706.10 1, 067.39 11, 250. 00 Total 39, 326.16 49, 917. 41 162, 706.10 First National Bank, Bryan. J. W. HOWBLL, President. Loans and discounts Overdrafts U. S.bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3446. $162, 217. 88 46,118. 51 25, 000.00 2, 724. 05 2, 255. 00 11,026.01 7, 549. 78 16,153.12 6, 845. 88 830"bo" 298. 03 11,694.00 12,100. 00 1,125.00 $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 5, 538.53 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 683. 71 359.86 Individual deposits United States deposits Deposits of U.S.disbursing officers. 156,855.16 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 305, 937. 26 Total. H. O. BOATWRIGHT, Cashier. Capital stock paid in . 305, 937. 26 Merchants and Planters' National Bank, Bryan. J . K. COLE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4070. $]90,300.77 61,177.91 25,000.00 1, 625. 35 6, 000.00 7, 324. 33 104. 24 8,194.84 241. 63 320. 00 83.15 3, 365. 00 5, 210. 00 1,125.00 310,072.22 J. P. BUREOUGH, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers. $100, 000. 00 11,500.00 2, 807. 30 22,500. 00 4, 034. 27 129, 230.65 Notes and bills rediscounted. Bills payable . 40, 000. 00 Liabilities other than those above stated Total. 310,072. 22 1108 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Calvert. No. 3742. J . S. MCLENDON, President. J . A. FOSTER, Cashier. Resources. L o a n s and discounts Liabilities. '< Overdrafts \ U. S. bonds to secure circulation ...\ U. S. bonds to secure deposits i U. S. bonds on hand Premiurns on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U, S | $186,941.38 8, 005.22 25, 000.00 2, 000.00 6, 000. 00 38,754.32 17, 690.67 17, 968.55 10, 001.42 90.00 105.35 1,932.20 1,105:00 1,125.00 316,719.11 Total. Capital stock paid i n . $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 20, 000.00 Due to other national banks Due to State banks and bankers. 2, 887. 70 9, 786.42 7,133. 08 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 113, 348. 98 41, 062. 93 316, 719.11 First National Bank, Cameron. No. 4086. J O H N M. HEFLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures| Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $113, 815. 30 53, 362. 39 19, 000. 00 2, 400. 00 757000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2,000. 00 1, 665. 05 17,100.00 12,128. 00 Due to other national banks 321.49 Due to State banks and bankers.. 2, 928. 51 3,456.24 Dividends unpaid 283.11 Individual deposits 260. 00 United States deposits 58. 00 Deposits of U.S.disbursing officers. 2, 330.00 1,025.00 Notes and bills rediscounted Bills payable 855. 00 ! Liabilities other than those above stated Total. 212,223.04 Total. T. F . HARDY, Cashier. Capital stock paid in. 489.32 912. 23 20.00 65, 728.29 30, 308.15 19, 000. 00 212, 223.04 First National Bank, Childress. A. J. FIRES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'ghous6,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4571. $65,377.96 2,238.10 12, 500.00 4, 304. 78 10, 700. 00 7, 449. 82 1,303. 95 77.00 301. 06 16.76 2.35 349. 25 160.00 562. 50 105,343.53 J . H. P . JONES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid $50, 000. 00 1, 200. 00 11, 250.00 526. 78 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 18,186.89 Notes and bills rediscounted Bills payable 19,929.86 4,000.00 Liabilities other than those above stated Total . 250.00 105,343. 53 REPORT OF THE COMPTROLLER OF TflE CURRENCY. H 0 9 TEXAS. First National Bank, Cisco. No. 4134. J. H. HOLCOMB, President. F . C. liE VEAtrX, OashUr. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X . S. bonds to secure deposits T U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. 2,954.17 12, 500. 00 Capital stock paid in. 98, 688. 36 Total. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 000. 00 National-bank notes outstanding. 4, 078. 45 State-bank notes outstanding 1,059.65 2, 618. 76 Due to other national banks 4,060. 84 Due to State banks and bankers.. 12.28 781. 84 Dividends unpaid 1,092. 90 Individual deposits 220. 00 United States deposits 7.14 Deposits of U.S.disbursingoflicers. 690.00 660. 00 Notes and bills rediscounted Bills payable 62.50 Liabilities other than those above stated Total. 7, 801.89 "ii*250.66 87.84 24, 346. 74 5,201.89 98, 688.36 First National Bank, Clarksville. No. 3973. J. L. EEED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $93, 247.94 28,231.15 12, 500. 00 600. 00 500. 00 16, 569. 76 7, 000. 00 4,815.59 31.58 1, 817. 02 59.01 700.00 120. 00 12, 911. 00 4,600. 00 562. 50 E. M. BOWERS, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding. State-bank notes outstanding 50, 000.00 6, 096. 72 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 184,265.55 61, 918. 83 5, 000. 00 184,265.55 Red River National Bank, Clarksville. M. L. SIMS, President. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation... j U. S. bonds to secure deposits ' U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other "real estate and mortg's owned; Due from other national banks j Due from State banks and bankers. i Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4982. $134, 771. 95 61,932. 52 12, 500.00 1,375.00 2,829.37 10,000. 00 12,421.92 2,145.53 226.15 218.59 200. 00 17, 225. 00 1,000.00 562.50 257,408.53 D. "W. CHEATHAM, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 773. 70 11, 250. 00 Due to other national banks Due to State banks and bankers.. 2, 624. 62 1, 520. 65 10,000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers. Notes and bills rediscounted Bills payable 105,077.51 26,162.05 Liabilities other than those above stated Total. 257,408.53 1110 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Cleburne. No. 2982. C. W. MERTZ, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TT. S. bonds Stocks, securities, etc Bank'g house,!'urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $156,250. 29 26, 945. 68 25, 000.00 Capital stock paid in.. Surplusfund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 20, 330. 54 State-bank notes outstanding 2, 828. 28 5,846.84 Due to other national banks 6, 587. 37 Due to State banks and bankers.. 1,098.21 6, 024. 25 Dividends unpaid 936. 23 Individual deposits 657. 00 United States deposits 272.15 Deposits of U.S.disbursingofficers. 2, 448. 75 10, 000. 00 Notes and bills rediscounted Bills payable 1,125.00 ! 267,850.59 Total. P. C. CHAMBERS, Cashier, $100,000.00 5,000.00 867.71 22, 500.00 793.71 108, 002.10 30, 687. 07 Liabilities other than those above stated Total . 267, 850. 59 Farmers and Merchants' National Bank, Cleburne. H. S. "WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 4386. S. B. ALLEN, Cashier. $139, 676.13 I Capital stock paid in. $100, 000. 00 35, 336. 98 25, 000. 00 Surplusfund 16, 000. 00 Undivided profits, less current expenses and taxes paid 5, 078. 20 3, 250. 00 National-bank notes outstanding. 22, 500.00 807. 89 State-bank notes outstanding 3, 000. 00 25, 605. 86 198. 58 2, 527. 90 1, 224. 26 2, 254. 00 35.70 6, 769. 00 5, 000. 00 i, 125. 00 251, 811. 30 Due to other national banks Due to State banka and bankers.. Dividends unpaid 4, 087.17 1, 237.13 Individual deposits United States deposits Deposits of U.S.disbursing officers . 77, 908.80 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 25, 000.00 251, 811. 30 National Bank, Cleburne. S. E. Moss, President. E. T. KELLY, Cashier. No. 4035. Loans and discounts $118,493.18 j Capital stock paid in $75, 000. 00 Overdrafts 56,770.29 ! 19,000.00 i Surplusfund U. S. bonds to secure circulation ... Surplus fund 25, 000. 00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 12, 520. 99 2, 234. 94 National-bank notes outstanding. Premiums on U. S. bonds 17,100.00 7, 500. 00 State-bank notes outstanding Stocks, securities, etc 13, 000. 00 Bank'ghouse,furniture,andfixtures 7,398. 07 Due to other national banks Other real estate and mortg's owned 881. 00 3,177.11 Due to State banks and bankers.. Due from other national banks 751.62 Due from State banks and bankers. Due from approved reserve agents. 3, 236. 69 Dividends unpaid Checks and other cash items 1, 304. 98 Exchanges for clearing house !... Individual deposits 94, 704. 74 3, 000. 00 United States deposits Bills of other national banks I 103.85 Deposits of U. S.disbursing officers. Fractional currency, nickels, cents.! Specie ! 8, 081. 00 5, 000. 00 Notes and bills rediscounted Legal tender notes ; , 25, 000.00 U. S. certificates of deposit !... Bills payable 855. 00 Redemption fund with Treas. TJ. S.| 300. 00 Liabilities other than those above Due from Treasurer U. S stated Total. 250, 206. 73 Total . 250,206. 73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1111 TEXAS. First National Bank, Coleman. No. 3433. J . B. COLEMAN, President. Resources. Loans arid discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $153,546.44 6, 446. 27 18, 750. 00 12, 850.86 200.00 1,288.69 1,455.45 10,390.65 70.20 Liabilities. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 210. 00 United States deposits 33.55 Depos its of U. S. disbursing officers. 2, 393. 75 5, 727. 00 843.50 Notes and bills rediscounted Bills payable Liabilities other than those above stated 214,206.36 Total . L. E. COLLINS, Cashier. $75,000.00 25,000.00 4, 379. 71 16,870.00 1,994.48 604.53 51,488.64 38, 869.00 214, 206.36 Total . Coleman National Bank, Coleman. W. N. CAMERON, President. No. 4683. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $78,661.72 1, 704.16 12,500.00 1, 500. 00 7, 365. 32 3, 969.13 14,294. 36 3,793. 00 4, 049. 23 410. 52 R. H. ALEXANDER, Cashier. $50,000.00 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 7,000.00 3, 311.44 11,250.00 306.78 45,820.07 is.'66" United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted 562. 50 Bills payable 2,800. 00 Liabilities other than those above stated 135, 688. 29 Total . 54.90 3,413.45 595. 00 8, 000. 00 10,000.00 135,688.29 Colorado National Bank, Colorado. H. B. SMOOT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2801. $242, 919. 42 57.35 25, 000. 00 10, 500. 00 1,000. 00 10, 454.90 254.92 23,443. 30 276. 28 " 2 "360." 66" 49.85 15,441.25 4, 500.00 1,125.00 337,382.27 Gr. H. COLVIN, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $100, 000.00 2, 500.00 6,711.62 22, 500.00 1,463.34 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 153, 207.31 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 51, 000. 00 337, 382. 27 1112 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Comanche. No. 3561. H. R. MARTIN, President. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds | Stocks, securities, etc j Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S. Total. T. C. HILL, Cashier. Liabilities. $173,162.42 12, 807. 51 25, 000.00 12,919.14 2, 245. 54 19,424. 38 2, 999. 80 16, 905. 39 44.65 45.00 157.05 13, 819. 00 3, 080. 00 1,125. 00 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid Rational-bank notes outstanding. State-bank notes outstanding. $100,000.00 20,000.00 11,179. 84 22, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 988. 92 Individual deposits U nited States deposits ." DepositsofU.S.disbursing officers. 81, 548. 98 I otes and bills rediscounted N Bills payable 21, 517.14 25, 000. 00 Liabilities other than those above stated 283, 734.88 Total. 283, 734. 88 Comanche National Bank, Comanche. T. J . HOLMSLEY, President. No. 4246. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ; U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $87, 579. 87 753. 82 12, 500. 00 1, 550. 50 11, 090. 63 7,136.28 10, 006. 09 489. 70 111.34 872.00 695. 00 45.22 11,830.35 1, 495. 00 562. 50 300.00 147,018.30 Total. W. B. CUNNINGHAM, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 984. 09 Individual deposits United States deposits Deposits of U.S. disbursing officers. 53,273. 96 Notes and bills rediscounted Bills payable 18, 808. 91 Liabilities other than those above stated Total. 2, 701. 34 11,250 00 147, 018. 30 Commerce National Bank Commerce. J. D. CRAWFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'ghouse,furniture,andfixturesi Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4021. $111, 672. 85 20, 091.49 19, 550.00 733.55 2, 250.00 4, 376.92 638.97 12,166. 72 731. 55 175.00 9.20 2, 790.60 1, 200.00 ""863." 50 177,250.35 P. A. NORRIS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $75, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 111. 79 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 15, 000. 00 6, 298.13 17,270.00 40, 826. 78 22, 251. 28 492.37 177, 250. 35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1113 TEXAS. First National Bank, Cooper. No. 4500. H. B. LAIN, President. R. M. WALKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'g house, furniture,and fixtures Other real estate andniortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 1§. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $55, 766. 50 Capital stock paid in. $50,000. 00 "i2,*500! 00* Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding. 4,000. 00 State-bank notes outstanding 1, 500. 00 5,156. 25 Due to other national banks 17, 231. 94 Due to State banks and bankers.. 238. 67 2, 534.12 Dividends unpaid 133. 04 Individual deposits 775. 00 United States deposits I 75.00 Depositsof U.S.disbursing officers, i 5, 060. 00 1, 820. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 24, 000. 00 Total . 108, 353. 02 798.06 11,250.00 43.05 22,261. 91 108, 353. 02 Corpus Christi National Bank, Corpus Christi. DAVID HmsCH, President. No. 4423. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $168,134. 53 13, 236. 70 25, 000. 00 2,750. 00 THOS. HICKEY, Cashier. $100,000.00 Capital stock paid i n . 13, 000.00 Surplus fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 7, 546.91 22, 500.00 D u e t o other national b a n k s D u e to State b a n k s a n d b a n k e r s . . 958.16 2,773. 67 "" 2,'500." bb" "62," 383." 38* 4, 211. 69 23,881. 27 63.14 "3," 845." 00* 46.90 12, 650. 55 3,162. 00 Dividends u n p a i d I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S.disbursingofticers. 176, 211.42 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 322, 990.16 Total. 322, 990.16 First National Bank, Corsicana. JAMES GAEITTY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposi ts IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 3506. $247, 792.19 136, 992. 27 31, 250. 00 41, 740. 00 15, 000. 00 13, 952. 75 12, 830. 50 4,488. 61 126. 38 250. 00 290. 25 1,320.00 3, 397. 00 1, 405. 00 510,834.95 E. H. CHURCH, Cashier. Capital stock paid in. $125,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 10,012. 99 3,148. 94 Individual deposits United States deposits Depositsof U.S.disbursingoificers. 206, 875.01 Notes and bills rediscounted. Bills payable 12, 698.01 28,100. 00 100,000. 00 Liabilities other than those above stated Total . 510, 834.95 1114 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. City National Bank, Corsicana. W. R. BRIGHT, President N o . 3915. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' gVnouse, furniture, and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total S. M. KERR, Cashier. Liabilities. $421, 610.17 4,474.91 50,000. 00 12, 600. 00 12,6U0.00 5, 517. 32 3, 099. 91 5,129.14 3,311.97 800. 00 171.17 2,988. 00 5,553. 00 2, 250. 00 Capital stock paid in $300,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 25, 000. 00 Due to other national banks Due to State banks and bankers.. 884. 72 343. 60 Dividends unpaid 20,186. 08 45, 000. 00 46.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted Bills payable 56,145.19 82, 500.00 Liabilities other than those above stated 530,105. 59 Total 530,105.59 Corsicana National Bank, Corsicana. GEO. T. JESTER, President No. 3645. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $195, 714. 24 104,842.11 25,000.00 5,000. 00 3, 293. 77 8, 497. 99 903. 44 54. 39 120. 00 3, 000.00 413. 40 4,183.75 10,282.00 1,125. 00 362, 430.09 Total. T. P . K E R B , Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursin g officers. 21,135.17 1,185. 94 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 25,000.00 3, 469. 02 22, 500. 00 169,139.96 20,000. 00 362,430.09 First National Bank, Crockett. J. C. WOOTTERS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bouds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate jtnd mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. N o . 4684. H. F. MOORE, Cashier. $120, 993.14 20, 066. 51 12, 500. 00 Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. State-bank notes outstanding $50,000.00 10, 000.00 1, 628. 66 11, 250.00 5,500.00 1,412. 54 1,245.61 7, 502. 06 1, 592. 68 114. 85 1,801. 00 3, 250. 00 562.50 178,040. 89 Due to other national banks Due to State banks and bankersDividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 70. 599. 81 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 34,562.42 178,040.89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1115 TEXAS. First National Bank, Cuero. ALEXANDER HAMILTON, President. No. 4140. LEE JOSEPH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State bank sand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. $66, 628. 59 8. 735.26 12, 500.00 Capital stock paid i n . . . $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,400.00 National-bank notes outstanding. 4,000. 00 State-bank notes outstanding 12, 040. 01 Due to other national banks 29, 754. 52 Due to State banks and bankers.. 21, 677. 26 3, 895.11 Dividends unpaid 15.08 Individual deposits United States deposits 148.65 Deposits of U.S.disbursingofficers. 8, 510. 50 4, 660. 00 Notes and bills rediscounted Bills payable '~"562.'5O' Liabilities other than those above stated Total. 174,527.48 3, 226. 02 7, 920. 37 9, 450.00 1, 883. 75 637.15 101,410.19 174, 527.48 National Bank, Daingerfield. J. T. BRADFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S J . F . J O N E S , Cashier. No. 4701. $63, 624. 44 Capital stock paid in . $50,000.00 2, 322. 88 12, 500. 00 Surplus fund 4,000. 00 Undivided profits, less current expenses and taxes paid 5, 597. 00 1, 500. 00 liational-bauk notes outstanding. 11,250.00 8, 433. 34 State-bank notes outstanding 4, 250. 00 Due to other national banks 1,354. 26 303.17 3, 757.21 Due to State banks and bankers.. "'276.03 Dividends unpaid 40.00 46.93 225. 60 300. 00 562. 50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 8, 000. 00 Liabilities other than those above stated Total. 97, 838. 93 Total... 17, 334. 50 97,838. 93 American National Bank, Dallas. W. H. THOMAS, President. No. 3132. Loans and discounts Overdrafts U. S. bonds to secure circulation.. . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. J. GANNON, Cashier. Capital stock paid in . $200, 000.00 Su rplus fund Undivided profits, less current p , dt id expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 125, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 51. 693. 76 '352.28 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 662,682. 68 46,596. 52 42, 993.19 8, 634.48 180, 000. 00 Notes and bills rediscounted. Bills payable Liabilities other than*those above stated 1, 317,952. 91 Total . 1, 317,952.91 1116 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. City National Bank, Dallas. J . C. O'CONNOR, President. E. O. TENISON, Cashier. No. 2455. Liabilities. [Resources. $1, 361, 495. 94 Loans and discounts Capital stock paid in. 123, 399. 78 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... Surplusfund TJ. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand expenses and taxes paid 5, 000. 00 Premiums on U. S. bonds National-bank notes outstanding. 37, 500. 00 Stocks, securities, etc State-bank notes outstanding 60, 000. 00 Bank'ghouse, furniture, andiixtures Other real estate andmortg's owned Due to other national banks 88, 604. 49 Due from other national banks Due to State banks and bankers. 59, 441.15 Due from State banks and bankers. 59,177. 91 Dividends unpaid Due from approved reserve agents. 3, 425. 31 Checks and other cash items 10,144. 90 Exchanges for clearing house Individual deposits 3, 630. 00 Bills of other national banks United States deposits 270. 60 Fractional currency, nickels, cents. Depositsof U.S.disbursingofficers 47, 370. 50 Specie 61, 000. 00 Notes and bills rediscounted. Legal-tender notes U. S. certificates of deposit Bills payable 2,250.00 I Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities other than those above stated 1, 972,710. 58 Total. $400, 000. 00 15, 000. 00 30, 394.99 45, 000. 00 319, 864. 54 36, 287.76 96.00 1,126, 067. 29 1,972, 710.58 Total. Mercantile National Bank, Dallas. No. 4707. J. HUEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $262,724.10 12, 704. 67 37, 500. 00 4, 312. 50 8,400. 00 15,427. 35 10, 835. 65 8, 845. 56 9, 275. 38 14, 545. 76 2, 739. 00 326. 40 1, 387. 00 60.43 3, 662. 85 11, 926. 00 1, 387. 50 $150, 000. 00 Surplus fund "Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 000. 00 3,649.59 33, 750.00 Due to other national banks Due to State banks and bankers Dividends unpaid 3, 089.94 1, 600.20 Individual deposits United States deposits Depositsof U.S.disbursingofficers 184,349.62 Notes and bills rediscounted Bills payable Liabilities other than those above stated 25, 611. 80 406, 060.15 Total. P A U L FURST, Cashier. Capital stock paid in. 9.00 406, 060.15 Total . National Bank of Commerce, Dallas. J. B. ADOUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from ay>proved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3985. $303, 271. 61 3,782.30 37, 500. 00 J. D. ESTES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 724. 09 275. 00 3, 621. 43 Due to other national banks 8, 954. 74 Due to State banks and bankers.. 3, 364. 35 11,145. 58 Dividends unpaid 52.44 572. 86 Individual deposits 2, 640. 00 United States deposits 8.37 Depositsof U.S.disbursingofficers. 15, 548. 75 10,234. 00 Notes and bills rediscounted Bills payable .1,227.50 Liabilities other than those above stated 404,922.82 Total. $150, 000. 00 8, 021. 38 33, 750. 00 6,410. 89 421.26 182, 367. 24 23, 952.05 404,922.82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1117 TEXAS. National Exchange Bank, Dallas. JOHN N. SIMPSON, President. No. 3623. ROYAL A. FERRIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $718, 371. 36 25, 609. 00 50, 000. 00 Capital stock paid in 4, 500. 00 41, 005. 02 9, 375.00 54, 653.00 Due to other national banks 56, 612.48 Due to State banks and bankers.. 6, 762. 92 109,462. 98 Dividends unpaid 767.36 6,859. 38 Individual deposits 13,960. 00 United States deposits 4,048.10 Deposits ofU.S.disbursing officers. 36, 451. 50 35, 000. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 1,175, 688.10 Total $300, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 8, 000.00 14,213.13 45,000. 00 95,730. 64 31, 698. 49 60.00 680, 985. 84 1,175, 688.10 First National Bank, Decatur. D. WAGGONER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. SDue from Treasurer U. S No. 2940. BEN. F . ALLEN, Cashier. $102,843. 59 Capital stock paid in. $50,000.00 25, 341. 58 12, 500. 00 Surplusfund 10, 000.00 Undivided profits, less current 11,161.32 I expenses and taxes paid National-banknotes outstanding. 11, 250. 00 927. 51 State-bank notes outstanding 9, 807. 00 200. 00 18,273.56 4,417. 69 24,284.12 52.25 2,444. 99 Individual deposits * "i*56o.'oo" j United States deposits 122.90 Deposits of U.S. disbursing officers. 20, 521. 00 4, 750. 00 Notes and bills rediscounted Bills payable """502.'50* Liabilities other than those above 341,247.39 226,103.70 Total . Due to other national banks Due to State banks and bankers.. Dividends unpaid 226,103.70 stated Total . Wise County National Bank, Decatur. H. H. HALSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4116. $89,554.34 2, 881.70 15, 000. 00 E. T. BRADLEY, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. State-bank notes outstanding 2, 500. 00 13,714.59 312. 38 600. 00 11, 580. 35 68.56 500.66 21.79 5, 273. 00 1, 850. 00 675. 66 600.00 146, 631. 71 Due to other national banks Due to State banks and bankers- $60, 000. 00 9, 000.00 5, 648.26 13, 500. 00 3, 201. 29 217.75 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 40,504.41 Notes and bills rediscounted Bills payable 14, 560. 00 Liabilities other than those above stated Total . 146, 631.71 1118 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS National Bank, Denison. No. 4447. C. S. COBB, President. N. S. ERNST, Cashier. Resources. Liabilities. ! Loans and discounts Overdrafts j U. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hard • Premiums on U. S. bonds | Stocks, securities, etc I Bank'ghouse,furniture, and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks I Fractional currency, nickels, cents. Specie " ! Legal-tender notes ' TJ. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S Total. $640, 792. 79 47,285.46 50, 000. 00 $200, 000. 00 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid 6,000. 00 National-bank notes outstanding. 33, 249. 22 State-bank notes outstanding 19, 570. 00 23,093.18 Due to other national banks 34,181. 88 Due to State banks and bankers.. 96.76 28, 756. 81 Dividends unpaid 773.09 Individual deposits 3, 300. 00 United States deposits 32. 40 DepositsofU.S.disbursing officers. 12,436.10 36,580. 00 i Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total . 938, 397. 69 15, 000. 00 14, 698. 37 45, 000. 00 10, 380. 23 11, 357.08 30.00 576, 932. 01 65, 000. 00 938, 397. 69 State National Bank, Denison. R. C. SHEARMAN, President. No. 3058. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bauk'ghouse,furniture, and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 4, 000. 00 11,751.28 22, 350. 00 14,951.01 12,581.44 2, 444. 79 50, 347. 72 4, 767. 40 $150, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30,000.00 Due to other national banks Due to State banks and bankersDividends unpaid 7, 509. 97 4, 721.76 Individual deposits 2,067.00 i United States deposits 155.55 Deposits of U. S.disbursingofficers. 3,766.80 | 45,000.00 | Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated , 1, 021,449.87 Total. Gr. L. BLACKFORD, Cashier. Capital stock paid in. Total 19, 592. 72 33, 750. 00 670. 00 675, 205.42 100,000. 00 1,021,449.87 First National Bank, Denton. M. S. STOUT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash vtems Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. F. SCHWEER, Cashier. No. 2812. Capital stock paid in. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4,002.13 Individual deposits United States deposits DepositsofU.S.disbursingofficers- 69,768. 82 Notes and bills rediscounted. Bills payable 9,141. 00 12, 000.00 1, 208. 60 11, 250. 00 Liabilities other than those above stated Total . 167, 370.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1119 TEXAS. Denton County National Bank, Denton. J . P . BLOUNT, President. No. 4708. B. H. DEAVENPOBT, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. .. U. S. bonds to secure deposits [ U. S. bonds on hand j Premiums on TJ. S. bonds j Stocks, securities, etc j Bank'gbouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ, S Liabilities. $134, 322. 85 19, 363. 36 12, 500. 00 Capital stock paid in. 3,051.04 11, 250. 00 7,160. 22 Due to other national banks Due to State banks and bankers. 1, 773. 21 431. 30 2, 358. 81 75.17 Dividends unpaid 9, 800. 00 400. 00 12. 73 6, 200. 00 5,000. 00 , 502.50 3, 500. 00 200. 00 Individual d< sposits. United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable 101,259.09 6, 300. 00 20,000.00 Liabilities other than those above stated 197, 764. 64 Total. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 197,764. 64 Total. Exchange National Bank, Denton. S. F . REYNOLDS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S • Total J. C. COIT, Cashier. No. 2949. $167, 861. 40 Capital stock paid in $60, 000.00 36, 734.45 15, 000. 00 Surplus fund 17, 000. 00 Undivided profits, less current 2,403.95 expensed and taxes paid 13, 500. 00 National-bank notes outstanding. 10,452.06 State-bank notes outstanding 10, 000. 00 5,900. 00 Due to other national banks 2, 957.51 2,15 Due to State banks and bankers 622. 86 11, 822. 01 Dividends unpaid 695. 28 Individual deposits 142, 679. 80 591. 00 United States deposits 18.45 Deposits of U.S.disbursingofficers. 5, 767. 60 7,100. 00 Notes and bills rediscounted 32, 731. 00 Bills payable 2, 000. 00 675. 00 30.00 Liabilities other than those above stated 273,272. 26 Total 273,272.26 First National Bank, Detroit. J. H. CATON, SR M President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ; Premiums on TJ. S. bonds J Stocks, securities, etc | Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 4682. $48,823.86 16,549.80 12, 500. 00 1,125.00 4, 021. 25 63.10 226. 03 13.51 2,974. 92 3.15 15.00 48.10 3,014. 00 690. 00 562.50 90, 630. 22 D. A. CHAMBERS, Cashiep. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. $50, 000. 00 2, 326. 00 3,159.81 11,250.00 900.18 408.87 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. Notes and bills rediscounted. Bills payable 10, 085. 36 12, 500. 00 Liabilities other than those above stated Total. 90,630.22 1120 KEPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Dublin National Bank, Dublin. R. W. HIGGINBOTHAM, President. No. 4865. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $107, 968.55 40, 466.73 12,500.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 1, 600. 00 United States deposits 162. 20 Deposits of U.S.disbursing officers. 6, 652. 36 29.94 9, 638. 25 2, 820. 00 **'562."56' 190,115. 60 Total. JNO. G. HABEIS, Cashier, Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 10,000. 00 5, 350. 38 11, 250. 00 63,158. 54 13, 674. 38 30, 000.00 190,115. 60 First National Bank, Eagle Pass. N o . 4490. F. V. BLESSE, President. Loans and discounts • Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 256,275. 56 Total. W. A. BONNET, Cashier. $127,278.53 Capital stock paid in. 30, 534.21 15, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,562.50 National-bank notes outstanding. 12, 247. 01 State-bank notes outstanding. 2, 000. 00 Due to other national banks ' 3,580."75 Due to State banks and bankers. . 24,335. 78 91.30 Dividends unpaid 238. 80 Individual deposits 600. 00 United States deposits 55.38 Deposits of U.S.disbursing officers. 36, 111. 30 1,959. 00 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above stated Total. $60,000.00 12, 000.00 3,472. 85 13, 500. 00 9, 067. 37 1, 488. 20 156, 747.14 256, 275. 56 Eastland National Bank, Eastland. J. W. TIDWELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . M. HILL, Cashier. No. 4466. Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1,711.97 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding $60, 681.66 1, 797. 45 12, 500. 00 4,855. 50 1,932. 37 1,940. 45 125. 69 2L 66' .37 361.00 457. 00 562. 50 85, 234. 99 Due to other national banks Due to State banks and bankers. Dividends unpaid 6, 950.48 IndiAddual deposits United States deposits 5,460. 01 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. . 9, 862. 53 Deposits of U.S.disbursing officers. 85, 234.99 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1121 TEXAS. First National Bank, El Paso. U. S. STEWART, Cashier. No. 2532. JOSHUA S, RAYNOLDS, President. Liabilities. Resources. Loans and discounts » Overdrafts 0". S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S Total . $288, 240. 50 12. 563. 94 100, 000.00 13, 849. 05 32, 000. 00 3, 000. 00 111, 494. 80 12,157. 07 71, 019. 83 6,656.31 5, 725. 00 207. 53 34,360.00 6, 250. 00 4,455.00 701, 979. 03 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 25, 000, 00 4, 929. 54 89,100. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 114,512.14 27, 075. 94 Individual deposits ! ! United States deposits Deposits of U.S.disbursing officers. 341,361.41 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 701, 979.03 State National Bank, El Paso. CHAS. R. MOREHEAD, President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation... I TJ. S. bonds to secure deposits ! U. S. bonds on hand ; Premiums onU. S. bonds ! Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.! Due from Treasurer U. S ! J. C. LACKLAND, Cashier. No. 2521. $247, 991. 57 Capital stock paid in. $55, 000. 00 8,390.13 14. 000. 00 Surplus fund 30, 000. 00 Undivided profits, less current 2, 426.45 expenses and taxes paid , 12, 260.00 National-bank notes outstanding.} !. 4,127. 94 State-bank notes outstanding 18, 500. 00 1, 936. 35 5,109. 73 Due to other national banks I 34, 831. 07 6, 233. 75 2, 758. 30 Due to State banks and bankers.. j 18, 975. 32 j. 5,182.10 Dividends unpaid 364, 935. 36 J 23, 773. 00 Individual deposits 948. 75 United States deposits i. 80, 074. 00 Deposits of U.S.disbursing officers. 7, 500. 00 Notes and bills rediscounted. Bills payable 630. 00 Liabilities other than those above stated 472, 791. 91 Total . Total . 472, 791. 91 Ennis National Bank, Ennis. W. R. HOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . CUR, PT 2——71 MARK LATIMER, Cashier. No. 2939. $148, 811. 21 Capital stock paid in | $100, 000. 00 84, 766. 06 25, 000. 00 Surplus fund 20, 000. 00 Undivided profits, less current 10, 775. 90 expenses and taxes paid National-bank notes outstanding. 7, 620.00 997.50 State-bank notes outstanding 6,785. 31 50, 339.71 4,077. 79 6,807.24 1,709.09 Due to other national banks Due to State banks and bankers.. Dividends unpaid 19, 767. 23 493.01 Individual deposits 5, 323. 00 United States deposits 343. 05 Deposits of U.S.disbursingofficers. 3, 880. 00 11, 750. 00 Notes and bills rediscounted Bills payable 1, 042. 00 Liabilities other than those above stated 177. 525. 82 351,631.8 Total . 450. 00 15, 000. 00 351,631.96 1122 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. People's National Bank, Ennis. JOSIAH BLAKEY, President. J. B. HERNDON, Cashier. No. 3532. Resources. Liabilities. $65 920.33 Capital stock paid in 30,908.24 12,500.00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 8,443.50 1,200.00 Due to other national banks j 1 976.95 Due to State banks and bankers.. 6, 061. 08 Dividends unpaid ,...!. 149. 18 Individual deposits i United States deposits j 245. 05 Deposits of U.S. disbursing officers.! 841.25 4, 745. 00 Notes and bills rediscounted Bills payable... 562. 50 Liabilities other than those above $50, 000. 00 133, 553. 08 Loans and. discounts ,— Overdrafts U. S. bonds to secure circulation... j IT. S. bonds to secure deposits '. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures: Other real estate andmortg's owned! Due from other national banks j Due from State banks and bankers. . Due from approved reserve agents, j Checks and other cash items ' Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. > Specie ! ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S.; Due from Treasurer U. S i 133,553. 08 stated Total. 5, 300. 00 3, 598. 69 11, 250. 00 1,800.72 705.17 39, 389. 20 17, 509. 30 4, 000. 00 First National Bank, Farmersville. No. 3624. A. H. NEATHERY, President. Loan and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures | Other real estate and mortg'sowned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S "W. M. "WINDOM, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 12, 254. 56 362. 28 Individual deposits United States deposits Deposits of U.S.disbursingofncers. Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. Total. 11, 500. 00 46, 619. 39 11,043.58 11, 250. 00 40, 000. 00 183, 029. 81 First National Bank, Flatonia. T. T. MCCOMMON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Duefrom State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4179. $100, 289. 95 9, 394. 65 12,500. 00 W. WILLEFORD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid Natibnal*bank notes outstanding. State-banknotes outstanding.. $50, 000.00 5, 000. 00 10, 364.15 11, 250. 00 5, 000. 00 Due to other national banks 25,432. 94 Due to State banks and bankers.. 164. 78 1, 200. 00 Dividends unpaid 182. 37 6, 760. 00 4, 000. 00 562. 50 165,487.19 7, 533.81 Individual deposits United States deposits Deposits of U.S.disbursing officers. 63, 729. 23 Notes and bills rediscounted Bills payable 12,100.00 5, 000.00 Liabilities other than those above stated Total. 510.00 165,487.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1123, TEXAS. National Bank, Forney. No. 4014. T. H. DAILEY, President. G-. W. VOTERS. Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bondsto secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures' Other real estate and niortg's owned Due from other.national banks I Due from State banks and bankers. | Due from approved reserve agents - j Checks and other cash items i Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $76, 984. 91 12, 500. 00 1, 500. 00 ""5," 894." 66' Capital stock paid i n . . $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes o u t s t a n d i n g ' Due to other national banks 2, 042. 34 11, 250. 00 528.10 "is, oii." 94 Due to State banks and bankers.. 2, 394. 89 709.06 4,250.00 Dividends unpaid Individual deposits 1,666. 00 i United States deposits . 100.00 Deposits of U.S.disbursing officers.[. 848. 90 2, 500. 00 Notes and bills rediscounted.. Bills payable 562. 50 Liabilities other than those above stated 120, 006. 20 Total . 31, 935. 76 20, 000. 00 120, 006. 20 First National Bank, Fort Worth. MARTIN B. LOYD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds Stocks, securities, etc | Bank'gbouse,furniture, and fixtures Other real estate and mortg's owned| Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2349. $547, 872.18 67, 380.12 50, 000. 00 25, 011. 73 15, 000. 00 4, 800. 00 122,621.15 276. 97 79, 613. 50 10,177. 27 4, 826. 00 168. 29 13, 051. 30 5, 000. 00 E. B. HARROLD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 55, 203. 80 5, 914. 64 Due to other national banks Due to State banks and bankers.. Dividends unpaid ! I Individual deposits United States deposits Depositsof U.S.disbursing officers. 467,722.20 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated Total . 948, 048.51 948, 048. 51 American National Bank, Fort Worth. C. J. SHAPARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U, S Total. No. 4848. $227, 445.19 6,154. 96 37. 500. 00 LUTHER I. BOAZ, Cashier. Capital stock paid in j $ 150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 687. 87 National-bank notes outstanding. State-bank notes outstanding 8, 586.19 33, 750. 00 Due to other national banks Due to State banks and bankers.. 7,137.87 5, 788. 94 ' 16," 597." 56" 10, 422. 04 42, 697. 51 1, 683. 33 1,136. 69 5, 730. 48 2, 448. 89 5, 385. G O 502.13 8,258.00 0.00 8, 500. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. Notes and bills rediscounted. Bills payable 1, 687. 50 Liabilities other than those above stated 379,137.15 Total. 379,137.15 1124 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Farmers and Mechanics' National Bank, Forth Worth. J. TV. SPENCER, President. No 4004. BEN. 0. SMITH, Cashier. Resources. Liabilities. Loans and discounts i $436, 495. 75 Overdrafts ! 12, 420. 76 U. S. bonds to secure circulation... i 50, 000. 00 TJ. S. bonds to secure deposits XJ. S. bonds on hand i Premiums on IT. S. bonds \ 4, 500. 00 Stocks, securities, etc 19. 454. 51 Bank'gbouse,furniture,and fixtures 41. 500. 00 Other real estate and mortg's owned 71, 0(57. 02 Due from other national banks 60, 007. 35 Due from State banks and bankers. 16, 820. 73 Due from approved reserve agents. 4,196. 70 Checks and other cash items 1, 471. 78 Exchanges for clearing house 8, 337. 22 Bills of other national banks j 2, 855. 00 Fractional currency,nickels, cents. I 26. 25 Specie | 1,790. 00 Legal-tender notes j 10, 000. 00 TJ. S. certificates of deposit I Redemption fund with Treas. U. S.' 2, 250. 00 Due from Treasurer U. S ; Total. Capital stock paid in $400, 000. 00 Surplus fund | Undivided profits, less current j expenses and taxes paid I National-banknotes outstanding.! State-bank notes outstanding j 44,500. 00 Due to other national banks j Due to State banks and bankers.. j Dividends unpaid j 41,282.98 9, 838. 75 Individual deposits j United States deposits !. Depositsof U.S.disbursingofficersJ 131, 969. 66 Notes and bills rediscounted Bills payable ! \ i Liabilities other than those above I! stated Total. 743,193. 07 26, 526. 68 45,000.00 575.00 43, 500. 00 743,193. 07 Fort Worth National Bank, Fort Worth. K. M. VAN ZANDT, President. No. 3131. Loans and discounts I Overdrafts | TJ. S. bonds to secure circulation...! TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc ; Bank'ghouse,furniture,andfixtures: Other real estate and mortg's owned: Due from other national banks Due from State banks and bankers. Due from approved reserve agents.' Checks and other cash items ] Exchanges for clearing house j Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit i Redemption fund with Treas. U. S. | Due from Treasurer U. S ! Total $925, 970. 34 45, 083. 86 50, 000. 00 6, 000. 00 19, 411. 26 21, 000. 00 13, 014. 41 93, 829. 92 30, 831. 25 166, 309. 60 1,545.64 5,126. 35 16, 619. 00 405. 93 15. 497. 70 30, 000. 00 2, 250. 00 1,442, 895. 26 N. HARDING, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $500, 000. 00 90, 000. 00 19, 349.15 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 34, 587. 76 11, 264. 58 Individual deposits United States deposits Deposits of U .S .disbursing officers. 742,193.77 500. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1, 442, 895. 26 National Live Stock Bank, Fort Worth. M. C. HUELEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures! Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S-l Due from Treasurer U. S I Total . J No. 4946. A. S. REED, Cashier. $254, 774. 44 I Capital stock paid in j $150, 000. 00 3, 024. 32 37, 500. 00 Surplus fund 4,000. 00 Undivided profits, less current expenses and taxes paid 7, 892. 08 33, 750. 00 6, 500. 00 National-bank notes outstanding. | State-bank notes outstanding 7,122. 86 36,918.93 Due to other national banks 33,413.87 Due to State banks and bankers.. 8, 054.18 4,177.02 J 23, 387. 38 1 Dividends unpaid 1 8,238.82 3, 084. 39 Individual deposits 127, 833. 86 19,239. 00 United States deposits. 105. 20 Deposits of U.S.disbursingofficers. 1, 844. 25 11,000. 00 Notes and bills rediscounted I 46, 650.00 Bills payable 1, 687. 50 Liabilities other than those above j stated ! 415,099.05 !| Total. 415,099.05 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1125 TEXAS. State National Bank, Fort Worth. SIDNEY MARTIN, President. No. 3221. JNO. C. HARRISON, Cashier. Resources. Loans and discounts Overdrafts , XJ. S. bonds to secure circulation... TJ. S3. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash item Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XT. S.I Due from Treasurer TJ. S ! Total. Liabilities. ;496. 7(35.11 4,919.28 50, 000. 00 Capital stock paid in. Surplus fund j Undivided profits, less current | expenses and taxes paid 5, 000. 00 j National-bank notes outstanding. 50, 000. 00 j State-bank notes outstanding 34 000. 00 27,700.00 Due to other national banks 47, 418. 06 Due to State banks and bankers. 4, 047. 94 28, 638. 61 Dividends unpaid 667,29 2, 574. 78 Individual deposits 14, 300. 00 United States deposits 255. 00 DepositsofU.S.disbursingofficers 12,475. 50 50, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 $250, 000. 00 50, 000. 00 24. 678.10 45, 000. 00 44, 324. 83 15,796.67 306,211.97 95, 000. 00 Liabilities other than those above stated 831,011.57 Total. 831,011.57 Traders' National Bank, Fort Worth. H. C. EDRINGTON, President. No. 2689. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.i Due from Treasurer U. S ! Total. $256, 338. 27 54, 403. 76 32, 000. 00 4, 000. 00 15, 082. 88 6,518.55 7, 419. 86 12, 000. 75 8, 349. 84 37, 588. 83 WILLIAM G. NEWBY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks ; Due to State banks and bankers.. j i Dividends unpaid |. Individual deposits I United States deposits I. Deposits of U.S.disbursingofticers.!. 3, 529.17 580. 00 8.66 7, 254. 30 500. 00 ! Notes and bills rediscounted. j Bills payable $125, 000. 00 50, 000. 00 17, 28, 608. 45 800. 00 9 1C8. 27 438. 81 223, 008. 04 1,440.00 Liabilities other than those above stated Total. 447,014.87 i 21.30 447, 014. 87 First National Bank, Gainesville. F . M. DOUGHERTY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds ! Stocks, securities, etc j Baiik'ghouse^'urniture.andfixturosj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2836. '9,693.51 112, 532. 94 32,000.00 644. 00 15,125.67 2, 751. 98 25, 037.16 409. 72 762.00 100.60 22,182. 50 12, 000. 00 1, 440. 00 624, 678.08 WILLIAM WORSHAM, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes i>aid National-bank notes outstanding. State-bank notes outstanding Duo to other national banks | Due to State banks and bankers.. I Dividends unpaid Individual deposits j United States deposits ' Depositsof U.S.disbursingofficers. i Notes and bills rediscounted • Bills payable j $125, 000. 00 100,000.00 43, 439. 07 28, 800. 00 12, 061.15 5, 901.30 50. 00 261,583.91 47,842.65 Liabilities other than those above j stated > Total. 624, 678. 08 1126 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Gainesville National Bank, Gainesville. C. C. HEMMING, President. No. 2802. H. JR. ELDRIDGE, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total. Liabilities. $508 798. 64 73 689. 28 37, 500. 00 273. 40 200. 00 810.60 812.07 325. 92 G',53. 75 616. 58 024. 49. 050. 000. 00 00 00 00 1,687.50 $150, 000. 00 Capital s t o c k p a i d i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 150, 000. 00 28, 504.14 33, 750. 00 6, 514.10 3, 457. 49 210.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 268,182. 26 j Notes and bills rediscounted ! B il 1 s payabl e . |j Liabilities other than those above stated 99, 852. 75 10, 000. 00 Total . 750,470.74 750, 470. 74 Red River National Bank, Gainesville. No. 3229. L. B. EDWARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ! TJ. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J. M. POTTER, Cashier. $163, 446. 64 ! Capital stock paid in 5, 544.10 i 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 135. 00 State-bank notes outstanding 11, 000. 00 3, 950. 69 Due to other national banks 6, 507. 58 Due to State banks and bankers. 723.43 12, 647. 72 Dividends unpaid 5,529.15 Individual deposits 6,160. 00 United States deposits 474. 00 Deposits of U. S. disbursing officers i 11,630.00 10, 000. 00 Notes and bills rediscounted | Bills payable 1,125.00 Liabilities other than those above stated _.._.. 266, 373. 31 Total $100, 000. 00 18, 000.00 5, 517. 80 22,500.00 9, 022. 55 2, 091.76 101,241.20 8, 000. 00 266, 373. 31 First National Bank, Galveston. JULIUS RUNGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund, with Treas. U. S. Due from Treasurer U. S Total. No. 1566. W. N. STOWE, Cashier. $800,724.32 !| Capital stock paid i n . . $300, 000.00 8.270.72 ! i 50,000.00 ;| Surplus fund 100,000.00 Undivided profits, less current 65, 390. 05 expenses and taxes paid 45, 000. 00 5, 000. 00 National-bank notes outstanding. 25,141. 00 State-bank notes outstanding 33,110. 00 39, 240. 81 Due to other national banks 30,004.12 50, 263. 67 Due to State banks and bankers. 7,713.53 41,658.45 221.06 16, 520.16 2, 725. 00 519. 60 2, 739. 00 24, 425. 00 2, 250. 00 1,071,281.51 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 202,171.19 Notes and bills rediscounted Bills payable 289, 475. 34 Liabilities other than those above stated Total . 1, 071, 281. 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1127 T E X A S. G-alveston National Bank, Galveston. No. 4153. T. J . GEOCE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, andtixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. J . COMPTON, Cashier. Liabilities. $871,828.36 4, 890. 71 50, 000. 00 23, 658.11 41,500. 00 8,956.18 73,112.28 7, 097.13 75,101.84 79.59 5. 831. 26 14; 872. 00 96.75 42,717. 50 13, 000. 00 2, 250. 00 Capital stock paid in. $250,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 19, 500. 00 16, 443. 28 45,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 153,220. 98 36, 568.76 Individual deposits United States deposits Deposits of U.S disbursing officers. 486, 006. 74 Notes and bills rediscounted Bills payable 228, 017. 95 234.00 Liabilities other than those above stated Total. 1, 234, 991. 71 1, 234, 991. 71 First National Bank, Gatesville. No. 4097. JAMES R. RABY, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Dme from Treasurer U. S Total. J". R. SAUNDERS, President. 1, 500. 00 4, 911. 65 16, 000. 00 1, 539. 96 12,097.33 136. 08 135.00 124. 70 5,157. 00 330. 00 1,125. 00 267, 023. 91 A. R. WILLIAMS, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid $90, 088. 60 11, 670. 87 12, 500. 00 1,800. 00 9, 803. 02 4,100. 00 5, 506. 89 2,396. 38 2,055.54 431.17 1,512.50 12,485. 00 551.00 154, 901.12 $100, 000. 00 8, 000. 00 5, 078. 98 22, 500. 00 1,161.67 266. 86 5.00 Individual deposits United States deposits j Depositsof U.S.disbursingofficers. I 78, 816. 05 Notes and bills rediscounted Billspayable 51,195. 35 Liabilities other than those above stated Total. City National Bank, Gatesville. No. 4732. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g ho u se, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $170,103. 20 28, 863. 99 25, 000. 00 267, 023. 91 JNO. S. CORLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000.00 3, 500. 00 1, 858. 79 11, 020. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits | United States deposits Depositsof U.S. disbursing officers.! Notes and bills rediscounted Bills payable 58, 522. 33 30, 000.00 Liabilities other than those above stated ! Total . 154,901.12 1128 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Georgetown. No. 4294. A. J . NELSON, President. F . "W. CAROTHERS, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilitie $50, 000.00 214, 084.53 Total. $91, 931. 50 Capital stock paid in. 25,147.30 12,500.00 i Surplus fund Undivided profits, less current expenses and taxes paid 1, 625. 00 National-bank notes outstanding. 7, 303. 84 State-bank notes outstanding 10,000.00 6,714.53 Due to other national banks 23, 209.43 1,135.44 Due to State banks and bankers.. 16,132. 90 Dividends unpaid 981.52 Individual deposits 840. 00 United States deposits 9.82 DepositsofU.S.disbursingofficers. 14, 970. 75 1, 020. 00 Notes and bills rediscounted Bills payable 562.50 i Liabilities other than those above stated 214, 084. 53 4, 350. 00 1,860.33 11. 250.00 772. 70 1, 459.10 39.00 116, 207. 74 18,145. 66 10, 000.00 First National Bank, Giddings. J. A. FIELDS, President. No. 4410. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U . S . bonds on h a n d P r e m i u m s on U. S. bonds Stocks, securities, etc B a n k ' g house, furniture, and fixtures Other real estate and m o r t g ' s owned D u e from other national ba*nks . . . . D u e from State b a n k s and b a n k e r s . D u e from approved reserve a g e n t s . Checks and other cash items E x c h a n g e s for clearing house Bills of other national b a n k s Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S.j Due from Treasurer U. S 1,412. 50 1.00 5,160. 00 "22," 785.' 88" 10, 946.13 3, 269. 59 5.00 270.00 40.80 6, 413. 75 2,180. 00 $50, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 000. 00 1, 316. 03 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 340. 98 Individual deposits. United States deposits. Deposits of U.S.disbursingofficera. 52, 639.89 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated 116, 546. 90 Total. I. J. FARISS, Cashier. $50, 975. 54 I Capital s'tock paid i n . 24.21 12, 500. 00 Surplus fund Total. 116, 546.90 First National Bank, Goldthwaite. D. H. TRENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4687. W. H. TRENT, Cashier. $46, 720. 61 Capital stock paid in. 2,900. 56 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 7, 000. 00 State-bank notes outstanding 10, 380. 89 7, 046. 36 Due to other national banks 13, 675. 90 5, 326. 43 Due to State banks and bankers.. 3, 928. 71 Dividends unpaid 1, 500. 00 61.25 3, 395. 00 4, 625. 00 562. 50 119, 623.21 Individual deposits 1 United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable $50, 000.00 1, 500. 00 1, 536. 63 10, 950. 00 1, 037. 38 47, 599. 20 2,000.00 5, 000.00 Liabilities other than those above stated Total. 119, 623. 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1129 T E X A $. First National Bank, Goliad. No. 4565. T. P. MCCAMPBELL, President. W. B. CAMPBELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furmture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $77,230. 96 6, 305. 02 12. 500. 00 8,865. 20 4,058. 30 25, 284.37 963. 22 7,584. 69 496.17 '780.' 00 27.69 5,350. 00 1 220. 00 , 562.50 j Capital stock paid in \ $50, 000. 00 Surplus fund ! Undivided profits, less current expenses and taxes paid ! National-bank notes outstanding.' State-bank notes outstanding...'..:. Due to other national banks | Due to State banks and bankers.-! 10, 000. 00 4, 815. 98 11,250.00 1,415.22 543.62 Dividends unpaid Individual deposits I United States deposits ' Deposits ot'U.S.disbursingofficers. I j Notes and bills rediscounted I j Bills payable Liabilities other than those above stated Total . 73, 203. 30 151, 228.12 The Beckham National Bank, Graham. E. B. NORMAN, President. No. 4418. Loans and discounts | Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $201, 606. 51 2. 279. 00 25, 000. 00 W. T. STEWART, Cashier. i $100,000.00 Surplus fund | Undivided profits, less current j expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000. 00 Capital stock paid in. 3, 500. 00 150. 00 12, 624. 48 7, 958. 22 Due to other national banks 1, 737. 74 Due to State banks and bankers.. 1,113.91 7, 090. 27 Dividends unpaid 44.85 Individual deposits 80.00 United States deposits J 16.67 DepositsofU.S.disbursingofficers-j 605. 00 j 7, 620. 00 Notes and bills rediscounted Bills payable ; 1,125. 00 J Liabilities other than those above • stated I 272, 551. 65 Total . 7, 571. 54 22, 500. 00 12,185.10 12.00 79, 811. 92 24, 446. 56 1, 024. 53 272, 551. 65 First National Bank, Granbury. D. C. COGDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.., U. S. bonds to secure deposits U. S. bonds on hand Premiums on X S. bonds L ! Stocks, securities, etc ! Bank'g house, furniture, andfixtureS| Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3727. E. B. HILBUN, Cashier. $154,230.13 Capital stock paid in. 19, 052. 25 25, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 9, 500. 00 1,070.00 Due to other national banks 541.87 Due to State banks and bankers..( 156. 22 154. 84 Dividends unpaid • 1,731.23 Individual deposits | United States deposits. 88. 40 Deposits of U.S.disbursingofficers. 13, 853.10 2, 332. 00 Notes and bills rediscounted | Bills payable 725.00 Liabilities other than those above stated 228,435.04 Total . $100, 000. 00 18, 000. 00 1, 907. 76 22, 500. 00 15,198. 66 48,190. 20 22, 638. 42 228,435. 04 1130 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Grand View. No. 4389. R. N. HILL, President. T. E. PITTMAN, Cashier. Kesouroes. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total Liabilities. $80, 843. 79 7, 246. 02 12,500.00 1, 500. 00 1, 200. 00 4,177. 89 2. 000. 00 11, 052. 39 2, 274.95 1, 688. 26 215. 00 3.41 1, 943. 00 200. 00 562. 50 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 10, 000. 00 6,400. 92 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 29, 756. 29 Notes and bills rediscounted Bills payable 20,000. 00 Liabilities other than those above stated 127, 407. 21 127, 407. 21 Total . First National Bank, Greenville. J. L. LOVEJOY, President. T. H. KING, Cashier. No. 2998. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items C h Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cent9. Specie Legal-tender notes U. S. certificates of deposit [Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $204,791,82 78, 807.13 37, 500. 00 3,000.00 16,746.'64 5, 058. 31 151. 70 4, 495. 25 3, 045. 00 20. 77 1, 861.00 6, 000. 00 1, 687. 50 Capital stock paid in | Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted. Bills payable $150,000.00 12, 000.00 3,129.27 33,750.00 4, 219. 27 1, 237. 91 102, 828. 67 50,000. 00 Liabilities other than those above stated 357,165.12 357,165.12 Total . Greenville National Bank, Greenville. A. CAMERON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks I Due from State banks and bankers.] Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3646. $294, 275.01 153, 093. 69 50,000. 00 3,937. 50 15,757. 78 5,769.12 3, 692.25 23,584. 77 1, 315. 69 2, 500.00 432. 00 11, 575.50 12, 500. 00 2,250.00 580, 683.31 W. A. WILLIAMS, Cashier. Capital stock paid in. $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 9, 979. 39 45, 000. 00 Due to other national banks Due to State banks and bankers.. 14, 064. 05 1, 518.05 1, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. i Bills payable 219,121. 82 90, 000. 00 Liabilities other than those above stated Total. 580, 683.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1131 TEXAS. Groesbeeck National Bank, Groesbeeck. D. OLIVER, Cashier. No. 4269. R. OLIVER, President. Resources. Loan s and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc I Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $92, 017. 88 12,755.55 12, 500.00 9, 300. 00 3,989. 79 7,148. 52 5,571. 73 75. 79 190. 30 1,830.50 2, 000. 00 562.50 Capital stock paid in. $50,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 850.00 3, 794. 87 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 897.52 464.98 Individual deposits United States deposits Deposits of U.S.disbursing officers. 44, 769.68 Notes and bills rediscounted Bills payable Liabilities other than those above stated 32,915.51 147, 942. 56 Total. 147, 942.56 Lavaca County National Bank, Hallettsville. J. W. BENNETT, President No. 4338. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds j Stocks, securities, etc | Bank'ghouse,furniture,and fixtures | Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S FRIENCH SIMPSON, Cashier. $67,154. 62 Capital stock paid in 9, 743. 34 15, 000. 00 I Surplus fund Undivided profits, less current expenses and taxes paid I National-banknotes outstanding. State-bank notes outstanding $60,000.00 4, 300. 00 30.45 13,500.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 227. 40 Individual deposits United States deposits Depositsof U.S.disbursing officers. 48, 764.40 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. Total . 126, 822. 25 Hamilton National Bank, Hamilton. GrEO. F. PERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 4451. $54, 859. 56 8, 693. 56 12, 500. 00 1,500.00 3,223.'io 9, 301.15 741. 45 3, 712. 73 6.00 15.17 3, 519. 55 15.00 E. A. PERRY, Cashier. Capital stock paid in J $50, 000. 00 i Surplus fund I Undivided profits, less current i expenses and taxes paid J National-bank notes outstanding.| State-bank notes outstanding !. Due to other national b a n k s I Due to State banks and b a n k e r s . . j 5, 500.00 4,800.73 10-, 605. 00 306.82 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 27, 248. 02 Notes and bills rediscounted. Bills payable 562.50 Liabilities other t h a n those above stated 98, 649.77 Total. 189. 20 «,649777 1132 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS, Haskell National Bank, Haskell. No. 4474. M. S. PIERSON, President. J . L. JONES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. Lr. S. bonds to secure deposits TJ. S. bonds on hand ! Premiums on U. S. bonds j [ Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of ott er national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $65, 796. 27 1,188.89 12, 500. 00 1,750.00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 16,000.00 i 4,311.10 ! Due to other national banks 416.69 i Due to State banks and bankers.. 3,822.70 i| Dividends unpaid 1,360.84 ! Individual deposits United States deposits 4.00 i Deposits of U.S.disbursingofficers. 1, 150. 00 | 480.00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 109,342.99 i Total. Capital stock paid in stated Total. 10, 000. 00 3, 285. 00 10, 750. 00 543. 51 315. 39 29,449. 09 5, 000. 00 109, 342.99 First National Bank, Hearne. N o . 4976. H. R. HEARNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand \ Premiums on TJ. S. bonds ! Stocks, securities, etc ' Bank'gbouse, furniture, and fixtures'1 Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks I Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. W. P . FERGUSON, Cashier. $100,951.46 Capital stock paid in. 9, 998. 84 12, 500. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4,400. 41 Due to other national banks ii,"923*76"|| Due to State banks and bankers.. 114,174. 94 Dividends unpaid 1, 644. 78 I Individual deposits. United States deposits ! 3.00 || Depositsof U.JS.disbursingofficers 13,362.50 ! 5,515.00 j | Notes and bills rediscounted Bills payable 552.50 Liabilities other than those above $50, 000.00 111. 14 050. 00 835. 61 5.63 182, 286. 42 13,738.33 stated 275, 027.13 Total . 275, 027.13 Farmers! National Bank, Hemp stead. F . W. ZADOW, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nick els, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasure^ TJ. S Total. No. 4905. $68, 444. 03 1, 298. 62 12,500.00 18, 058. 21 10, 727. 75 916. 24 3, 288. 21 9, 817. 00 4,013.92 145. 35 E D . F . JOHNS, Cashier. Capital stock paid in. Surplus fund Undivided and taxes paidcurrent expenses profits, less National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. 1, 600. 00 3, 536.82 11, 250. 00 321. 83 Dividends unpaVd Individual deposits 1, 555. 00 United States deposits 9.45 |j DepositsoiU.S.disbursingofticers. 654.15 2, 750. 00 Notes and bills rediscounted. Bills payable ""562.'50" 134, 740.43 $50, 000. 00 Liabilities other than those above stated Total. 63, 031. 7 5, 000. 00 134, 740.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1133 TEXAS. Farmers' National Bank, Henrietta. No. 4068. J. A. FRAZAR, President. F . B. W Y A T T , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $83, 963. 63 5, 419. 64 12, 500. 00 2 316.37 3, 570.17 21,387.35 23. 759. 94 84.78 26, 586. 61 704.50 55.00 41.35 1, 004. 80 2, 500. 00 562. 50 Capital stock paid i n . Due to other national banks Due to State banks and b a n k e r s . . 2,500. 00 9, 035. 04 11, 250. 00 1, 750. 52 Dividends unpaid Individual deposits United States deposits Deposits of U.S.dis bursingofficers. 85,864. 95 Notes and bills rediscounted Billspayable 21,156.13 2, 900. 00 Liabilities other than those above stated 184, 456. 64 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Total . 184, 456. 64 First National Bank, Hico. R. Y. Cox, President. No. 4366. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $86, 340. 87 13, 637.31 12, 500. 00 1,000.00 J . S. Moss, J R . , Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000.00 3, 327.18 11, 250.00 1,190*70 7, 834.13 7, 572. 86 4, 925. 70 174. 95 1, 095.00 71.20 5,159. 95 2, 800. 00 "562.'50 Due to other national banks Due to State banks and b a n k e r s . . 223. 78 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 47,147.43 Notes and bills rediscounted Bills payable 22, 916. 78 Liabilities other t h a n those above stated 144, 865.17 Total. 144, 865.17 Citizens' National Bank, Hillsboro. GEOEGE CARMICHAEL, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4900. O. G. BOWMAN, Cashier. $82, 831. 96 ! Capital stock paid in 41, 020. 44 12, 500. 00 | Surplus fund | Undivided profits, less 1, 656. 25 182. 70 2, 789. 76 4,288.15 342. 83 8, 776. 25 1, 374. 33 3, 000. 00 12. 25 10,463.60 5, 535. 00 562.50 175, 336. 0-2 $50, 000. 00 3, 000.00 current I expenses and taxes paid I National-bank notes outstanding. State-bank notes outstanding 3, 977. 58 11, 250. 00 Due to other national banks Due to State banks and bankers. - 4, 051. 76 5.98 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers . 103, 050. 70 Notes and bills rediscounted... Billspayable Liabilities other than those above stated Total. 175, 336.02 1134 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Farmers' National Bank, Hillsboro. J. D. WARREN, President. No. 3762. JNO. J. WARREN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits J S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $117,965.04 I Capital stock paid in. 42,185.58 ! 12, 500. 00 ! Surplus fund Undivided profits, less current expenses and taxes paid 1, 375. 00 National-bank notes outstanding. 1,301.76 State-bank notes outstanding..... 12,200.00 3, 078. 75 Due to other national banks 10, 577. 56 Due to State banks and bankers.. 16.00 16,600.82 Dividends unpaid. 965. 00 Individual deposits 2, 500. 00 ! United States deposits 309.85 ! DepositsofU.S.disbursing officers 10, 485. 00 | 4, 911. 00 | Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 237,419.51 Total . $50, 000. 00 25, 000. 00 7,127. 76 11,250.00 1, 041. 21 14, 715. 21 85, 684. 37 37, 400.96 5, 200. 00 237, 419. 51 Total. Hill County National Bank, Hillsboro. C. E. PHILLIPS, President. . No. 3046. S. F. SULLENBERGER, Cashier. Total . $68, 969.12 ! Capital stock paid in 6, 384.19 12, 500. 00 i Surplus fund i Undivided profits, less current | expenses and taxes paid | National-bank notes outstanding. j State-bank notes outstanding 15,000.00 Due to other national banks 143.50 Due to State banks and bankers. 180.61 10, 242.53 Dividends unpaid 825. 60 Individual deposits 585.00 United States deposits 3.30 DepositsofU.S.disbursingofficers. 2, 678. 75 3, 000. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated $50, 000. 00 121, 075.10 Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 121, 075.10 Total. 10, 000. 00 629. 79 11, 250. 00 590. 64 402. 86 48,141.81 Sturgis National Bank, Hillsboro. T. G. HAWKINS, President. Loans and discounts I Overdrafts TJ. S. bonds to secure circulation...! U. S. bonds to secure deposits TJ. S. bonds on hand Premiumson TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 37: $113, 660.92 44,969.18 15, 000. 00 1, 800.00 15690. 5 4, 372. 88 243. 78 1, 657.81 448. 56 790. 00 13.95 7, 547. 25 8, 000.00 675. 00 214,869.84 C. A. SULLENBERGER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid $60, 000. 00 15, 000. 00 7, 488. 57 13, 500. 00 413. 23 Individual deposits United States deposits DepositsofU.S.disbursingoflicers., 103, 217. 55 Notes and bills rediscounted Bills payable Liabilities other than those above stated 15, 250. 49 Total. 214, 869.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1135 T EX A S . First National Bank, Honey Grove. No. 2867. W. UNDERWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U."S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total. $266, 667. 64 147 972.66 31,250.00 Capital stock paid in Surplus fund. Undivided profits, less current expenses and taxes paid 3, 000. 00 National-bank notes outstanding. 575.00 State-bank notes outstanding. 25, 800. 00 1,787.65 Due to other national banks 1,440.94 Due to State banks and bankers.. 107. 70 21, 996. 20 Dividends unpaid 85.18 Individual deposits 780.00 United States deposits 81.70 DepositsofU.S.disbursingofficers. 19,138.10 16, 835. 00 Notes and bills rediscounted. Bills payable 1, 406. 00 499.00 Liabilities other than those above stated Planters' National Bank, Honey Grove. No. 4112. J O S E P H MEYER, President $143, 889. 91 108, 883.47 18, 750. 00 2, 062. 50 2, 445. 35 12, 312.20 1, 400. 00 718. 86 95.53 1, 292. 60 44.36 705. 20 3, 367. 75 11, 500. 00 843. 50 3,120. 93 1,631.30 238, 981.92 50,000.00 E. J . THOMAS, Cashier. $75, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 250. 00 5, 066.18 16, 870.00 Due to other national banks Due to State banks and bankers Dividends unpaid 14,852. 64 194.16 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 95, 928. 25 Notes and bills rediscounted. Bills payable 150. 00 80, 000.00 Liabilities other than those above stated 308,311. 23 Total . 7, 568.62 28,120.00 539,422.77 Total . 539, 422. 77 Loans an d discounts Overdrafts IT. S. bonds to secure circulation... | U. S. bonds to secure deposits j U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Baiik'ghouse,farniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S T. U. COLE, Cashier. Liabilities. Resources. 308, 311.23 Total . First National Bank, Houston. A. P. ROOT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationakbanks Fractional currency, nick-els, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total N o . 1644. $925, 507. 61 27, 824. 68 25,000.00 3, 000.00 31,576. 07 27, 500. 00 28, 840.29 41,001.51 70, 200.01 182, 310. 58 861.53 7, 350. 00 1, 349. 29 140, 958. 00 198,900. 00 l t 125. 66 1, 713, 304.57 W. H. PALMER, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 400,000. 00 19, 964.53 93,910.14 100, 062.00 Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 200. 00 999,167. 90 Notes and bills rediscounted Bills payable Liabilities other than those above stated . .. Total 1,713, 304. 57 1136 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Commercial National Bank, Houston. W. B. CHEW, President. No. 3517. R. A. GIKAUD, Cashier. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation... X S. bonds to secure deposits L U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g houseiurniture,and fixtures Other real estate and mortg's owned Due from other national banks Duefrom. State banks and bankers. Due from approved reserve agents. Checks and other cash item Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer IT. S Liabilities. $339, 065. 66 21,881.42 50,000.00 0, 000. 00 " co," 666." 66" 5, 722. 22 5, 329. 88 120, 873. 39 432.00 10,610.00 519. 90 35, 376. 00 77, 975. 00 2, 250. 00 Capital stock paid in 30,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 83, 234.46 25, 845.69 Individual deposits United States deposits Deposits of U. S.disbursing officers - 296,397.92 Notes and bills rediscounted Bills payable 4, 267. 40 43, 950. 00 2, 340.00 50,000.00 Liabilities other than those above stated 736, 035. 47 Total . $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 736,035.47 Houston National Bank, Houston. HENRY S. FOX, President. Loans and discounts | Overdrafts I U. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duefrom approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. SDue from Treasurer U. S 340, 930. 72 Total . 1 N. C. MUNGER, Cashier. No. 4028. $204, 847. 34 Capital stock paid in $100, 000. 00 4,350.41 25, 000. 00 Surplus fund 11, 000. 00 Undivided profits, less current expenses and taxes paid 3, 839. 89 2, 750. 00 National-banknotes outstanding. 22, 500. 00 6, 000. 00 State-bank notes outstanding 3, 080. 00 10, 630.19 Due to other national banks 3, 407. 44 Due to State banks and bankers.. 2, 852. 81 560.16 25, 301. 81 Dividends unpaid 3.00 508. 91 190, 104. 83 Individual deposits 2, 475. 00 United States deposits 119. 35 DepositsofU.S.disbursingofficers. 49,175. 30 12,230.00 Notes and bills rediscounted Bills payable . . 1,125.00 Liabilities other than those above stated Total 340, 930.72 Planters and Mechanics' National Bank, Houston. T. J. BOYLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fix tares Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S Total - No. 4463. $430, 438. 43 6, 024. 59 50, 000. 00 5,500.00 8, 000. 00 17,019.67 6,176. 56 11, 469. 59 54, 262.16 839. 89 2, 25i. 00 235.70 867. 50 15, 000. 00 O. C. DREW, Cashier. Capital stock paid i n . $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 21, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 32, 933. 34 Individual deposits United States deposits Deposits of U. S.disbursing officers. 6, 673.39 45,000.00 528. 33 815.00 252, 885. 03 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 610, 335. 09 Total. 610, 335. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1137 TEXAS. South Texas National Bank, Houston, M. T. JONES, President. J. E. Me ASH AN, Cashier. No. 4350. Resources. Loans and discounts ! Overdrafts \ XL S. bonds to secure circulation... I U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers -I Due from approved reserve agents. I Checks and other cash items j Exchanges for clearing house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes | U. S. certificates of deposit j Redemption fund with Treas. U. S. j Due from Treasurer U. S j Liabilities. $801 622. 96 14, 740. 34 50! 000. 00 50, 000. 00 11, 573. 27 „ 8,122.11 8, 483. 66 3, 280.32 71, 956. 99 6.30 12, 539. 00 903.65 47, 994.00 55, 500. 00 2,250.00 Capital stock paid in 65,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6, 568. 28 18, 069. 69 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 379, 526. 36 45, 000. 00 Notes and bills rediscounted Bills payable 25, 951.16 44,220.00 30,00 j j 50, 000.00 Liabilities other than those above i stated i 4,607.11 j 1,138, 972. 60 Total 1,138,972.60 ! Total . $500, 000.00 nrplus Surplus f Undivided profits, less current expenses and taxes paid j National-bank notes outstanding.! State-bank notes outstanding !. First National Bank, Hubbard. No. 5008. J . B. MCDANIEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure cleposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S I Total . Louis C. WELLS, Cashier. $21, 715.20 I Capital stock paid in 36,607.63 12. 500. 00 Surplus fund 1, 562.50 2, 909.40 208. 64 590. 62 31.94 I i Undivided profits, less current j expenses and taxes paid i National-bank notes outstanding.j State-bank notes outstanding.. Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits ""uo'.'ob'\\ United States deposits 6.45 i Deposits of U.S.disbursingofficers. 2,550.30 I 749.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 80,134.18 || Total. $35,000. 00 86.40 11, 250. 00 7,722. 28 26, 047. 72 27.78 80,134.18 Gibbs National Bank, Huntsville. G. A. WYNNE, Cashier. No. 4208. Loans and discounts ! $115, 588.20 j Capital stock paid in $50,000.00 Overdrafts j 3.680.12 U. S. bonds to secure circulation... j 12, 500. 00 Surplus fund 10, 000.00 U. S. bonds to secure deposits j Undivided profits, less current U. S. bonds on hand j , expenses and taxes j>aid 17, 712. 84 Premiums on U. S.bonds j , National-bank notes outstanding. 11,190. 00 Stocks, securities, etc ! 30,273.43 State-bank notes outstanding Bank'ghouse,furniture,and fixtures! 1, 593.43 Other real estate and mortg's owned ! Due to other national banks Due from other national banks 12, 542.25 Due to State banks and bankers.. Due from State banks and bankers. 12, 317.46 Due from approved.reserve agents. 25, 382. 96 i Dividends unpaid Checks and other cash items 752. 51 ! | Individual deposits Exchanges for clearing house I 143, 266. 31 Bills of other national jbanks j 165. 00 I i United States deposits Fractional currency, nickels, cent! 176.64 j! Deposits of U. S. disbursing officers Specie 13, 976. 65 Legal-tender notes 2, 658. 00 Notes and bills rediscounted. Bills payable U. S. certificates of deposit j Redemption fund with Treas. II. S. I 562.50 Liabilities other than those above Due from Treasurer U. S I stated W. S. GIBBS, President. Total. CUR, PT 2 232,169.15 -72 Total . 232,169.15 1138 REPORT OF THE COMPTROLLER OF THE CURRENCY. T E X A S• First National Bank, Itasca. W. I. HOOKS, President. No. 4461. JNO. R. GEIFFIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $113,134.48 25,334. 39 12,500.00 Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid i"460*06* National-bank notes outstanding. State-bank notes outstanding 6, 700. 00 Due to other national banks 15, 298. 65 Due to State banks and bankers.. 558. 85 12, 040.12 Dividends unpaid 356. 92 Individual deposits 140. 00 United States deposits 72.07 Deposits of U. S.disbursing officers. 6,851. 25 1,000.00 Notes and bills rediscounted Bills payable 562.50 35, 000.00 5,217.87 11, 250.00 5, 394. 43 67,110. 58 21,976.35 Liabilities other than those above stated .... Total Total 195, 949. 23 195, 949. 23 Citizens' National Bank, Itasca. No. 4924. R. P. EDEINGTON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks i Due from State banks and bankers. j Due from approved reserve agents. I Checks and other cash items ! Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $67, 379.98 16, 512.08 15, 000. 00 1, 368.75 15, 797.83 3,358. 55 14, 273. 41 24, 054. 36 66.53 794.50 5,815. 00 $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding.. 10, 333. 00 418. 30 13, 500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 970. 55 354. 94 Individual deposits United States deposits Deposits of U. S.disbursing officers. 61, 210. 73 Notes and bills rediscounted Bills payable Liabilities other than those above stated 15, 308. 47 165, 095.99 Total. E. E. GEIFFIN, Cashier. Capital stock paid in. 165, 095. 99 Total . First National Bank, Jacksboro. JAMES W. ELNOX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. , Checks and other cash items -Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes tT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4483. $268, 902. 67 17, 719. 36 12, 500. 00 1,750. 00 4, 096. 20 4,139.82 10, 307.42 4, 353. 93 1,402.82 425. 00 76.50 2, 280.00 1, 000. 00 562.50 329, 516. 22 D. L. KNOX, Cashier. Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 Due to other national banks Due to State banks and bankers.. 12, 951. 05 17, 767.11 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers . Notes and bills rediscounted Bills payable 120, 248.06 47, 300.00 10, 000.00 Liabilities other than those above stated Total. 329, 516. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1139 TEXAS. National Bank, Jefferson. W. B. WARD, President. No. 1777. W. T. ATKINS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house. furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of'other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $188,823.55 il Capital stock paid in j 14,282.36 j| 25,000.00 I Surplus fund j Undivided profits, less current I expenses and taxes paid j 1, 750. 00 National-bank notes outstanding -' 53, 865. 81 State-bank notes outstanding j 4, 325. 75 33, 918.94 Due to other natioDal^banks 5, 376. 30 Due to State banks and bankers.. 776.52 $100, 000. 00 20, 000. 00 6,132.46 22,500. 00 12, 709.74 271. 36 Dividends unpaid 250.00 j Individual deposits 523.15 United States deposits 10,215.00 | Deposits of U.S.disbursingofficers. 12,725.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 352,957.38 186V 851. 68 4, 492.14 352,957. 38 First National Bank, Kaufman. No. 3836. H. T. NASH, President. Loans and discounts | Overdrafts j U.S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing hovise Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-teuder notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S WOOD NASH, Cashier. $50, 000.00 163, 566. 68 Total . $87,110.45 j Capital stock paid in. 26,143. 17 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 250. 00 National-bank notes outstanding, State-bank notes outstanding 5, 567. 97 1,500.00 Due to other national banks 15, 667. 33 Due to State banks and bankers. 4, 278. 40 Dividends unpaid 311.46 Individual deposits 230. 00 United States deposits .40 Depositsof U.S.disbursingofficers 3, 645. 00 4,800.00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 163, 566.68 Total . 10, 000.00 5,169.07 11, 250 00 580.19 725. 60 65,841. 82 20, 000.00 Citizens' National Bank, Kaufman. A. E. CARLISLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Premiums on IT. S. bonds j Stocks, securities, etc j Bank'g house,furniture,and fixtures1 Other real estate and mortg's owned Due from other national banks | Due from State banks and bankers -1 Due from approved reserve agents, i Checks and other cash items.'. j Exchanges for clearing house ! Hills of other national banks I Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. L. SELF, Cashier. No. 4492. 18, 989.42 12, 500.00 1.500.00 '4,977.02 5, 454. 89 2, 963. 74 5, 773. 08 154. 50 800. 00 26. 05 2, 901.] 5 5, 000. 00 562. 50 158, 286. 86 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 3,000.00 7,103. 60 11, 250.00 Due to other national banks Due to State banks and b a n k e r s . Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 16, 933. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 158,286.86 1140 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS, First National Bank, Ladonia. JAMES F» MCFAELAND, President. ]STo. 4311. D. E. WAGGONER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $117, 034.10 70, 927. 94 12, 500. 00 1,250.00 1, 900. 00 732. 60 1,519.70 115.14 17, 995. 42 541.69 **725.'o6' 66.80 10, 265.10 1, 700. 00 562.50 237, 885. 99 Total Capital stock paid in $50, 000. 00 Surplusfund Undivided protits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 741.11 1, 769.17 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 95, 823. 73 Notes and bills rediscounted Bills payable 241.98 11, 250. 00 60.00 50, 000.00 Liabilities other than those above stated Total. 237,5 Weldon National Bank, Ladonia. C. W. T. WELDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, farniture,aiid fixtures! Other real estate and mortg's owned! Due from other national banks \ Due from State banks and bankers. | Due from approved reserve agents, j Checks and other cash items j Exchanges for clearing house i Bills of other national banks I Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4515 W. E. WELDON, Cashier. $101,833.69 Capital stock paid in I $60,000. 00 96, 284.15 15, 000. 00 Surplusfund j 12,000.00 Undivided profits, less current | expenses and taxes paid 5,035.09 National-banknotes outstanding13,500.00 State bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid , 53, 373. 86 216. 40 Individual deposits United States deposits 156. 85 Deposits of U.S.disbursingofficers. 2,998.35 || 6,685.00 Notes and bills rediscounted. Bills payable 73,111.83 2,165. 63 176. 71 20, 310.35 951.45 30,000.00 675.00 Liabilities other than those above j stated | Total. 247, 237.18 247, 237.18 First National Bank, La Grange. A. T. BRADSHAW, President. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation...; U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers, j Due from approved reserve agents.! Checks and other cash items. ! Exchanges for clearing house j Bills of other national banks ! Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3906. $65,081.67 9,195. 52 12, 500. 00 1,500. 00 13, 675. 00 1, 400. 00 17, 380. 77 8. 954. 46 995. 80 2, 472. 62 21.35 JOHN B. HOLLOW AY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 1, 565. 83 11, 250. 00 24.55 Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted "*562."56' Bills payable Liabilities other than those above 2, 875. 00 121.00 4, 081.15 1, 865. 00 142, 681. 84 | 0, 000. 00 stated Total 43, 757.67 36, 083. 79 142, 681.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1141 TEXAS. First National Bank, Lampasas. No. 3261. E. J. MARSHALL, President. J. F. WHITE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secnre circulation... U. S. bonds to secure deposits... IT. S. bonds on hand ' Premiums on U. S. bonds Stocks, securities, etc. Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items.... Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Total. Liabilities. $96, 453.16 12, 596. 06 20, 500. 00 1,895.00 7, 500. 00 6, 500. 00 33, 587. 51 3, 018. 44 2,413. 35 3,123. 51 181.35 70." 66 43.20 2, 403. 25 5, 560. 00 462.50 Capital stock paid in. $80, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1,464.01 32. 80 2, 347. 76 18, 450. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers Notes and bills rediscounted. Bills payable 18,000.00 Liabilities other than those above stated 196,307.33 Total. 196, 307.33 Laredo National Bank, Laredo. No. 5001. J. DENTZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $103, 704. 47 1, 284.18 25, 000. 00 3, 000. 00 "i,*5o6."66 J . K. BERETTA, Cashier. Capital stock paid in | Capital stock not certified i Surplus fund 1 Undivided profits, less* current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 891. 85 15,251.87 5, 209. 33 920.43 Due to other national banks Due to State banks and bankers.. "3," 727.'00 28.56 25, 077. 25 1, 535. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 1,125. 00 ;79, 730.00 9, 700.00 6, 476. 66 22, 500. 00 136.15 Dividends unpaid 71,712.13 Liabilities other than those above stated 190, 254. 94 190, 254.94 Milmo National Bank, Laredo. EUGENE KELLY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on handPremiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total . No. 2486. 12.30 4,286. 29 30, 000. 00 M. T. COGLEY, Cashier. I Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 33, 690. 25 80,045.31 Duo to other national banks j 523.40 I Due to State banks and bankers..j 8,163.32 7, 650.14 ! Dividends unpaid j 370.27 I Individual deposits j 6, 035. 00 \ United States deposits ' 187. 25 ; Deposits of U. S.disbursingofficers. {. 74, 202. 75 3, 924. 00 Notes and bills rediscounted.. Bills payable 1,350.00 |j Liabilities other than those above j stated 502, 880. 28 Total. $120, 000.00 100, 000. 00 18, 905. 65 22, 050. 00 3,399. 81 2,488. 20 216, 036. 62 20, 000. 00 502, 880. 28 1142 REPORT OF THE COMPTROLLER OF THE CURRENCY. TE XAS. Iron City National Bank, Llano. No. 4371. H. G. WILLIAMS, President. M. M. HARGIS, Cashier. Liabilities- Resources. Loans and discounts j Overdrafts j TJ. S. bonds to secure circulation... j U. S. bonds to secure deposits ! !U. S. bonds on hand ! Premiums on IT. S. bonds i Stocks, securities, etc ' Bank'g house, furniture, and fixtures; Other real estate and mortg's owned. Due from other national banks j Due from State banks and bankers, j Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $67,503.14 ! Capital stock paid in 9,142.78 j 15, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,500. 00 National-bank notes outstanding. 12, 553.16 State-bank notes outstanding 2, 252. 50 10,871.31 Due to other national banks 9, 349. 87 | Due to State banks and bankers. 2, 544. 24 3, 612.25 ! Dividends unpaid 430. 69 Individual deposits 20. 00 United States deposits 110.55 Depositsof U.S.disbursingotncers. 3, 776. 95 540. 00 ""675.'66' 550. 00 $60, 000. 00 2, 500. 00 431. 05 13, 500. 00 43, 974. 59 Notes and bills rediscounted Bills payable 5, 026. 80 15, 000. 00 Liabilities other than those above stated Total . Total. 140,432.44 First National Bank, Lockhart. J A S . G. BURLESON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds j Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. M. JOLLEY, Cashier. No. 4030. $85, 099.11 Capital stock paid in 77 ! $50,000.00 46, 876. 84 I 13, 000. 00 I Surplus fund ! 8,500.00 Undivided profits, less current j i | expenses and taxes paid | 1, 492.46 j! National-bank notes outstanding.! 11,450.00 1,125.95 State-bank notes outstanding I 7, 000. 00 14, 603. 25 17, 403. 34 4, 090. 36 10, 468. 26 22. 50 j Due to other national banks ;. Due to State banks and bankers .. j Dividends unpaid ,. 25. 01 Individual deposits j 102, 536. 44 , " "3*316."66'' I United States deposits 78.65 '•'< Depositsof U.S.disbursing officers.! 3, 560. 50 4, 500. 00 h Notes and bills rediscounted " Bills payable Liabilities other than those above stated Total . 211,717.26 ! ~"""572."56' I j j ! 14,113.35 23,600.00 211,717.26 First National Bank, Longview. T. E. CLEMMONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks j Due from State banks and bankers. Due from approved reserve agents.j Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4077. J. F . WOMACK, J R . , Cashier. $99,144. 65 ! Capital stock paid in 9,200.99 12, 500. 00 I Surplus fund I Undivided profits, less current 1 j! expenses and taxes paid 1,500. 00 ! National-bank notes outstanding. 1, 600. 00 i State-bank notes outstanding j 6, 000. 00 ],000. 00 I Due to other national banks i 18, 923. 22 I Due to State banks and bankers .. | 14,810.30 ! 178.09 j Dividends unpaid $50,000. 00 1,120. 00 j Individual deposits 1,171.45 | United States deposits 26, 036. 50 ij Depositsof U.S. disbursingofficers. 4, 000. 00 Notes and bills rediscounted 562. 50 Bills payable Liabilities other than those above stated 125, 030. 59 197, 747. 70 Total . j j j j ! 10, 000.00 1,467.11 11, 250. 00 197, 747. 70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1143 TEXAS. First National Bank, Marble Falls* No. 4545. T. M. YETT, President. OTTO EBELING, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S $53, 767.76 982.10 12. 500. 00 1, 250. 00 7,036. 24 7. 298. 52 735. 00 8, 727. 36 1, 323. 74 4,46910 743.80 300. 00 3, 804. 75 1, 706.00 562. 50 Capital stock paid in. Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 379,05 11, 250. 00 459.07 43,118. 75 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 105,206.87 Total $50, ooo. do Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 105, 206. 87 Total. First National Bank, Marlin. No. 4706. A. E. WATSON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $317, 089. 79 65, 964. 47 25, 000. 00 2, 750. 00 12,808.18 14, 745. 72 28, 777.73 B. C. CLARK, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 35, 096. 26 22, 500.00 Due to other national banks Due to State banks and bankers.. 3, 733.61 164.94 20, 000. 00 Dividends unpaid 943. 60 " 5o6.66206. 05 11,643.40 19, 000. 00 1,125. 00 500, 553. 94 Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 239,059.13 80,000. 00 Liabilities other than those above stated Total . 500, 553.94 First National Bank, Marshall. E. KEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total. W. C. FIELD, Cashier. No. 3113. $212, 012. 56 Capital stock paid in. $75, 000.00 11,187.91 25, 000.00 Surplus fund 15, 000.00 Undivided profits, less current 6, 349.46 expenses and taxes paid 2, 500. 00 National-bank notes outstanding. 22, 500. 00 22, 500. 00 State-bank notes outstanding 10, 000.00 10, 500. 00 Due to ®ther national banks 28,128. 03 10, 242. 70 Due to State banks and bankers.. 151.06 18,018. 90 1,920 66 4, 743.00 243. 20 23,161.90 30, 000.00 1,125. 00 383,155. S Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 236. 027. 28 Notes and bills rediscounted. Bills payable Liabilities other than those above j stated Total. 383,155.83 1144 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Marshall National Bank, Marshall. No. 4101. "W. C. PIERCE, President. Resources. J. P. ALFORD, Cashier. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc I Bank'ghouse,fiirniture,and fixture?! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas. U. S. Due from Treasurer U. S $104,432.81 j Capital stock paid in. 7,775.26 i 25, 000. 00 I Surplus fund Undivided profits, less current expenses and taxes paid 3,400.00 National-bank notes outstanding. 3,000.00 ! State-bank notes outstanding 4, 500.00 1,213.83 17, 060.00 12,000.00 ; 4,901.26 Due to other national banks 3,540.35 Due to State banks and bankers. 1,256.01 ! 29,820.20 | Dividends unpaid 297.10 ! Individual deposits 2, 000. 00 United States deposits 31.11 Deposits of U. S.disbursing officers 22, 399. 75 18, 000. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above 430. 58 785.89 114. 50 114, 874. 05 stated Total . 238, 978.85 Total . $100,000.00 238,978.85 First National Bank, Mason. No. 4378. P. C. BAIRD, President. ! Loans and discounts Overdrafts U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds | Stocks, securities, etc '\ Bank'g house, furniture, andfix tures Other real estate and mortg's owned* Due from other national banks ! Due from State banks and bankers.' Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund withTreas.U. S. Due from Treasurer U. S $58,451. 52 850. 46 12, 500. 00 $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 1, 500. 00 415. 53 2, 600. 00 1, 735. 00 3, 390. 87 6,501.58 2, 719.11 2,500. 00 438.11 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 130. 25 Individual deposits United States deposits Deposits ofU. S.disbursing officers. 41.35 1, 371. 40 1, 966. 00 27, 950. 80 Notes and bills rediscounted Bills payable 112. 50 1, 886.16 Liabilities other than those above stated Total . 94,155.32 Total . E. M. REYNOLDS, Cashier. Cax>ital stock paid in. 94,155. 32 First National Bank, McGregor. A. J. SEWELL, President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation... i U. S. bonds to secure deposits ! U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S Total. No. 4076. $104,047.96 15,135.81 12,500.00 ! 1,300.00 7,270. 00 23,816. 40 2,449. 55 3,945.58 245.44 82. 30 11, 505.00 9,000. 00 562.50 CHAS. F. SMITH, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6,250.00 6, 054. 43 10,950. 00 State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits \, Deposits of U.S.disbursingofficers. . i Notes and bills rediscounted Bills payable Liabilities other than those above stated 191,860. 54 Total . 80,256.11 24, 850.00 13, 500.00 191,860.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1145 TEXAS. First National Bank, McKinney. F. EMERSON, President. No. 2729. Resources. Loans and discounts Overdrafts TL S. bonds to secure circulation... U. S. bonds to secure deposits TL S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gbouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. H. EMERSON, Cashier. Liabilities. $186, 054. 61 19, 450. 20 12, 500. 00 Capital stock paid i n . . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 700. 00 National-bank notes outstanding 1, 878.00 State-bank notes outstanding 11, 893. 77 600. 00 Due to other national banks 79, 227. 63 Due to State banks and bankers. 38, 613. 28 Dividends unpaid 440. 43 Individual deposits " 3," ooo.' bo" 1United States deposits 100.00 | Deposits of U.S.disbursing officers. 45,650.00 j Notes and bills rediscounted. 9,000.00 Bills payable 562.50 |j Liabilities other than those above stated 85, 000. 00 410,670.42 I J Total . 5, 392. 26 11, 250. 00 7, 350. 36 318. 25 251,359. 55 410, 670. 42 Collin County National Bank, McKinney. G. A. FOOTE, President. No. 2909. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. J . L. Wtf ITE, Cashier. $234,063.79 Capital stock paid in 48, 430. 23 25, 000. 00 I Surplus fund. ded protits, less current ! Undivid expenses and taxes paid 3, 000. 00 National-bank notes outstanding 2,142. 63 i State-bank notes outstanding 22, 796.14 5, 244. 90 i Due to other national banks 5, 641. 71 238.20 I Due to State banks and bankers. 23,001.38 Dividends unpaid 938. 90 ; | Individual deposits 1,100. 00 j United States deposits 130. 79 Deposits of U.S.disbursingofficers. 38, 214. 50 3,120. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 414,188.17 j Total. $100, 000. 00 15,000.00 1, 688. 93 22, 500.00 6, 771.68 638.41 247, 989.15 19, 600. 00 414,188.17 First National Bank, Meridian. C. C. BLANTON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand * Premiums on TJ. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4016. J . W. RUDASILL, Cashier. $112,235.55 : Capital stock paid in | 996.29 ! 15,000.00 j Surplus fund Undivided profits, less current | expenses and taxes paid i 1, 350. 00 National-bank notes outstanding.! i. 66.43 State-bank notes outstanding 12, 546. 23 3, 969. 05 Due to other national banks j 4, 906. 26 Due to State banks and bankers.. 16,929. 87 957. 47 Dividends unpaid 335. 90 Individual deposits 3,4l2. 00 United States deposits 190. 74 Deposits of U.S. disbursing officers. 6, 552. 40 8, 532. 00 Notes and bills rediscounted Bills payable 675.00 Liabilities other than those above stated 188, 655.19 Total. $60, 000. 00 15,000.00 20, 938. 01 13,500. 00 221.89 73.99 58, 685. 30 12,236. 00 8, 000.00 188,655.19 1146 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Mexia. No. 3014. J O S E P H NUSSBAUM, President. W. L. MURPHY, Cashier.' Resources. Liabilities. Loans and discounts Overdrafts • , TJ. S. bonds to secure circulation...! U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes I IT. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer TJ. S $101,287.14 | Capital stock paid in. 27, 251. 81 12,500.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 292. 63 Due to other national banks 35, 352. 88 Due to State banks and bankers .. 1,719.43 1.414.06 Dividends unpaid 349.94 Individual deposits "2*400.66 United States deposits 625. 20 DepositsofU.S.dLsbursingofficers. 5,401.00 3, 018.00 Notes and bills rediscounted Bills pay able 562. 50 Liabilities other than those above stated Total. 195,174. 59 Total. $50, 000. 00 30,000.00 8, 825. 52 10,930. 00 43. 32 2, 408.11 980. 00 58, 079. 78 26,407. 86 7, 500. 00 195,174. 59 First National Bank, Midland. "W. H. CONDEN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approATed reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency.nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S W. E. CONNELL, Cashier. No. 4368. $136,180. 50 Capital stock paid in. $60,000. 00 3, 899. 54 15, 000. 00 Surplus fund 20, 000. 00 Undivided profits, less current expenses and taxes paid 3, 985. 87 1, 600. 00 National-bank notes outstanding. 13, 500. 00 State-bank notes outstanding "4,566.66 11,575.64 16,136.72 254. 54 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits > Deposits of U .S.disbursing officers. j 4, 286. 75 689. 00 Notes and bills rediscounted. Bills payable 675.00 Liabilities other than those above | stated :r 195, 097. 69 Total. Total. 642. 76 650. 30 88, 318. 76 8, 000. 00 195, 097. 69 First National Bank, Montague. W . A. PONDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . IT. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc BaEk'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3165. E. E. SHIPLEY, Cashier. $64,707. 53 I Capital stock paid i n . . 307. 50 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 7,531.00 State-bank notes outstanding 5, 000. 00 10,141.19 Due to other national banks 993. 04 Due to State banks and bankers.. 2, 612. 27 Dividends unpaid 69.27 Individual deposits j United States deposits !, 4.05 Deposits of U.S.disbursing officers. I, 3,109. 50 660. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 109,447. 85 Total. $50,000. 00 1,412.15 11, 250.00 1,379.96 26, 905. 74 18, 500. 00 109,447. 85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1147 TEXAS. First National Bank, Mount Pleasant. ANNIE Mooftt.s, President. No. 4722. Resources. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation... i TJ. S. bonds to secure deposits j TJ. S. bonds on hand j Premiums on U. S. bonds , j Stocks, securities, etc ; Bank'ghouse,furniture,and fixtures; Other real estate and mortg's owned I Due from other national banks j Due from State banks and bankers. j Due from approved reserve agents. i Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. C. C. CARK, Cashier. Liabilities. $84, 295. 80 18, 604. 45 12. 500. 00 1,125.00 Capital stock paid in $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 520. 00 Due to other national banks 1, 570. 99 Due to State banks and bankers.. 96. 22 6. 978. 48 j| Dividends unpaid 1- 628. 26 1 Individual deposits 1 II United States deposits 211.75 |l Deposits of U.S.disbursingofficers. 3, 838.25 465. 00 Notes and bills rediscounted Bills payable 562.50 142, 396.70 11,000. 00 5,364. 90 11,250.00 117. 64 112. 36 59,299. 35 5,000. 00 Liabilities other than those above stated Total. First National Bank, Nacogdoches. No. 4405. JOHN P. DAVIDSON, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation...! _U. S. bonds to secure deposits j " TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j Bank'gbouse,furniture,and fixtures) Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. I Due from approved reserve agents. j Checks and other cash items [ Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit | Redemption f uud with Treas. U. S. j Due from Treasurer U. S $44,986.35 4,155. 84 12, 500. 00 900. 00 4, 600.00 4, 822.40 484. 83 2, 003. 43 3. 58 1, 005. 00 .60 3,670. 50 254.00 562.50 79, 949.03 Total. TV. Gr. RATCLIFF, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. | 1,200.00 2,423.16 10, 900. 00 450.38 1, 500.00 13, 475.49 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 79, 949.03 First National Bank, Navasota. H. SCHUMACHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4253. JAMES M. SHAW, Cashier. $129,283.09 !1 Capital stock paid in. 1 45,260.84 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 275. 00 National-bank notes outstanding. 10, 000.00 State-bank notes outstanding 11,905. 00 $50,000.00 Due to other national banks Due to State banks and bankers.. 4,703.54 474.44 4. 256.42 319.10 12, 987. 62 * 3,275.23 2,481. 24 11,250. 00 Dividends unpaid. Individual deposits 300. 00 United States deposits 154. 00 Depositsof U.S.disbursingofficers. 18, 772. 25 Notes and bills rediscounted. Billspayable 562.50 14,000.00 Liabilities other than those above stated 250, 851. 05 Total. 152, 941.83 15,000.00 250,851. 0,5 1148 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, New Braunfels. JOSEPH FAUST, President. No. 4295. HERMANN CLEMENS, Cashier. Resources. Liabilities. Loans and discounts , Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S. $97, 961. 68 32, 485. 78 12, 500. 00 Capital stock paid in 10,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid . 830.95 Individual deposits United States deposits Deposits of U. S.disbursingoincers. 140, 246. 63 6, 500. 00 14,016.11 1, 409.13 20, 387. 74 58.00 1, 000. 00 282. 55 25, 790. 50 3,000. 00 || ii 562. 50 Total $50, 000.00 Surplus fund ; Undivided profits, less current i expenses and taxes paid j National-banknotes outstanding. State-bank notes outstanding 3, 626. 41 11, 250. 00 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 215, 953. 99 First National Bank, Nocona. L. B. SMITH, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ! Bank'g house, furniture, and fixtures' Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national/banks Fractional currency,nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 140, 899. 40 Total. H. J . LUTCHEE, President. Total. 140, 899.40 First National Bank, Orange. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate andmortg's owned] Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. EDWARD BINES, Cashier. No. 4621. $81,996.84 || Capital stock paid in. $50, 000.00 13,663.09 12,500.00 Surplus fund 3, 400. 00 Undivided profits, less c u r r e n t 4,190. 35 expenses and taxes paid National-bank notes o u t s t a n d i n g . 11, 250. 00 State-bank notes o u t s t a n d i n g 5,459.47 Due to other national b a n k s 4.99 8," 684! 75" Due to State banks and b a n k e r s . . 2, 676. 54 Dividends unpaid 1, 095. 86 Individual deposits 47, 054. 06 2, 600.00 United States deposits 98.35 Deposits of U.S.disbursing officers. 4, 040. 00 2, 522.00 Notes and bills rediscounted. Bills payable 25, 000. 00 562. 50 Liabilities other than those above i stated I W. W. REID, Cashier. No. 4118. $143, 686. 01 Capital stock paid in. $50, 000.00 19. 34 12, 500.00 Surplus fund 15, 000. 00 Undivided profits, less current expenses and taxes x>aid 11,198. 88 1,000. 00 National-bank notes outstanding. 11, 250. 00 State-bank notes outstanding 1,066.05 507. 30 Due to other national banks 236. 24 Due to State banks and bankers. 2, 737. 76 4,292. 23 Dividends unpaid 212. 85 Individual deposits 64, 298. 53 230. 00 United States deposits 19.85 Depositeof U. S.disbursingofficers. 6, 610. 35 432.00 Notes and bills rediscounted 22, 365. 07 Bills payable 562. 50 Liabilities other than those above stated 174,112. 48 Total. 174,112.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1149 TEXAS. First National Bank, Palestine. Lucius GOOCH, Cashier. No. 3694. GEORGE A. WRIGHT, President. Liabilities. Resources. Loans and discounts. j Overdrafts ! U. S. bonds to secure circulation... J U. S. bonds to secure deposits | ! TJ. S. bonds on hand Premiums on U. S. bonds | Stocks, securities, etc j Bank'ghouse,furniture,andnxtures ! Other real estate and mortg's owned Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, centsSpecie ! Legal-tender notes j U. S. certificates of deposit i Redemption fund with Treas. TJ. S. j Due from Treasurer TJ. S $138, 9, 18, Capital stock paid in 1, 500. 3, 450. 16, 625. 23, 000. 00 6, 827.13 16, 875.00 | Due to other national banks j • Due to State banks and bankers..! I Dividends unpaid 3. Hi, J.^, U^O. W 3, 750.00 Individual deposits United States deposits I DepositsofU.S.disbursingoffieers. 2,537.16 39.08 108, 072. 84 Notes and bills rediscounted. Bills payable 843. 75 Liabilities other than those above j stated j. 232, 351. 21 Total . $75, 000. 00 li Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total 1 232, 351.21 Palestine National Bank, Palestine. JOHN R. HEARNE, President. Loans and discounts Qverdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents, j Checks and other cash items \ Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S.j Due from Treasurer U. S I Total. No. 4436. V. F. DUBOSE, Cashier. $72, 363.45 | Capital stock paid in ' $50,000.00 12, 550. 97 12,500. 00 | Surplus fund ; 6,125.00 ! Undivided profits, less current j 1, 791. 92 ! expenses and taxes paid j 1, 500. 00 | National-bank notes outstanding J 10,850.00 2, 536. 55 i State-bank notes outstanding ;.. 2, 400. 00 I Due to other national banks | 182.47 ""959." 87* i Due to State banks and bankers..! 252.14 ; j "i,"782.*84' ! Dividends unpaid j.. 69.00 46, 459. 00 Individ nal deposits i 530. 00 I United States deposits '. 38.60 ; Depositsof U.S.disbursingofficers. j . 3,116. 75 1, 750. 00 Notes and bills rediscounted ;. Bills payable ;. 562. 50 Liabilities other than those above ! stated Total . 115, 660. 53 115,660. 53 First National Bank, Paris. J. F. MCREYNOLDS, Cashier. No. 3638. Loans and discounts Capital stock paid in ~$f>Q~m. 00 Overdrafts U. S. bonds to secure circulation... | Surplus fund 150, 000. 00 U. S. bonds to secure deposits Undivided profits, less current U. S. bonds on hand 11, 216.20 expenses and taxes paid Premiums on U. S. bonds 11,250.00 National-bank notes outstanding. Stocks, securities, etc State-bank notes outstanding GEORGE F . HICKS, President. Bank'g house,furniture,and fixtures! Other real estate and mortg's owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. | Due to other national baiiks j | Due to State banks and bankers..i j 2. 42,854. 91 1, 742. 86 i Dividends unpaid Individual deposits j United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Billspayable j 315, 657. 63 30, 000. 00 Liabilities other than those above stated Total. 612, 721. 60 1150 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. City National Bank, Paris. No. 4411. H. H. KIRKPATEICK, President. T. J. RECORD, Cashier. Resources. Loans and discounts Overdrafts ... U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortgs owned! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit | Redemption fund with Treas* U.S.I Due from Treasurer U. S J Total. Liabilities. $280, 036.13 69,146. 49 25, 000. 00 Capital stock paid i n . $100,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid # 2, 500. 00 j National-bank notes outstanding. State-bank notes outstanding 60; 000. 00 200.00 i Due to other national banks 15,108. 32 ! Due to State banks and b a n k e r s . . 2,509.71 ! 4,578.29 I Dividends unpaid 3,003.80 2,705.35 i Individual deposits 3,290.00 ; United States deposits • 66.93 ! DepositsofU.S.disbursrngoffieers3, 055. 90 I 15,000.00 I Notes and bills rediscounted 2,162.45 5,154. 34 15, 200. 80 22, 500.00 "3,756.66 ! i*i25.66 ! 226,118.33 Bills payable Liabilities other than those above stated 431,135.92 ; Total. 431,135.92 Pilot Point National Bank, Pilot Point. A. H. GEE, President. No. 4777. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds . Stocks, securities, etc Bank'gbouse,furniture,acnd fixtures Other real estate and mortg's owned; Due from other nationalbanks Due from State banks and bankersDue from approved reserve agents Checks and other cash items Exchanges forclearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. J. A. L. MCFARLAND, Cashier. $52,119.46 i Capital stock pafd i n . 39, 095. 65 ' 15,000.00 : Surplus fund 1,700.00 $60, 000.00 3, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 968. 66 13, 500. 00 707. £ Due to other national banks Due to State banks and bankers. Dividends unpaid 621.12 Individual deposits 200. 00 United States deposits 79.06 Deposits of U.S. disbursing officers. 2, 781. 00 4, 850.00 Notes and bills rediscounted. Bills payable 675.00 ! 350.00 ! Liabilities other than those above stated 50,148.07 2,066. 36 12. 313.52 800.00 10,000. 00 Total . 140,237.85 1 140,237. 85 First National Bank, Pittsburg. J. Y. BRADPIELD, President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation... I U. S. bonds to secure deposits !. U. S. bonds on hand j. Premiums on U. S. bonds |. Stocks, securities, etc L Bank'gbouse,furniture,and fixtures'! Other real estate and mortg's owned . Due from other national banks i. Due from State banks and bankers, j Due from approved reserve agents. Checks and other cash items j. Exchanges for clearing house j. Bills of other national banks. Fractional currency, nickels, cents. j. Specie I Legal-tender notes ! U. S. certificates of deposit i. Redemption fund with Treas. U.S.J Due from Treasurer U. S \. Total. No. 4863. W. C. HARGROVE, Cashier. $72,290.87 ! Capital stock paid in. 10,531.08 12,500.00 Surplus fund $50, 000.00 2, 900.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding, j State-bank notes outstanding... I.: 4,007. 71 11,250.00 Due to other national banks | Due to State banks and bankers.. 1, 443.47 150.81 8,175.95 1, 478.12 1, 902. 48 270. 00 1,100.25 I 1,060.00 li 562.50 ! Dividends unpaid j in dividual deposits i United States deposits I Depositsof U.S.disbursingofficers 24, 989.26 Notes and bills rediscounted Bills payable 15,130.00 j j Liabilities other than those above j stated i 109,871.25 Total. 109,871. 25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1151 TEXAS. Piano National Bank, Piano. No. 3764. GEO. W. BOWMAN, President. T. C. JASPER, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on D. S. bonds., Stocks, securities, etc Bank g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S.| Due from Treasurer U. S Total . Liabilities. $92,118.60 15, 212. 99 50, 000. 00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 4, 900. 00 State-bank notes outstanding 6 500.00 9,471 20 Due to other national banks 9, 538- 60 Due to State banks and bankers.. 3,114 26 Dividends unpaid 2, 661. 23 Individual deposits 115.00 United States deposits 771.85 Deposits of U.S.disbursing officers. 5, 056. 25 2,121.00 Notes and bills rediscounted Bills payable 2,250. 00 Liabilities other than those above stated Total . 203. 830.98 3, 500.00 2,922. 28 45, 000. 00 10, 881. 82 492.88 68, 434.00 6, 600.00 16, 000. 00 203,830.98 First National Bank, Rockdale. C. H. COFFIELD, President- Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks securities etc Bank'g house, furniture, and fixtures Other real estate and morlg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4175. J . E. LONGMOOR, Cashier. $116,235.48 ! Capital stock paid in 7, 346. 82 1 18, 750. 00 ! Surplus fund Undivided profits, less current | expenses and taxes paid 662.50* | National-bank notes outstanding. State-bank notes outstanding 6, 000. 00 Due to other national banks 13, 280. 70 ! Due to State banks and bankers.. 1 11, 794.14 Dividends unpaid j Individual deposits 260. 00 | Uuited States deposits 17.05 j Deposits of U.S.disbursing officers. 12,148. 00 190. 00 Notes and bills rediscounted Bills payable 843.50 Liabilities other than those above stated . . . . 187, 528.19 Total $75, 000. 00 5, 300. 00 1,901.32 16, 870. 00 279.01 2.63 500. 00 52, 076. 88 7, 598. 35 28, 000.00 187, 528.19 First National Bank of Aransas Pass, Rockport. T. H. MATHIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned! Due from other national banks | Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4438. $54, 964.42 519.79 15, 000. 00 1, 800. 00 1, 497. 98 16, 413. 06 11, 774. 05 2,190. 20 1, 739. 69 3, 218. 59 95.42 540.00 20.35 1, 659. 85 651.00 675.00 112, 759.40 J . M. HOOPES, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding..... Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. $60, 000.00 9, 054.88 1,526.74 13, 500. 00 1,258.01 21,145.99 6,273. 78 112,759. 40 1152 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Rock-wall County National Bank, Rockwall. E. W. HARDIN, President. No. 4911. FRANK JONES, Cashier. Resources. Liabilities Loans and discounts | Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Premiums on U, S. bonds I Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total i $60. 241. 40 4. 604. 33 12,500.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 6, 000. 00 8, 000. 00 Due to other national banks 4, 687. 66 Due to State banks and bankers . 17.25 |i 545.21 1 Dividends unpaid 1 Individual deposits 1, 000. 00 United States deposits 37.31 Deposits of U.S. disbursing officers 3,950.00 |j 2,050.00 |j Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 102,195.66 Total . 2,250.00 2, 850. 76 11,250.00 18.74 22,455. 81 7,720. 35 5, 000.00 102,195. 66 First National Bank, Rusk. A. A. SIMMONS, Cashier. No. 4346. E. L. GEEGG, President. Total . $73, 970.58 Capital stock paid in ~TTnT7777f { 5, 050. 57 I 12, 500. 00 Surplus fund j Undivided profits, less current j expenses and taxes paid J 1, 400. 00 National-bank notes outstanding.] 6, 458. 56 State-bank notes outstanding \ 952. 50 2,914. 20 Due to other national banks i 12, 600. 45 Due to State banks and bankers .. j 666. 03 15,164. 57 Dividends unpaid j 145. 63 Individual deposits ! !. """230." 66" United States deposits 59.10 Deposits of U.S. disbursingofficers J. 9, 633. 40 5, 095. 00 Notes and bills rediscounted. Bills payable 562.50 i Liabilities other than those above ! stated $50,000.00 147,403.09 ! Loans and discounts j Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits ! U. S. bonds on hand ' Premiums on U. S. bonds j Stocks, securities, etc | Bank'g house, furniture,and fixtures Other real estate and mortg's ownedj Due from other national banks i Due from State banks and bankersDue from appro ved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks i Fractional currency, nickels, cents-j Specie I Legal-tender notes | U.S. certificates of deposit i Redemption fund with Treas. U.S.! Due from Treasurer U. S I 147, 403. 09 Total . 10,000.00 5, 538. 80 9, 050.00 1, 069. 59 225.14 71,519. 56 Citizens' National Bank, San Angelo. S. L. S. SMITH, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Premiums on U. S. bonds I Stocks, securities, etc I Bank'ghouse,furniture,andfixtures' Other real estate and mortg's owned! Due from other uational banks j Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other n a t i o n a l ' t a k s Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U.S.' Due from Treasurer U. S ! Total . No. 4659. A. B. SHERWOOD, Cashier. $166,451.87 j Capital stock paid i n . 2, 064. 85 j 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 3, 250. 00 National-bank notes outstanding . State-bank notes outstanding 24,173. 48 Due to other national banks 1,728.12 Due to State banks and bankers .. 310.11 4, 036. 80 Dividends unpaid 591. 71 I Individual deposits. 470. 00 - United - - - - States deposits p 44. '68 Deposits of U.S.disbursing officers. 2,250.00 4, 400. 00 Notes and bills rediscounted Bills paya ble 1,125. 00 Liabilities other than those above stated 235,896. 32 Total . $100,000.00 7, 000. 00 2,280. 62 22, 500.00 614.37 437.81 71, 731. 85 31, 331.67 235, 896.32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1153 TEXAS. Concho National Bank, San Angelo. W. H. GODAIR, President. No. 2767. GrEO. E. AVEISK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts $255, 815. 41 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other natioiialbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 25, 000. 00 3, 000. 00 7, 000. 00 4, 000. 00 20, 406. 68 1,971.94 29, 402. 68 3,439. 06 50.00 50.40 12, 006. 00 8, 800. 00 1,125. 00 $100, 000. 00 Capital stock paid i n . Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . 1, 696.19 4, 426. 83 22, 500. 00 Dividends unpaid 60.00 Individual deposits Unitecl States deposits DepositsofU.S.disbursing officers. 174,114. 35 Notes and bills rediscounted Bills payable 49, 269. 80 Liabilities other than those above stated Total. 372, 067.17 372,067.17 San Angelo National Bank, San Angelo. M. L. MERTZ, President. No. 3260. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. LT.S. Due from Treasurer TJ. S $237,199. 04 4,942. 32 25, 000. 00 2, 750. 00 6, 000. 00 1, 000- 00 5,186. 04 5, 928. 23 12,925.83 429.35 800.66" 25.85 8, 055. 45 3, 000. 00 "I*l25.'66' $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . 25, 000. 00 5, 217.72 22, 500. 00 Due to other national banks Due to State banks and b a n k e r s . . 1, 333. 73 77. 23 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 110,238.43 Notes and bills rediscounted Bills payable 50, 000. 00 Liabilities other than those above stated 314, 367.11 Total. A. A. DE BERRY, Cashier. Capital stock paid i n . Total. 314, 367.11 Alamo National Bank, San Antonio. CHAS. HUGO, No. 4525. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. OUR, PT 2 $658, 470. 97 13, 981. 03 50, 000. 00 J. N. BROWN, Cashier. $250, 000. 00 • 20, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 500. 00 i National-bank notes outstanding. 6,120.00 i State-bank notes outstanding 5,000.00 ! Due to other national banks 15,846.46 123, 402. 20 3,958.30 8,000. 00 45.26 49,147. 50 30, 000. 0!) 2, 250. 00 600. 00 994,198. 74 -73 Capital stock paid in 21, 438. 66 45, 000. 00 5, 687. 71 Due to State banks and b a n k e r s . . j Dividends unpaid 6, 833. 86 < Individual deposits United States deposits. 645, 238. 51 Deposits of U.S.disbursing officers. • Notes and bills rediscounted... Bills payable Liabilities other than those above stated Total. 994, J.98. 74 1154 REPORT OF THE COMPTROLLER OF THF CURRENCY. TEXAS. Lockwood National Bank, San Antonio. J . S. LOCK woo n President. No. 3738. J. Mnii, JR., Resources. Loans and discounts j Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gliouse, furniture, andfixtures Other realestate andmortg'sowned Due from other national banks D u e from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Cashier. Liabilities. $311,550.25 7,181. 20 37, 500. 00 1, 7G0. 38 Go, 521. 07 14, 992. 24 18, 022. 04 71,001.92 1,207.32 7, 541. 00 81.47 G9,588.25 25, 000. 00 Capital stock paid in ! $150, 000.00 Surplus fund J Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding-! State-bank notes outstanding ' 30, 000. C O Duo to other national b an k s j Due to State banks and b a n k e r s . . I Dividends unpaid 7,145. 32 21, 950. 00 4,412.16 21,111.73 !. Individual deposits i 399, 915. 43 United States deposits |...... Depositsof U.S.disbursingofncers.j Notes and bills rediscounted Bills payable i i 1, 687. 50* Liabilities other than those above | stated 634, 534. 64 Total. 634, 534. 64 San Antonio National Bank, San Antonio. GEO.TV. BRACKENRIDGE, President. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premium s on TJ. S. bonds Stocks, securities, etc Bflnk'ghoase,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S Due from. Treasurer U. S Total. No. 1657. F E R D H E R F F , J R . , Cashier. Capital stock paid in $125, 000. 00 Surplus fund Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding. State-bank notes outstanding 250, 000. 00 Duo to other national b a n k s Duo to State banks and b a n k e r s . . 18, 312. 05 18, 418. 56 31,187. 07 28,500.00 Dividends unpaid.. 5, 000. 00114.18 175, 800. 00 15, 000. 00 " i , " 440." 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 1, 083, 962. 65 27, 482. 45 84, 240. 05 Notes and bills rediscounted Bills payable Liabilities other than those above stated 1, 667,102. 83 Total . 1, 6G7,102.83 First National Bank, San Marcos. E. J. L. GREEN, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency,nickels,cents. Specie Legal-tender notes g U S tifit f U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total - , Cashier. No. 3346. $115, 363.19 29, 405.14 20, 000.00 Capital stock paid i n . $80, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 2,300.00 I National-bank notes outstanding. State-bank notes outstanding 8,158. 00 12, 552.10 Due to other national b a n k s . . ' l . . . 229. 71 Duo to State banks and b a n k e r s . . 3, 297.15 6, 377. 20 Dividends unpaid 20, 000. 00 Individual deposits United States deposits Depositsof U. S.disbursing officers 82, 499. 70 500.00 81.85 14, 090. 50 9, 000. 00 Notes and bills rediscounted Bills payable 1, 950. 95 18, 000.00 1,757.12 1,057.07 90.00 8, 400. 00 8, 500. 00 900. 00 Liabilities other than those above stated 222, 254. 84 Total. 222, 254.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1155 TEXAS. Glover National Bank, San Marcos. No. 3344. W. D. WOOD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.'S. bonds to secure deposits. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. L. THOMAS, Cashier. Liabilities. Capital stock paid i n . 9,435. 00 6, 419. 76 7,857. 20 750. 66 5,301.38 128.23 $50, 000.00 Surplus fund r s Undivided j> °fit , less current expenses and taxes paid , National-bank notes outstanding. State-bank notes outstanding 17, 000. 00 Due to other national banks Due to State banks and bankers.. 2, 089. 71 1,592.90 Dividends unpaid Individual deposits 137,301.42 " 1," 086." 00* United States deposits 19.95 16. 733. 00 3, 600. 00 562. 50 5,712.41 11,250.00 Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 19, 500. 0(1 6,000.00 Liabilities other than those above stated 250,446.44 Total . 250,446 44 First National Bank, Seymour. H. P. BHANHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal -tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4263. Capital stock paid in . $32,463.12 2, 852. 31 12,500. 00 7, 654. 27 21,181. 83 16, 000. 00 7, 914. 02 3, 015. 94 279. 95 25.16 5,489. 00 669. 00 G. S. PLANTS, Cashier. Surplus fund !. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.....!. $50, 000. 00 102. 70 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. I Notes and bills rediscounted Bills payable. Liabilities other than those above stated Total . 110,607.10 42,224. 60 4, 529. 80 2, 500. 00 110, 607.10 Merchants and Planters' National Bank, Sherman. TOM RANDOLPH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U\ S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items.'. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 3159. , 620, 009. 66 308, 803. 25 50, 000. 00 50, 000. 00 50, 000. 00 12, 000.00 31,398. 33 35, 000. 00 8, 500. 00 105, 033.85 13,361.38 81, 664. 80 2, 467.24 2, 300. 00 4, 890. 30 42, 229. 00 2, 250. 00 2,119, 907. 81 C. B. DORCHESTER, Cashier. Capital stock paid in . $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 200, 000. 00 Due to other national banks j Due to State banks and bankers.. j Dividends unpaid 123,184. 82 20, 599.27 Individual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted . Bills payable 69, 937. 81 45, 000. 00 110. 00 1,016, 375. 91 44, 700. 00 300, 000. 00 Liabilities other than those above stated Total. 2, 419, 907. 81 1156 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXA S• First National Bank, Stephenville. OTHO S. HOUSTON, President. No. 4095. J. B. ATOR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U, S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items.. Exchanges for clearing house Bills of other nationalpanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $100, 855. 87 16,270. 51 12,500. 00 1,500.00 11, 000. 00 400. 00 1,138. 85 275. 64 2.129. 00 158.30 355. 00 52.60 3,211.85 680. 00 562. 50 Capital stock paid in 10, 000.00 Due to other national banks Due to State banks and bankers.. 6,124. 31 2,198. 85 11,250.00 Dividends unpaid Indi vidual deposits United States deposits Deposits of U.S.disbursing officers 42, 576. 70 Notes and bills rediscounted Bills payable Liabilities other than those above stated 28, 940. 26 151, 090.12 Total . $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding. . . 151,090.12 Total . First National Bank, Sulphur Springs. J. L. WHITWOETH, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3466. $235, 989. 63 31, 532. 42 25, 000. 00 3, 000. 00 4,0'J8. 65 6, 332. 83 4, 633. 73 2, 453.11 13,811.45 3, 592. 83 127.92 600.66 63. 33 12, 337. 50 3, 500. 00 1,125. 00 ] $100,000.00 Surplus fund ! Undivided profits, less current j expenses and taxes paid j National-bank notes outstanding J State-bank notes outstanding ; 20, 000. 00 35,209.33 22, 500.00 j Due to other national banks j Due to State banks aud bankers, j 22, 623. 97 2,220.64 Dividends unpaid Individual deposits United states deposits Deposits ofU.S. disbursing officers. 100, 451. 40 No1 es and bills rediscounted Bills payable Liabilities other than those above stated 15,000.00 30, 000. 00 348,128. 40 Total. PHIL. H. FOSCUE, Cashier. Capital stock paid in 123.06 348,128.40 Total. City National Bank, Sulphur Springs. W. B. WOMACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,anfl fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of d eposit Redemption fund with Treas. U. SDue from Treasurer U, S Total. No. 3989. $184,865. 85 14, 642. 73 25, 000. 00 JNO. T. HARGROVE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank no'esoutstanding 2,165.51 12,234. 00 1,421.71 Due to other national banks 1, 403. 49 440. 77 Due to State banks and bankers.. 17, 036. 08 Dividends unpaid 1, 806. 06 Individual deposits 180. 00 United States deposits 18.45 Depositsof U.S.disbursingoffieers 11,249.15 4,165. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above s t at ed 277, 753.80 Total . $100, 000.00 20,000. 00 18, 592. 96 22, 500.00 5,855 74 991 95 60.00 79, 390. 32 30, 362. 83 277, 753.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1157 TEXAS. First National Bank, Taylor. No. 3027. JOHN R. H O X I E . President. C. H. WELCH, Cashier. Resources. Liabilities. Loans and discounts. Overdrafts IT. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on 17. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg'sowned l)ue from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U". S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $244, 639. 34 61,928. 59 37, 500. 00 4, 750. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 30,000.00 Due to other national banks Due to State banks and bankers.. 3,448.03 337.08 7,015.71 33,750. 00 16,914.88 20,959. 59 920. 46 9, 276. 31 32.49 18, 600. 00 1, 687. 50 417, 209.16 Total. $150, 000. 00 Capital stock paid in. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 137, 658.34 10,000. 00 45, 000.00 Liabilities other than those above stated Total. 417, 209.16 Taylor National Bank, Taylor. •, President. ]STo. 3859. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds $208, 740.14 54, 595.15 25, 000. 00 2,500.00 Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 16, 500.00 29, 519. 45 22, 500.00 26, 284.67 7, 719. 36 2, 604. 60 56, 689. 57 1,820. 00 140. 47 11, 260. 00 12, 000. 0C Due to other national banks Due to State banks and bankers.. Dividends unpaid 9,511.24 13, 936.70 270. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 168, 241. 57 50, 000. 00 1,125. 00 Liabilities other than those above stated Total. 410,478. 96 Total C. MENDEL, Cashier. Capital stock paid in. 410,478. 96 First National Bank, Temple. FLAVIUS F. DOWNS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. P. L. DOWNS, Cashier. No. 3227. $400, 513. 31 14,417. 54 Capital stock paid in. urplus Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 8,000. 00 *86,"459.'2i" 37,715.96 1, 682.46 2, 000.00 69.10 41,347.50 35, 305. 00 1,125.00 653,635.08 j State-bank notes outstanding $100, 000.00 20,000.00 35,777. 24 22,500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 12, 540.02 57,068. 21 Individual deposits United States deposits Deposit s of U.S. disbursing officers 281,098. 59 Notes and bills rediscounted Bills payable 109,651.02 15, 000.00 Liabilities other than those above stated Total. 653, 635. 08 1158 &EPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Temple National Bank, Temple. W. S. ROWLAND, Cashier. No. 3858. W. G. JONES, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.fu.rniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house JBills of other national banks. Fractional currency,nickels,cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total . $110, 654.78 28, 051. 81 20, 000. 00 270.00 1, 827.16 5, 600. 44 6, 376. 85 4, 230. 74 6, 578. 99 1,140. 01 151.00 14, 417. 75 9, 295. 00 900. 00 $80, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 780.49 17, 700. 00 Due to other national banks Due to State banks and bankers.. 2, 854. 07 3, 040.35 1, 000. 00 Dividends unpaid Individual deposits United StatevS deposits Depositsof U.S.disbursing officers. 89, 619. 62 Notes and bills rediscounted Bills payable 11,500.00 Liabilities other than those above stated 209,494. 53 Total . 209,494.53 First National Bank, Terrell. MATTHEW CARTWRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. TJ. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ^Redemption fund with Treas. U. S. Due from TreasurerU. S Total. B. L. GILL, Cashier. No. 3816. $261, 406. 83 74, 367. 34 25, 000. 00 Capital stock paid i n . . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8.180.11 43.50 Individual deposits United States deposits , Deposits of U.S.disbursing officers. Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 409, 246.47 Total. 151,849.70 2, 728. 50 8, 000. 00 2, 377. 66 9, 290. 76 962. 76 15, 612, 92 367. 95 26, 344. 72 22,500. 00 505. 00 20. 25 4,481.50 3, 000. 00 75, 000. 00 Harris National Bank, Terrell. J . H. MUCKLEROY, President. Loans and discounts Overdrafts U. S. bords to secure circulation... U. S. bonds to secure deposits II S bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Ban k'g house, furniture,and fixtures Other real estate and mortg's owned Duo from other national banks. .. Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Le^al-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4990. $149,285.85 57, 388. 24 25, 000.00 2,812. 50 Capital stock paid in. W. P. ALLEN, Cashier. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,189.14 22, 500. 00 12,645.00 4, 072.10 800.38 21,248.12 299.17 545~00~ 66.80 8, 494. 40 476. 00 i,*i25.'oo" 284, 258. 56 Due to other national banks Due to State banks and bankers.. 3, 274. 66 Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers Notes and bills rediscounted Bills payable , Liabilities other than those above stated Total. 133, 294. 76 20, 000. 00 284, 258. 56 REPOliT OF THE COMPTROLLER OF THE CURRENCY. 1159 TEXAS. Inter-State National Bank, Texarkana. W. W. SANDERS, President. No. 3998. Resources. R, L. DALBY, Cashier Liabilities. Loans and discounts $96, 800. 20 Capital stock paid in I $100, 000.00 Overdrafts 525. 72 XL S. bonds to secure circulation . 31, 300. 00 Surplus fund XT. S. bonds to secure deposits Undivided profits, less current XT. S. bonds on hand * I 1, 310.41 expenses and taxes paid Premiums on XT. S. bonds 28,170. 00 National-bank notes outstanding. Stocks, securities, etc 2,160. 00 State-bank notes outstanding Bank'ghouse,furniture, and fixtures 3, 584. 42 Other real estate and mortg's owned 4, 839.12 Due to other national banks i 971.63 Due from other national banks 1,362. 59 Due to State banks and bankers..! 726. 33 Due from State banks and bankers. 9, 076. 56 Due from approved reserve agents Dividends unpaid j. Checks and other cash items | 253. 02 Individual deposits Exchanges for clearing house j 28, 244. 70 Bills of other national banks I 1,500. 00 United States deposits Fractional currency, nickels,cents. 4. 35 Deposits of U.S.disbursing officers. Specie 4, 495. 25 Legal-tender notes 2,120. 00 | Notes and bills rediscounted. Bills payable XT. S. certificates of deposit Redemption fund with Treas. XT. S. | 1,408.50 Liabilities other than those above Due from Treasurer XT, S I stated 6.66 Total. 159,429. 73 Total 159, 429. 73 Texarkana National Bank, Texarkana. BENJAMIN T. ESTES, President. No. 3785. W. R. GRIM, Cashier, Loans and discounts j $342, 315. 53 Capital stock paid in i $100, 000. 00 Overdrafts 8, 884. 65 U. S. bonds to secure circulation... 25,000. 00 Surplus fund ! 20, 000. 00 U. S. bonds to secure deposits Undivided profits, less current ; IT. S. bonds on hand ! expenses and taxes paid j 65, 865. 82 Premiums on XT. S. bonds \ 2, 500. 00 National-bank notes outstanding. !| 22, 500. 00 ! Stocks, securities, etc State-bank; notes outstanding Bank'ghouse,furniture,andfixtures 8, 000. 00 Other real estate and mortg's owned Due to other national banks \ 7, 399. 09 Due from other national banks I 131,970. 88 8, 005.41 Due from State banks and bankers. j 5, 659. 32 Due to State banks and bankers..' Due from approved reserve agents.; 107,152. 35 I 450. 00 Checks and other cash items ! 166.15 Dividends unpaid Exchanges for clearing house j 448, 610. 91 Hills of other national banks 490. 00 Individual deposits Fractional currency, nickels, cents. i 488. 35 I j United States deposits | Specie I 31, 079. 00 ! DepositsofU.S.disbursingoffice.rs. ! ] Legal-tender notes 8, 000. 00 ; U. S. certificates of deposit j Notes and bills rediscounted Redemption fund with Treas. U. S. j 1,125. 00 j Bills payable I | Liabilities other than those above I Due from Treasurer XT. S > stated I Total. H. H. ROWLAND, President. 672, 831. 23 Loaus and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand ; Premiums on U. S. bonds I Stocks, securities, etc j Bank'g house, furniture, andfixtures j Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items j Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.XT. S. Due from Treasurer U.S Total. Total First National Bank, Tyler. No. 3651. 672,831.23 J. D. MOODY, Cashier. $503,514.57 |j Capital stock paid in. 92,398.58 j! 50,000.00 i Surplus fund j fund Undivided profits, less current . j expenses and taxes paid. National-bank notes outstanding. State-bank notes outstanding. .... 24,000.00 ( 16,000.00 ! Due to other national banks 4,529.34 Due to State banks and bankers.. 2,107.39 ;: 27,126.08 j Dividends unpaid.. 729.88 Individual deposits United States deposits ( 258.30 Deposits of U.S.disbursingofficers. • 5, 975. 75 5, 595. 00 Notes and bills rediscounted Bills payable $200, 000. 00 40, 000. 00 17,163.10 45,000.00 9, 077. 44 827.32 286.00 240, 036.40 162, 000. 00 18, 574. 63 730. 00 Liabilities other than those above stated 732,964.89 Total. 732, 964. 89 1160 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. City National Bank, Tyler. E. C. WILLIAMS, President. W. L. CAIN, Cashier. No. 4353. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer IT. S Total. Liabilities. $305, 531. G3 29, 219. 92 25,000. 00 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 7, 782. 02 22, 500.00 3, 000. 00 10, 524. 25 1,500. 21 12,109. 50 i Due to other national banks 3, 099. 62 Due to State banks and bankers. 18.35 8, 488.10 Dividends unpaid 788. 35 280.75 C, 334. 00 G, 000. 00 395.00 346. 68 1,742. 07 Individual deposits United States deposits Deposits of U.S.disbursing officers. 153, 586. 44 Notes and bills rediscounted j Bills payable 63, 559.09 42, 833.38 Liabilities other than those above stated Total. 412, 349. 68 412, 349.68 Tyler National Bank, Tyler. W . Gr. C A I N , No. 4747. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $155, 847.11 8,719.83 25, 000. 00 1,156. 25 L. L. JESTER, Cashier. Capital stock paid in | $100, 000.00 Surplusfund | Undivided profits, less current j expenses and taxes paid I National-bank notes outstanding. { State-bank notes outstanding | 20, 000.00 2, 945.23 22,500.00 13,847.78 Due to other national banks 4, 554. 52 3, 651. 52 3,115. 77 *"*265.'oo' 97.44 783. 25 1,000.00 1,125. 00 j 3, 571. 34 Due to State banks and bankers.. j 464. 62 Dividends unpaid I Individual deposits United States deposits Deposits of U.S.disbursingofficersJ Notes and bills rediscounted Bills payable Liabilities other than those above stated ! J j ' Total . 219,163. 47 4. 00 56, 678. 28 13, 000.00 219,163. 47 First National Bank, Uvalde. J . L. DABBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits "U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4517. $92, 379. 64 92. 71 13, 000. 00 B. A. RANDLE, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 5, 294. 93 11,450. 00 •0.00 1,044. 33 67.02 1, 472. 51 621. 62 Due to other national banks Due to state banks and bankers.. Individual deposits " " 20." 6o" United States deposits 75.05 Deposits of U. S.dis bursing officers. 2, 820. 00 630. 00 Notes and bills rediscounted. Bills payable 572.50 Liabilities other than those above 113,595.38 1, 725. 61 Dividends unpaid stated Total . 35,124. 84 113, 595. 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1161 TEXAS. First National Bank, Van Alstyne. S. S. DUMAS, President. D. S. THOMPSON, Cashier. No. 4289. Resources. Loans and discounts Overdrafts U. IS. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!"urniture, andfixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Liabilities. $114,485. 52 ! Capital stock paid in. 41,977.21 j 18,750.00 (I Surplusfund... j i Undivided profits, less current d expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 287. 89 16, 750. 00 11,150. 00 Due to other national banks 5, 530. 71 Due to State banks and bankers-. 1,393.61 5, 484. 52 Dividends unpaid 993. 00 Individual deposits 523. 00 United States deposits 58.10 Deposits of U.S.disbursingofficers. 9, 430. 00 4,000. 00 Notes and bills rediscounted Bills payable 837.50 Liabilities other than those above stated 214,613.17 Total. $75, 000.00 4, 014. 29 94, 5G0. 99 12, 500. 00 7, 500. 00 214,613.17 Total. Velasco National Bank, Velasco. No. 4662. L E W I S R. BRYAN, President. J . M. MOOEE, Cashier. Total. $62,830.68 | Capital stock paid in. 3,355.09 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 250.00 National-bank notes outstanding. 12,812.49 , State-bank notes outstanding 8, 395. 52 ! Due to other national banks 5,569. 22 Due to State banks and bankers.. 12,748. 22 29,164. 79 Dividends unpaid 90.11 Individual deposits 1,950.00 I. United States deposits 61.30 Depositsof U.S.disburaingofncers. 2,503.95 2,706.00 ! Notes and bills rediscounted i Bills payable , 562.50 Liabilities other than those above stated $50,000. 00 156, 505.87 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned; Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie \ Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S. 156, 505.87 Total. 3, 350. 00 1, 405. 53 11,250.00 8, 517. 21 81, 983.13 First National Bank, Victoria. J . M. BROWNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse r furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4184. $380, 258. 82 11,539.08 37,500.00 THEO. BUHLER, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid 3,750.00 j National-bank notes outstanding. 20,466.97 I State bank notes outstanding 19,000.00 | 140.00 i Due to other national banks 24,552.05 ' Due to State banks and bankers.. 6,242.61 | 35,426.29 \ Dividends unpaid 1,273.64 { Individual deposits 500. 00 United States deposits 271.32 Depositsof U.S.disbursingofficers. 15,179.80 8,470. 00 Notes and bills rediscounted Bills payable 1, 675. 90 Liabilities other than those above stated 560,246.48 t Total. j $150,000.00 13, 000.00 29, 857. 94 33, 750.00 4, 902.61 9, 678.11 300, 226.62 24, 831.20 566, 246.48 1162 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Waco. No. 2189. E. ROTAN, President J. K. ROSE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. Liabilities. $1,119, 554.49 158,902. 73 50, 000. 00 Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 27, 350. 00 60, 000. 00 7,250. 00 Due to other national banks 50, 512. 25 Due to State banks and bankers.. 25, 336. 56 89,431. 30 Dividends unpaid 2,783. 38 31,533.86 Individual deposits 2, 225. 00 United States deposits 1, 098. 00 Depositsof U.S.disbursing officers. i 14,439.00 3,500. 00 Notes and bills rediscounted \ Bills payable \ 2,250. 00 Liabilities other than those above ! stated 1 ! 1, 646,166. 57 Total . 85, 000. 00 44, 865. 34 45, 000.00 19,182. 48 11, 800. 81 716,484.24 223,833.70 1, 646,166. 57 Citizens' National Bank, Waco. J . S. MCLENDON, President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniture.andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treaa.U. SDue frQni Treasurer U. S No. 3135. 678, 297.96 Total. L. B. BLACK, Cashier. $421, 201. 27 , Capital stock paid in. ~rr.7T. | 53,078.63 25,000.00 Surplus fund 50,000.00 Undivided profits, less current expenses and taxes paid 5, 687. 50 National-bank notes outstanding State-bank notes outstanding 3, 500. 00 Due to other national banks 42,254.16 Due to State banks and bankers.. 3, 266. 80 29,160. 84 Dividends unpaid 1,194, 36 19, 422. 20 Individual deposits 3.505. 00 United States deposits 120.45 Depositsof U.S.disbursing officers. 12, 031. 75 7,750. 00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated Total. $ioo, ooo. oo 100, 000. 00 51,303.27 22, 500. 00 12, 687. 48 10, 467.28 260,192. 67 30, 000. 00 91,147. 26 678, 297.96 Farmers and Merchants' National Bank, Waco. R. O. ROUNSAVALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4349. JOHN P. MASSEY, Cashier. $149,182.75 !| Capital stock paid in | 3,440.20 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid.: National-bank notes outstanding State-bank notes outstanding 3,390.00 Due to other national banks 2, 203. 00 Due to State banks and bankers.. 4, 755. 55 3, 624. 24 Dividends unpaid 5, 232.13 Individual deposits 485.00 United States deposits 28.90 Deposits of U.S.disbursing officers. 705.40 7,000. 00 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated 206,172.19 Total. $100,000.00 6, 000. 00 5, 212.24 22, 495. 00 4, 213. 91 2,003. 35 52, 247. 69 14,000. 00 206,172.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1163 TEXAS. Provident National Bank, Waco. No. 4309. W. T. WATT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing; house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total A. L. BROWN, Cashier. Liabilities. $455, 570. 77 Capital stock paid in. 9, 403. 99 50, 000. 00 j Surplus fund ii Undivided profits, less current ! I expenses and taxes paid 1, 500. 00 |j National-bank notes outstanding. State-bank notes outstanding 6,154, 26 9,124. 34 6, 908. 40 11,811.82 139, 879. 60 1, 295. 72 11,157. 90 660. 00 116.85 2, 344. 00 14. 000. 00 Due to other national banks Due to State banks and bankers.. $300, 000.00 17.000.00 15, 658. 24 45, 000. 00 7, 796. 93 248. 26 Dividends unpaid. Individual deposits United States*deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted Bills payable 2,250.00 I I 277,625. 71 58, 848. 51 Liabilities other than those above stated Total. 722,177.65 722,177. 65 First National Bank, Waxahachie. No. 2974. C. W. GIBSON, President. Loans and discounts Overdrafts .. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Du,e from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S -. - $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 24,333.44 1 Dividends unpaid 328.42 ! •! Individual deposits 1,340.00 !| United States deposits |I Depositsof U.S.disbursingofficers. 71.20 11.412.90 20,140.00 j Notes and bills rediscounted Bills payable i, 125.6o ; Liabilities other than those above stated Total . Citizens' National Bank, Waxahachie. No. 3212. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total - R. G. PHILLIPS, Cashier. 2 j Capital stock paid in. 394, 292. 26 Total. O. E. DUNLOP, President. $186, 109, 25, $286, 744. 32 "'"25,000.00 36,457. 77 1, 761. 90 47, 340. 63 16, 969. 04 4, 365. 88 3, 318. 80 10, 000. 00 105. 85 63, 933. 75 22, 700. 00 1,125. 00 20, 000.00 11, 896. 79 22, 500. 00 8, 781. 05 181,114,42 50, 000.00 394, 292.26 T. A . FERRIS, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100^000700 50, 000. 00 21, 995. 58 22, 500. 00 Due to other national banks Due to State banks and bankers -. Dividends unpaid 658. 76 21, 256. 28 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 303, 412.32 Notes and bills rediscounted Bills payable Liabilities other than those above stated 519, 822. 94 I Total. 519, 822. 94 1164 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Waxahachie National Bank, Waxahachie. G. H. CUNNINGHAM, President. Resources Loans and discounts. Overdrafts. IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, centsSpecie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. H. MILLER, Cashier. No. 4379. Liabilities. $266,913.33 I Capital stock paid in. 25, 000. 00 Surplus fund |j Undivided profits, less current ! expenses and taxes paid j National-bank note3 outstanding. | State-bank notes outstanding 24, 000. 00 1,625.00 I Due to other national banks 21,185.77 11,172.17 j Due to State banks and bankers.. 1,952.19 Dividends unpaid 4, 070. 41 Individual deposits 250.00 United States deposits 77.35 Deposits of U. S.disbursing officers. 7, 484. 50 14, 980. 00 i Notes and bills rediscounted ! Bills payable 1,125. 00 379, 835. 72 Liabilities other than those above stated Total. $100, 000. 00 10, 000.00 3, 765.09 22, 500. 00 2, 729. 92 189,105.97 51, 734. 74 379, 835.72 First National Bank, Weatherford. J. D. BAKER, President. W. S. FANT, Cashier. No. 2477. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds. Stocks, securities, etc Bank'ghouse,furniture,andfixturesi Otherreal estate and raortg'sowned. Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $223, 707. 20 55, 089. 21 25, 000. 00 1,313.37 15, 350.00 2, 388. 00 "6*704.'95 378. 00 2,494. 87 312. 26 420. 134. 539. 10, 000. 00 35 00 00 1,125. 00 Capital stock paid in 20, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 714. 25 Individual deposits ! United States deposits DepositsofU.S.disbursingonicersJ 142, 352. 30 Notes and bills rediscounted j Bills payable ! Liabilities other than those above stated ! 49, 543. 83 344, 956. 21 Total . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 22, 500. 00 344, 956. 21 Citizens' National Bank, Weatherford. J. R. COUTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned J Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie p L l Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2723. $402,383. 78 29,410. 90 50, 000. 00 A. N. GRANT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3,703.12 26, 714. 70 2, 806.18 6, 215. 56 i Due to other national banks 20,946.31 I Due to State banks and bankers .. 955.77 I 16, 607. 74 Dividends unpaid 2,9:9.21 Individual deposits i, 266.66 United States deposits 126. 37 Deposits of U.S.disbursing officers. 14, 835. 00 6, 000. 00 Notes and bills rediscounted Bills payible 2, 250.00 Liabilities other than those above stated 587,184. 64 Total . $250, 000. 00 31, 000. 00 21,177.40 45, 000. 00 1, 852. 01 19.06 173,209.22 24, 926. 95 40, 000. 00 587,184. 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1165 TEXAS. Merchants and Farmers' National Bank, Weatherford. "VT. H. EDDLEMAN, President No. 3975. H. L. BREVARD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $265,038. 69 76, 392. 48 63, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 824. G9 56, 450.00 ],000.00 11,381.63 4, 500. 00 788.39 Due to other national banks 12,181. 52 Due to State banks and bankers.. 1, 445. 91 25, 547. 26 Dividends unpaid 827. 49 || Individual deposits 800.00 United States deposits 4.61 Deposits of U.S.disbursing officers. 8, 354. 00 1,843.00 Notes and bills rediscounted Bills payable 1,372.50 Liabilities other than those above stated 474,477.48 4, 494. 69 330.00 181, 602.41 46,775. 6 Total . 474,477.48 First National Bank, Whitewright. • D. M. RAY, President. No. 4692. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $135,697.70 86, 971. 01 12, 500. 00 C. B. BRYANT, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18, 000. 00 1,571.40 11,250.00 6, 500. 00 998. 37 93.32 6, 705. 52 57.80 5, 000. 00 .50 2, 095. 20 3, 500. 00 562. 50 | Due to other national banks Due to State banks and bankers.. Dividends unpaid 7, 895. 92 411.79 Individual deposits United States deposits Deposits of U.S.disbursing officers. 115,447. 20 Notes and bills rediscounted Bills payable Liabilities other than those above stated 21,1.05. 61 35, 000. 00 Total. 260, 681. 92 260,681.92 City National Bank, Wichita Falls. No. 4248. JOSEPH A. KEMP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $112,380.56 6, 228. 32 18, 750.00 8, 3. 12, 4, 758. 55 449.70 266.10 502.12 563.21 8, 262. 00 1, 661.11 114.50 3, 459. 50 5,158. 00 843. 50 FRANK DORSEY, Cashier. Capital stock paid in. . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding ' $75, 000. 00 5,000. 00 4, 937.61 16,870.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 163. 94 Individual deposits United States deposits Deposits of U.S.disbursing officers. 71, 751. 99 Notes and bills rediscounted Bills payable 12, 673. 63 Liabilities other than those above stated 186, 397.17 Total . 186, 397.17 1166 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Panhandle National Bank, Wichita Falls. ROBERT E. HUFF, President. No. 3200. W. M. MCGREGOR, Cashier. Resources. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation... j U. S. bonds to secure deposits j U. S. bonds on hand | Premiums on U. S. bonds i Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and raortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total Liabilities. $115,543.11 5,275.12 75,000.00 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 250. 00 9, 548. 92 14, 900. 00 8,902. 80 2, 075. 08 1, 560. 27 22,160. 73 33.70 Due to other national banks Due to State banks and bankers. 20, 000.00 1,226.19 67, 480.00 30.34 99.60 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 78, 653.C Is otes and bills rediscounted Bills payable 120. 00 4, 381. 00 2, 665. 00 5, 900. 00 20, 000. 00 3*374.00 Liabilities other than those above stated 268,389.79 Total 268, 389. 79 First National Bank, Wills Point. JOHN E. OWENS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andnxtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S No. 5018. $50, 249.16 5, 597.11 12, 500. 00 $25, 000. 00 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,562. 50 .18 1, 080. 00 Due to other national banks 19,386. 91 Due to State banks and b a n k e r s . . Dividends unpaid 1,750.00 950.00 200.85 1,722.00 1,000.00 ; Individual deposits jj United States deposits j Deposits of U.S.disbursing officers. • I Notes and bills rediscounted Bills payable 35, 468.46 10, 000.00 Liabilities other than those above stated Total . 95, 998. 71 Total. W. R. HOWELL, Cashier., Capital stock paid in Capital stock not certified 95, 998. 71 Wolfe City National Bank, Wolfe City. J. H. NAIL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3984. $94,122.81 92,786. 21 12, 500. 00 1,475.00 1, 500. 00 300. 00 45.00 373.36 3, 539. 43 210. 00 44.15 1,149. 50 666.00 J. H. BLOCKER, Cashier. Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Duo to State banks and bankers.. 10,201. 66 151. 22 4, 571. 84 11,250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 75, 599. 24 37, 500. 00 562. 50 Liabilities other than those above stated 209,273.96 ; Total . 209, 273.96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1167 TEXAS. First National Bank, Yoakum. J . M. BENNETT, President. No. 4363. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds onhand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national Wanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. E D . B. CARRUTH, Cashier. Liabilities. $63, 701. 46 Capital stock paid in. 17, 226. 65 12,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 3, 018.27 State-bank notes outstanding 7, 000. 00 6, 690. 64 Due to other national banks 4, 222.01 Due to State banks and bankers.. 14, 907. 65 5, 527.10 Dividends unpaid 34,838. 43 Individual deposits 90.00 United States deposits 208. 45 Deposits of U. S.disbursingofficers 7,058. 00 490.00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above $50, 000. 00 178, 041.16 178,041.16 stated Total. 2, 800. 00 9, 690. 40 11,250.00 337. 86 4, 377. 23 82, 716. 52 11,869.15 5, 000. 00 1168 REPORT OF THE COMPTROLLER OF THE CURRENCY. UTAH. First National Bank, Logan. No. 4670. W. S. MCCORNICK, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. RIPLEY S. LYON, Cashier. Liabilities. $90,211.71 3,467. 50 12, 500.00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 375. 00 National-bank notes outstanding. 2,100. 89 State-bank notes outstanding 2,069. 95 480.45 Due to other national banks 3, 367. 59 Due to State banks ana bankers.. 8,804. 35 Dividends unpaid 130. 63 189. 44. Individual deposits United States deposits 4,100.00 1, 989. 74 11, 250. 00 1,102. 60 655. 72 63, 760.41 33.96 DepositsofU.S.disbursingoflicers. 5, 699. 50 1,465.00 Notes and bills rediscounted. 562.50 400. 00 Bills payable Liabilities other than those above stated 132,858.47 [ I Total. 132, 858.47 First National Bank, Nephi. GEO. C. WHITMORE, President. No. 3537. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $97, 117. 43 I J 1. 821.16 !| 12! 500.00 750.00 308. 40 000. 00 791.75 503. 54 417.31 368. 00 15.40 10,135.00 C. S. TINGEY, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers 37, 500. 00 7, 096. 59 8, 970. 00 446.27 62, 277. 03 Notes and bills rediscounted. Bills payable. 166,290.49 Liabilities other than those above stated Total . 166,290.49 First National Bank, Ogden. DAVID ECCLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2597. $280, 294.46 10.011.06 37, 500. 00 50, 000. 00 " " 9 " 375." 66' 10,151. 06 75, 000. 00 37, 219. 47 31, 604. 49 20, 079. 75 140, 557. 28 373. 60 Surplus fund Undivided profits, less c u r r e n t expenses and t a x e s paid National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g D u e to other national b a n k s D u e to State b a n k s and b a n k e r s . 1, 687. 51) 800, 338. 72 $150, 000. 00 90, 000.00 18,528.43 33, 250. 00 13,463.89 45, 647.72 Dividends unpaid I n d i v i d u a l deposits " " " " l , " 080.* 66' 66.10 94, 220. 95 1,118.00 J A M E S P I N G R E E , Cashier. Capital stock paid i n . United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 405, 209. 90 34,935. 67 9, 303.11 800,338. 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1169 UTAH. Commercial National Bank, Ogden. J. D. CARNAHAN, President. No. 3139. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on X . S. bonds T Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes, U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. T. D. IIYAN, Cashier. Liabilities. $151,187. 72 4, 945. 07 50, 000. 00 50, 560. 88 12, 590. 00 9, 800. 00 1,579.79 6, 855. 33 19,867.11 8, 829. 77 800.00 7.00 17,140. G O 2, 700. 00 Capital stock paid in. $150, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 905. 53 45, 000.00 Due to other national banks i. Due to State banks and b a n k e r s . . i Dividends unpaid 1, 537. 98 1 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated Total 339,113. 27 ! 339,113. 27 Utah National Bank, Ogden. 1 No. 2880. J. E. DOOLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $150,114. 63 8, 783. 05 25, 000. 00 20,000. 00 9, 953. 57 32, 500. 00 3, 227. 60 1, 505. C5 27, 519. 67 25, 376.12 1, 201.65 169. 00 182.10 42, 025. 00 W. F. ADAMS, Cashier. Capital stock paid in Surplu sfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, GOO. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 714. 48 15,347.70 I n d i v i d u a l deposits U n i t e d States deposits DepositsofU.S.disbursingofficers.j 188,873. 43 20, 000. 00 14, 537. 43 4,210. 00 N o t e s and bills rediscounted Bills payable 1,125. 00 Liabilities other t h a n those above stated Total. 348, 683. 04 348, 683. 04 First National Bank, Park City. No. 4564. JOHN J. DALY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 000. 00 61,135. 94 14, 000. 00 67, 680. 86 39, 016.14 17, 519.86 682.31 74 SAM J . IVENYOX, Cashier. Capital stock paid in. Surplus fund Undivided profits, Jess current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding $50, GOO. 00 5, 250. 00 6,431.45 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits 48.65 Deposits of U. S.disbursing officers. 27, 020. 00 1 6, 041. 00 1 Notes and bills rediscounted. | Bills payable Liabilities other than those above j stated 384,593.72 |j Total. CUR, PT 2 $119, 894. 72 16, 891. 74 12,500. 00 Total . 311, 662. 27 1170 REPORT OF THE COMPTROLLER OF THE CURRENCY. UTAH. First National Bank, Provo City. "WALTER It. P I K E , President. DOUGLAS A. SWAN, Cashier. No. 2641. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand ! Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other realestateandmortg's owned Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. | Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Capital stock paid in Stirplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 932. 90 18,000.00 j 10,824.50 Due to other national banks 1 220.27 Due to State banks and bankers. > ;,*""*" 337.34 Dividends unpaid 130. 00 Individual deposits 4.00 United States deposits 3, 937. 65 230. 00 Depositsof bills rediscounted. Notes and U.S.disbursingofficers. Bills payable 562. 50 Liabilities other than those above stated Total . 87, 772. 38 $50, 000. 00 5, 000. 00 997. 23 10, 850. 00 1, 684.10 16, 741.05 2, 500. 00 87, 772.38 Commercial National Bank, Salt Lake City. GEORGE M. DOWNEY, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand P Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4051. $273,518. 32 28,720.24 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5, 500. 00 8, 838. 20 113,158. 54 29, 240. 25 Due to other national banks 68, 568. 71 Due to State banks and bankers. 65,118. 40 Dividends unpaid 844. 25 2, 265. 57 Individual deposits 19, 320. 00 United States deposits 270. 00 Depositsof U.S.disbursingoffic 102, 893. 90 5, 000. 00 Notes and bills rediscounted Bills payable """2,250.'00 Liabilities other than those above stated 775,506.38 : Total. J N O . W . DONNELLAN, Cashier. Capital stock paid in. Total . $300, 000.00 10, 000. 00 7. 321.84 45, 000. 00 65, 398. 38 1,447.68 346, 338.48 775, 506. 38 Deseret National Bank. Salt Lake City. L. S. HILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bondstfosecure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TT. S. Due from Treasurer U. S Total. H. S. YOUNG, Cashier. No. 2059. $837, 22G. 18 Capital stock paid in $5oo7oooToo 56,178. 03 500,000. 00 Surplus fund 500, 000. 00 75, 000. 00 Undivided profits, less current expenses and taxes paid 95, 347.00 76, 000. 00 National-bank notes outstanding. 188,160.00 57, 366. 82 State-bank notes outstanding 100, 000.00 54,537. 03 Due to other national banks 124, 111. 44 Due to State banks and bankers.. 136, 305.18 3 22,749.56 387,476.49 Dividends unpaid 586.00 16, 879. 47 8, 840. 00 169. 67 158, 515. 00 2, 944. 00 22, 500. 00 2,545, 956. 66 Individual deposits United States deposits Depositsof U.S.disbursing officers. 1, 012, 963.80 15, 747.53 42, 310.12 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total . 2, 545,956.66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1171 UTAH. National Bank of the Republic, Salt Lake City. F R A N K K N O X , President. ]STo. 4310. E D . W . DUNCAN, Kesources. Loans a n d discounts Overdrafts TT. S. bonds t o secure c i r c u l a t i o n . . . U. S. bonds t o secure d e p o s i t s . . . U. S. bonds on h a n d P r e m i u m s on TJ. S. bonds Stocks, securities, etc Bank'ghouse.furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $557, 349.71 11,152.72 50, 000. 00 Capital stock paid in $500, 000. 00 i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding-] State-bank notes outstanding | 4, 600. 00 22,000. 00 44,006. 80 39, 749. 47 814.45 I, 051. 97 783.15 4, 388. 51 24, 320. 00 161.67 24,528. 00 10, 000. 00 Due to other national banks I Due to State banks and bankers.. I 15, 000. 00 25,112.82 45,000.00 2, 638.13 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disb ursing officers. 209, 955. 50 Notes and bills rediscounted. Billspayable 2, 250. 00 550. 00 Liabilities other than those above stated 797, 706.45 Total. Cashier. Liabilities. 797, 706. 45 Total . Utah National Bank, Salt Lake City. J O S E P H M. STOUTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U- S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TT. S Total. No. 4341. A. B. JONES, Cashier. Capital stock paid i n . 35,116. 22, 790. 11,057. 2, 761. 693. 24, 820. 632. 2,113. 145. 158. 37, 851. 65. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid ! | Individual deposits I United States deposits S | DepositsofU.S.disbursingofficersJ Notes and bills rediscounted. Bills payable $200,000.00 22, 800.00 2, 831. R3 45, 000.00 372.95 43, 362.28 100.00 195, 248.17 15, 000.00 2, 250. 00 Liabilities other than those above stated 524,715.03 j Total. 524, 715. 03 1172 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. National Bank, Barre. No. 2109. B. W. BKALEY, President. Kesources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonband Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. F. G. ROWLAND, Cashier. Liabilities. $270,820.79 i Capital stock paid, in 689.73 | 100,000.00 Surplus fund Undivided profits, less $100, 000.00 20, 000. 00 current 7,250.00 j expenses and taxes paid 11,340.00 I National-bank notes outstanding. 35,733.48 | State-bank notes outstanding 2, 426. 90 9,853.16 89, 410. 00 Due to other national banks Due to State banks and bankers.. 1, 824. 41 Dividends unpaid 2, 539. 49 Individual deposits iao.'bo" United States deposits Deposits of U.S.disbursing officers. 46.93 3, 886. 61 19, 357. 93 12, 035. 00 19, 600. 00 4,350.00 j GO. 00 257,714.89 Notes and bills rediscounted. Bills payable 7, 250. 00 Liabilities other than those above stated 488,144.66 Total. 488,144.66 Barton National Bank, Barton. AMORY DAVISON, President. H. K. DEWEY, Cashier. No. 2290. Loans and discounts $238, 497. 42 Capital stock paid in. $150, 000.00 Overdrafts U. S. bonds to secure circulation... "*37,'5*66"()O Surplus fund 4, 750. 00 U. S. bonds to secure deposits Undivided profits, less current IT. S. bonds on hand 3, 939. 36 expenses and taxes paid Premiums on TJ. S. bonds 3,550.00 [ National-bank notes outstanding. 33, 750. 00 Stocks, securities, etc 6,077.42 State-bank notes outstanding Bank'g house, furniture, and fixtures 1,500. 00 Other real estate and mortg's owned Due to other national banks Due from other national banks Due to State banks and bankers.. Due from State banks and bankers. Due from approved reserve agents. 9, 306. 71 Dividends unpaid Checks and other cash items Exchanges for clearing house Individual deposits 107, 485. 80 Bills of other national banks.. 355. 00 United States deposits Fractional currency, nickels, cents94.21 Depositsof U.S.disbursing officers. Specie 7, 616. 90 Legal-tender notes 3, 740. 00 Notes and bills rediscounted. U. S. certificates of deposit Bills payable 10, 000. 00 Redemption fund with Treas. U. S. 1, 687. 50 Due from Treasurer U. S Liabilities other than those above stated Total . 309,925.16 Total . 309,925.16 National Bank, Bellows Palls. JAMES H. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer TJ. S Total. No. 1653. $173,940. 26 264. 06 100, 000. 00 P. H. HADLEY, Cashier. Capital stock paid in ' $100,000.00 Surplus fund ! 20, 000. 00 Undivided profits, less current | expenses and taxes paid ; 10, 000. 00 National-bank notes outstanding, j 2,100. 00 State-bank notes outstanding | 31, 632. 58 88, 560. 00 15, 000. 00 ! Due to other national banks Due to State banks and bankers. 20, 000. 00 60,937.81 Dividends unpaid. 5, 603. 71 Individual deposits 11,112. 00 United States deposits 224. 25 Deposits of U.S.dis mrsingofficers . 36, 460. 00 6, 620. 00 4, 500.00* 446,762. 09 2, 875. 00 203, 694. 51 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 446, 762. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 7 3 VE RMONT. First National Bank, Bennington. GEO. F . GRAVES, President. No. 130. L. A. GRAVES, Cashier. Resources. Liabilities. Loans and discounts $430, 711. 75 Capital stock paid i n . . Overdrafts 1, 402. 87 IT. S. bonds to secure circulation... 110, 000. 00 1Surplus fund U. S. bonds to secure deposits ! Undivided profits, less current inses and taxes paid. U. S. bonds on hand ! xpen National-bank notes outstanding. Premiums on U. S. bonds ! State-bank notes outstanding Stocks, securities, etc j 54, 000.00 Bank'glK>use,furniture,andfixtures{ 5, 000. 00 Other real estate and mortg's owned Due to other national banks Due from other national banks j Due to State banks and bankers.. Due from State banks and bankers.! Dae from approved reserve agents, j 27,453.00 Dividends unpaid Checks and other cash items I Individual deposits Exchanges for clearing house Bills of other national banks 475. 00 United States deposits Fractional currency, nickels, cents. 68. 01 Depositsof U.S.disbursing officersSpecie • 21,860.00 Legal-tender notes 4, 630. 00 Notes and bills rediscounted. U. S. certificates of deposit I5ills"payable Redemption fund with Treas. IT. S. 4,950.00 Liabilities other than those above Due from Treasurer U. S stated 660, 550. 63 Total. Total. $110, 000. 00 22, 000. 00 51,281.95 98, 030. 00 10, 794. 81 358,443.87 10, 000. 00 660,550. 63 Bennington County National Bank, Bennington. S. M. SIBLEY, President. No. 2395. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand '. Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furuiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $171,741.77 751. 72 25, 000. 00 2, 250. 00 10, 000. 00 2, 500. 00 23, 608. 71 2, 704. 94 4, 000. 00 342.18 5, 593. 50 4,142. 00 465. 00 CLEMENT H. CONE, Cashier. Capital stock paid in- $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding 11, 500. 00 4,115. 48 22, 197.50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 487. 04 4, 075. 75 Individual de i t s ndividual deposits United States deposits Deposits of U.S.disbursing officers. 105, 724. 05 Notes and bills rediscounted Bills payable Liabilities other than those above stated 253,099. 8 Total. 5,000.00 253, 099. 82 National White River Bank, Bethel. D. C. DENISON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. IT. SDue from Treasurer U. S Total. No. 962. $153, 534.70 485.58 35, 000. 00 49, 712. 47 3,000.00 3,643. 51 1,576. 55 "3,701.00 59. 58 8, 317. 37 1, 000. 00 1, 575. 00 261, 605. 76 M. SYLVESTER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $125,000.00 19, 600. 00 967. 54 30, 940. 00 311.50 84, 786. 72 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 261,605. 76 1174 BEPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. First National Bank, Brandon. No. 278. , N. T. SPRAQUE, President. G. H. YOUNG, Cashier.- Besources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Othe r real estate and mortg's owned Due from other national banks ' Due from Statebanks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of oth*-r national banks Fractional currency, nickels, cents Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $165, 056. 77 5, 872. 05 50, 000.00 4, 750. 00 56,400. 00 5, 500. 00 16,427.04 10, 512, 29 8, 272. 37 1, ioo. 6o 20. 20 2, 257. 00 1,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 100, 000.00 2,115.49 45, 000.00 414.00 31, 888.23 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 329,417.72 Total . $150,000.00 Capital stock paid in. 329,417.72 Total. Brandon National Bank, Brandon. No. 404. E. D. THAYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc , Bank'ghou!se,furnitiir e,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Hills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. cen ificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $192,135.86 2,735. 78 50, 000. 00 3, 000. 00 33, 247. 76 9,368.12 633. 49 1,389. 00 50.15 1, 297. 34 4, 000. 00 '2,250*00' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outsteindingState-bank notes outstanding.. ." . $200, 000. 00 1, 000.00 1,685.62 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 317.82 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 61, 992. 57 Notes and bills rediscounted Bills payable Liabilities other than those above stated 309, 996. 01 Total . W. F. SCOTT, Cashier. Capital stock paid in. 309,996.01 Total . People's National Bank, Brattleboro. JULIUS J . ESTBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'# house furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from Stste banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Lejjal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2305. $410,852.96 338. 37 25, 000. 00 16, 714.16 5,472. 01 500. 00 8-J,003. 73 3, 175.57 2, 400. 00 106. 87 22, 430. 00 7, 000.00 1,125.00 579,118. 67 WILFOED H. BRACKETT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000. 00 50, 000.00 50, 619. 87 22, 010. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 356, 488. 80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 579,118. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1175 VE RMONT. Vermont National Bank, Brattleboro. No. 1430. GrEO. S. DOWLEY, President. GEORGE C. AVERILL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer "U.S.. Total. Liabilities. $685, 054. 35 Capital stock paid in j " i 5 o , 666.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 170,000. 00 Due to other national banks Due to State banks and bankers. 47,557. 39 Dividends unpaid 5,052. 98 Individual deposits 658*00 United States deposits 58.83 Deposits of U.S.disbursingofficers. 36,900. 00 10,000. 00 Notes and bills rediscounted. Bills payable 50.00 Liabilities other than those above stated Total. 1,112,031.55 $150, 000. 00 100, 000.00 191,701.82 335,000.00 535, 329. 73 1,112,031.55 Howard National Bank, Burlington. JOEL H. GATES, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1698. $711,225. 06 261. 89 100, 000. 00 1, 000. 15, 000. 13, 000. 75, 296. 00 00 00 77 86, 815.14 2, 909. 58 6, 422. 00 180.07 23, (550. 65 21, 370. 00 4,500.00 j 1, 061, 631.16 F. E. BURGESS, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers . $300, 000.00 60, 000.00 37, 784. 33 90, 000. 00 124, 307.63 87.50 449, 451. 70 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 1, 061, 631.16 Merchants' National Bank, Burlington. C. W. WOODHOUSB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g h ouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks andbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer D. S Total. No. 1197. L. E. WOODHOUSE, Cashier. ., 107, 237. 06 Capital stock paid in. $500, 000. 00 236. 90 500, 000.00 Surplusfund 250, 000.00 50,000. 00 Undivided profits, less current 100,000. 00 expenses and taxes paid 109, 874.10 14,500. 00 National-bank notes outstanding. 449, 997.50 87, 600. 00 State-bank notes outstanding 35, 000.00 Due to other national banks 71,925.61 20,193.81 Due to State banks and bankers. 5, 531. 73 192,092. 50 Dividends unpaid 166.70 904.85 Individual deposits 760,126. 84 1, 808. 00 United States deposits 34, 204. 65 500. 82 Deposits of U.S.disbursingofficers. 12, 727. 77 37, 908. 00 22, 032. 00 Notes and bills rediscounted. Bills payable 13, 427.50 Liabilities other than those above stated 2,189,023.17 Total 2,189,023.17 1176 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. National Bank of Orange County, Chelsea. AARON N. KING, President. No. 4929. O. B. COPELAND, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Premiums on IT. S. bonds Stock s, securities, etc Bank'ghou«e,furniture,andfixtures Other real estate and mortg' s owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $37, 912. 22 17,500.00 7,000. 00 2,637. 92 12,155. 00 1,631.99 Capital stock paid in. Due to other national banks I Due to State banks and bankers.. 3, 914. 58 Dividends unpaid 1, 242. 84 Individual deposits 1,105. 00 United States deposits 45.97 Deposits ofU.S.disbursingofncers. 2, 733. 55 500. 00 Notes and bills rediscounted. Bills payable 787. 50 Liabilities other than those above stated 89,166.57 Total. $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 600. 00 892.19 15, 750. 00 709. 21 21,215.17 89,166. 57 National Bank, Chester. F . P . MATHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and baukers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S B. A. PARK, Cashier. No. 4380. $65, 743. 78 Capital stock paid in. $50, 000. 00 196. 79 25, 000. 00 Surplusfund 3, 000. 00 Undivided profits, less current 857.41 expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 22, 500.00 35,050.00 State-bank notes outstanding 1, 500. 00 2, 000. 00 Due to other national banks 47.05 3,136. 21 Due to State banks and bankers. 9, 496.14 1. 54 185. 00 29. 07 4, 022.10 125. 00 i, 125. 00 Individual deposits United States deposits Deposits of U.S.disbursingofncers 46, 391. 75 Notes and bills rediscounted Bills payable Liabilities other than those above stated 125, 974.42 Total. 42.00 Dividends unpaid 125,974.42 Total. Caledonia National Bank, Danville. HENRY S. TOLMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds j Stocks, securities, etc Bank'ghouse,furniture,andnxtures' Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. No. 1576. $103,715.40 22. 63 40, 000.00 3, 800. 00 7, 000. 00 3,600.00 C. H. MATTOCKS, Cashier, Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. 13,296. 09 Dividends unpaid 73.52 329.13 800. 00 12. 98 4, 593. 00 1,500. 00 1, 800. 00 r ~ 7 ~ r ; ••! Individual deposits United States deposits Deposits of II.S.disbursingofficers. ~$ioo7oooToo 11, 000. 00 4,771.09 36,000. 00 121.56 214.57 3.00 28, 432. 53 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 180,542.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. il77 VERMONT. National Bank, Derby Line. AUSTIN T. FOSTER, President. No. 1368. D.W. DAVIS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $283, 046. 35 745.52 80, 000. 00 14, 300. 00 6, 400, 00 6, 000. 00 Capital stock paid in I Surplus fund. Undivided profits, less current expenses a n d taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national b a n k s Due to State banks and b a n k e r s . . G, 123.11 54,912. 29 Dividends unpaid 153.15 deposits Individual d< 335. (10 United States deposits 13.33 Deposits of U. S.disbursing officers. 15,131. 00 2, 504.00 Notes and bills rediseounted. $150, 000. 00 30, 000. 00 23, 2G5. 94 72, 000. 00 084. 96 139. 22 197,173. G3 13ills payable 3, 600.00 Liabilities other t h a n those above stated Total. 473, 263. 75 473,263.75 First National Bank, Fair Haven. No. 344. E. C. ABELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtnres Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $204,453. 92 (577. Oi 25,000. 00 10, 000. CO 1, 237. 50 4, 062. 96 5, 000. 00 8, 325. 71 419.27 68,737. 84 100.00 085. 133. 7, 680. 3, 300. 00 84 00 00 WM. F. WALKER, Cashier. $100, 000. 00 Capital stock paid i n . Surplus fund Undivided profits, less current expenses and t a x e s paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g - . . . , Due to other national b a n k s Duo to State banks and b a n k e r s . 20, 000. 00 16,529.41 22, 500. 00 512. 50 1, 340. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers. 180, 056. 21 Notes and bills rediscounted Bills payable 1,125. 00 Liabilities other than those above stated Total . 340, 938.12 340, 938.12 Allen National Bank, Fair Haven. S. ALLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2422. C H A S . H. A L L E N , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 500. 00 State-bank notes outstanding 1, 610.00 Due to other national banks.. Due to State banks and bankers.. 3, 769. 92 Dividends unpaid. 3, 749. 33 Individual deposits 1,940. 00 United States deposits 144.19 Deposits of U.S.disbursingomcersJ 6, 760. 00 6, 325. 00 Notes and bills rediscounted. Bills payable 1, 280. 00 Liabilities other than those above stated 172, 434.88 Total. $50, 000. 00 10, 000.00 3, 368. 63 34,480.00 565. 42 30.00 73, 990. 83 172,434.88 il78 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. Lamoille County National Bank, Hyde Park. No. 1163. CARROLL S. PAGE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $150, 565. 31 1, 355. 01 25, 000. 00 2, 000. 00 13, 041. 03 4, 918.15 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 675. 00 1, 000. 00 1,125. 00 $100, 000. 00 23,000. ?•) 11,328.95 2i, 900. 00 52.50 Individual deposits 1 827.00 ! United States deposits 87.95 Deposits of U.S.disbursing officers. 204,594.45 Total E . L . N >YES, Cashier. Liabilities. Capital stock x>aid in Notes and bills rediscounted Bills payable Liabilities other than those above stated ... . Total 46, 313. 00 204, 594.45 Island Pond National Bank, Island Pond. GEO. JEL FITZGERALD, President. L. A. COBB, Cashier. No. 4275. Loans and discounts Overdiafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and inortg's owned! Due from, other national banks Dae from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks j Fractional currency, nickels, cents. | Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $141. 986. 27 46,666.66 2, 600.00 2,000. 00 1, 700.00 13, 869. 80 204.23 • 310. 00 7. 99 5, 622. 90 2,120. 00 "i," 8oo. 66 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursing officers. $75, 000.00 1,500.00 3, 571.18 36, 000. 00 15.00 96,135.01 Notes and bills rediscounted Bills payable Liabilities other than those above stated 212, 221.19 Total. Capital stock paid in. Total. 212,221.19 National Bank, Lyndon. L. K. QUIMBY, President. Loans and discounts O verdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and ban kers. Due from approved reserve agents. Checks and other cash items.....'.. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1140. W. J. STANTON, JR., Cashier. $50, 000.00 Capital stock paid in $48,098. 85 26, 500.00 4, 500. 00 30,179.69 4, 597.77 600. 00 8,000. 00 7,418. 31 668. 54 2, 222. 00 50.55 4, 468. 00 2, 000.00 1,192. 50 146,496. 21 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 10, 000.00 5, 333.04 22 950. 00 3, 613. 63 210. 00 54, 389. 54 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total 146,496 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 7 9 VERMONT. Lyndonville National Bank, Lyndoiiville. C. D. BIGELOW, President. No. 3158. LUTHER B. HARRIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $64, 108. 05 481. 46 75,000. 00 io, 666. oo 35, 033.17 8, 068.49 3, 987.41 14, 440. 32 318. 25 Capital stock paid in $75,000. 00 7, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 224. 67 65, 530. 00 Due to other national banks Due to State banks and bankers.. 111.00 Dividends unpaid Individual deposits 1," 335." 66" United States deposits 85.61 Deposits of U. S. disbursing officers. 5, 200.00 3, 000. 00 Notes and bills rediscounted Bills payable 3, 375. 00 Liabilities other than those above stated 224,432. 76 76, 567. 09 224,432. 76 Total Factory Point National Bank, Manchester Center. A. L. GRAVES, President. No. 3080. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. .$137,319.03 100. 40 20, 000. 00 6, 537.19 885. 00 9,149.54 1, 223. 00 156. 63 4, 650. 00 3,100. 00 900. 00 JAMES P. BLACK, Cashier. Capital stock paid in. 10, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 3, 336.86 18, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 184, 020. 79 184, 020.79 National Bank, Middlebury. A. A- FLETCHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 1195. $300, 707. 72 650.74 200, 000. 00 10, 000. 00 7,100. 00 5, 000.00 20, 834.16 779. 78 238. 37 17,137. 00 2, 932. 00 9," 000. 00 574, 379.77 CHARLES E. PINNEY, Cashier. Capital stock paid in ' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks ! Due to State banks and b a n k e r s . Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $200, 000.00 40, 000. 00 31,499. 37 173, 230.00 324. 00 129, 326.40 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 574,379.77 H80 REPORT OF THE COMPTROLLER OF THE CURRENCY* VERMONT. First National Bank, Montpelier. No. 748. CHARLES DEWEY, President. A. (>. EATON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand > Premiums on U. S. bonds Stocks, securities, etc | Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. j Checks and other cash items Exchanges for clearing house I Bills of other nationalbanks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $316, 647. 44 3,107. 43 50, 000. 00 Capital stock paid in. $200,000. 00 Surplus fund Undivided profits, less current 1 expenses and taxes paid 1 4,500. 00 I jNational-bank notes outstanding 43, 362. 24 State-bank notes outstanding 5, 370. 60 3, 689.18 13, 773. 94 4, 424. 63 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 7,025. 00 j United States deposits 39.65 |i Depositsof U.S.disbursing officers. 28,981.75 \ 5, 650. 00 j Notes and bills rediscounted. ' Bills payable 2, 250. 00 Liabilities other than those aboi^e J stated ! 488, 821. 86 Total . 8,270.19 7, 716. 04 44, 390. 00 3, 448.35 37,112.46 200.00 187, 684. 82 488, 821. 86 Montpelier National Bank, Montpelier. A. TUTTLE, President. No. 857. Loans and discounts j Overdrafts U. S. bonds to secure circulation... . U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ] Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers Due from approved reserve agents.! Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ! U. S. certificates of deposit ! Redemption fund with Treas. IT. S. j Due from Treasurer U. S $107, 073. 07 173. 06 150, 000. 00 $150, 000.00 Surplus fund Undivided profits, less current 112,100. 00 expenses and taxes paid National-bank notes outstanding. "5i,~ 850.'66' State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 53, 420. 30 j Dividends unpaid 994.11 Individual deposits i 175. 00 ; United States deposits j 2.38 \ Depositsof U.S.disbursingofficers. 15,987.10 ! 8, 709. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 j \ Liabilities other than those above ! stated 507,234.02 i Total. L. H. BIXBY, Cashier. Capital stock paid in. Total. 60, 000. 00 52, 417.63 130, 580.00 9, 119. 76 1, 334. 99 4.80 103, 776. 84 507, 234.02 National Bank, Newport. ELISHA LANE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'gbouse,furniture,andfixtures Other real estate and mortg's owned I Due from other national banks I Due from State banks and bankers . j Due from approved reserve agents. Checks and other cash items Exchanges for clearing house j Bills of other nationalbanks j Fractional currency, nickels, cents.! Specie Legal-tender notes TJ. S. certificates of deposit ! Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. N"o. 2263. HOBT. J . "WRIGHT, Cashier. $299, 732. 38 j Capital stock paid in 50,000.00 i Surplus fund Undivided profits, less current expenses and toxes paid 5, 600. 00 National-bank notes outstanding- j ?>G, 500.00 State-bank notes outstanding.. 8,600. 00 .-. Due to other national banks Due to State banks and bankers.. ] 44, 703. 78 Dividends unpaid 172. 66 Individual deposits ' 300.00 I United States deposits 30.15 Depositsof U.S.disbursingofficers. 18, 277. 25 4, 230. 00 Notes and bills rediscounted . Bills payable 2, 250.00 | ! Liabilities other than those above I stated 470,396.22 Total. $100, 000. 00 18,000. 00 3,693. 62 43,600.00 15, 791.69 289,310.91 470, 396. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 8 1 VEKMONT. First National Bank, North Bennington, J . G. MCCULLOUGH, President. No. 194. S. 15. HALL, Cashier Resources. Liabilities. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation... i U . S. bonds to secure deposits ; U. S. bonds on hand j Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furiiiture,andfixturesj Other real estate and mortg's ownedj Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $148, 564.55 909.85 5D, 000.00 95, 322. 57 5, 000. 00 4,'i77.'68 54, 947.14 262. 09 "i," 200." 66' 45.76 16, 055. 50 1,100. 00 6, 750. 00 Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 3, 733. 87 132,360. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 629. 23 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 147, 012. 04 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 484, 335.14 484, 335.14 Northfield National Bank, Northfield. GEO. NICHOLS, President. No. 1638. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $88, 662. 83 23.03 40, 000. 00 4,000. 00 39,491.83 CHAS. A. EDGERTON, J R . , Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current I expenses and taxes paid j National-bank notes outstanding, j State-bank notes outstanding..."..'• 300.00 445.44 35,300. 00 i 6, 550. 00 Due to other national banks Due to State banks and bankers.. 5,920. 65 508.18 4oo. 66 43.79 4,123. 00 1, 400. 00 Dividends unpaid 1, 800. 00 192, 923. 31 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 9, 747. 67 98.00 47, 032. 20 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 192, 923. 31 First National Bank, Orwell. S. N. "WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house 1 1 1 of other national banks 51s Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. S. WILCOX, Cashier. No. 228. $173,505.11 Capital stock paid in. $100, 000. 00 3, 337.83 50, 000.00 Surplus fund 50, 000. 00 Undivided profits, less current 14, 254.45 expenses and taxes paid 44, 370. 00 National-bank notes outstanding. 24, 920. 00 State-bank notes outstanding 6, 000. 00 16, 922. 29 Due to other national banks 910. 79 Due to State banks and bankers. 25.64 11, 238. 35 Dividends unpaid 495. 00 261. 37 Individual deposits 89,106. 39 277. 00 United States deposits 74.36 Deposits of U.S.disbursing officers . 5, 753.10 2, 750. 00 Notes and bills rediscounted. Bills pay able 2, 250. 00 Liabilities other than those above stated 298,225.84 Total. 298,225 84 1182 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. First National Bank, Poultney. No. 25i5. J. B. BEAMAN, President. A. II. VAKNEY, Cashier. Resources. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation... j U. S. bonds to secure deposits ' U. S. bonds on hand ' Premiums on IT. S. bonds Stocks, securities, etc Bauk'ghouse,furniture,and fixtures Other real estate and mortg' s owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $91,933. 44 639. 70 12, 500. 00 1,700.00 G, 300. 00 1, 030. 00 4, 844.16 1,115.76 1, 862. 00 135. 91 4, 088. 85 7, 000. 00 562. 50 Capital stock paid in Surplus ifund. and Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 7, 705. 00 535. 65 11, 250. 00 60.02 465. 00 63, 696. 65 Notes and bills rediscounted Bills payable Liabilities other than those above stated 133,712.32 Total . $50, 000. 00 Total . 133,712. 32 National Black River Bank, Proctorsville. No. 1383. GEO. S. HILL, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ' Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's o wned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationall>anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . CHAS. "W. WHITCOMB, Cashier. $81,398.12 I; Capital stock paid in. 506.6: 20, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6,945.24 State-bank notes outstanding 1, 400. 00 Due to other national banks 749. 70 Duo to State banks and bankers. 3,118. 09 Dividends unpaid 1, 927.00 Individual deposits 473. 00 United States deposits 50.1L Deposits of U.S.disbursingofficers. 3, 380. 00 2,400. 00 Notes and bills rediscounted. Bills payable 900. 00 Liabilities other than those above stated Total . 123,247.94 $50, 000.00 20, 000? 00 1, 203. 36 17, 200. 00 92.50 34, 752. 08 123,247.94 Randolph National Bank, Randolph. WM. H. DU BOIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank' g house, furniture, and fixtures Otherreal estate and mortg's ownedj Due from other national banks ! Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 2274. C. Gr. Du Bois, Cashier. $98, 767. 36 i Capital stock paid i n . 313.41 19, 000. 00 Surplusfund Undivided profits, less current 6, 000. 00 expenses and taxes paid 1,170. 00 National-bank notes outstanding. 49,032. 25 State-bank notes outstanding 1, 300. 00 1, 643. 60 1, 003.14 4,186.00 9.70 9, 321. 00 3,000. 00 ""855." 00" 10.00 195, 605.46 $75, 000.00 15, 000.00 15, 057.57 16,400. 00 Duo to other national banks Due to State banks and bankers . Dividends unpaid ! Individual deposits United States deposits j Deposits of U.S.disbursingofficers . 51.00 74, 096. 89 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 195, 605.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1183 VERMONT. Baxter National Bank, Rutland. J . W. CRAMTON, President. No. 1700. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU.8. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $420, 640. 27 4, 546. 70 150, 000. 00 1, 700. 00 132, 260. 00 5, 777. 00 259. 77 28, 022. 39 229. 88 "i," 550." 66 192. 49 14, 290.10 11, 850.00 Capital stock paid in. $300,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.) State-bank notes outstanding 6,326.46 135, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 14, 235. 95 70, 000. 00 130. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Notes and bills rediscounted Bills payable 232, 376.19 20, 000. 00 6, 750. 00 Liabilities other than those above stated Total 778,068. 60 Total. GrEO. R. BOTTOM, Cashier. 778,068. 60 Clement National Bank, Rutland. WALLACE C. CLEMENT, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I Premiums on U. S. bonds ' Stocks, securities, etc j Bank'ghouse,furniture,andfixtures 1 Otherreal estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. O. F . HARRISON, Cashier. No. 2950. $358, 408.83 1, 554. 79 50, 000. 00 Capital stock paid in. 63,400. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 33, 213. 44 Due \o other national banks Due to State banks and b a n k e r s . . 65,422. 55 6, 798. 20 360. 38 30, 230. 20 20,190. 00 I $100, 000. 00 50, 000. 00 5, 212.91 40, 260. 00 69, 290. 22 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 3G6, 675. 96 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 631, 828.39 stated Total. 389. 30 631, 828. 39 Killington National Bank, Rutland. E. P . GTILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on band . .. Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency.nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2905. GEO. K. MONTGOMERY, Cashier. $141, 588.15 Capital stock paid in | $100, 000. 00 3, 506.87 50, 000. 00 Surplusfund 20, 000.00 Undivided profits, less current expenses and taxes paid I 1,487.80 5, 500.00 National-bank notes outstanding. | 41,710. 00 State-bank notes outstanding I 3, 300.00 Due to other national banks Due to State banks and bankers. 34, 490. 80 Dividends unpaid 57.00 2,501. 72 Individual deposits 91, 837.00 2, 930. 00 United States deposits 47.61 DepositsofU.S.disbursingofiicers7, 888. 65 1, 088, 00 Notes and bills rediscounted . Bills payable 2, 250. 00 Liabilities other than those above stated 255,091.80 Total. 255, 091.80 1184 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. Merchants' National Bank, Rutland. JOHN 1 T BAXTER, President. S. No. 3311. CHAS. W. MUSSEY, Cashier. Resources. Loans and discounts [ Overdrafts U. S. bonds to secure circulation... [ TJ. S. bonds to secure deposits. . TJ. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures' Other real estate and mortg's owned . ' Due from other national banks | Due from State banks and banker's.'. Due from approved reserve agents.! Checks and other cash items \ Exchanges for clearinghouse '. Bills of other national banks I Fractional currency, nickels, cents. I Specie | Legal-tender notes ! U. S. certificates of deposit !. Redemption fund with Treas. U. S.I Due from Treasurer U. S J. Liabilities. $441, 087.18 878. 55 25, 000. 00 Capital stock paid in 612, 352.84 Total . $100, 000. 00 Surplus lund fund Undivided profits, less current expenses and taxes paid 2,500.00 National-bank notes outstanding. 50,073.1)5 . State-bank notes outstanding 2 500.00 Due to other national banks 22,082.40 j Due to State banks and bankers. 41,282. 74 I Dividends unpaid 9,021.81 Individual deposits ""l," 385.00*; United States deposits 276.21 , Deposits of U.S.disbursingoffieers 0,040.00 5,500.00 j Notes and bills rediscounted Bills payable 1,125.00 i Liabilities other than those above ; stated , Total . 16, 500. 00 5,206. 29 21, 970. 00 35, 880. 88 123. 00 432, 672. 67 612, 352.84 Rutland County National Bank, Rutland. W M . T . W. RIPLEY, President. Loans and discounts \ Overdrafts ! U. S. bonds to secure circulation... ! U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds j. Stocks, securities, etc i Bank'ghouse, furniture, and fixtures . Other real estate and mortg's owned . Due from other national banks Due from State banks and bankers. Due from aj^proved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S- Due from Treasurer U. S No. 820. $541, 410. 03 2, 094.14 50, 000. 00 16,789.81 Surplus fund Undivided profits, less current expenses and taxes paid National bank notes outstanding. State-bank notes outstanding $300, 000. 00 75, 000. 00 70, 672. 52 42, 600. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 34, 325. 61 71, 841. 36 Individual deposits "~7," 500." 00" United States deposits Deposits of U.S.disbursing officers. 949. 12 129, 895. 54 10, 843. 89 3, 853. 78 40, 836. 69 868. 52 40, 339. 05 7, 000. 00 2, 250. 00 400. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 724,735.03 |! Total . HENRY F . FIELD, Cashier. Capital stock paid in. 724, 735.03 Total. Welden National Bank, Saint Albans. E. C. SMITH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure dej)osits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furn iture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3482. $279,397. 53 2.05 35, 000. 00 20, 000. 00 9, 066. 00 212.37 156, 415. 63 770.55 18, 230. 00 88.48 26, 844. 02 3,050. 00 JOHN C. STRANAHAN, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000. 00 30, 000. 00 24,121.41 31, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 364,964. 22 Notes and bills rediscounted. Bills payable 1, 575. 00 Liabilities other than those above stated 550, 585. 63 Total. 540,585.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 8 5 VERMONT. First National Bank, Saint Johnsbury. No. 489. A. H. MCLEOD, President. HOMER E. SMITH, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixture.s Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total Liabilities. $601, 276. 23 1,571.65 50,000.00 Capital stock paid in $400,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 6, 000. 00 National-bank notes outstanding. 31,531. 75 State-bank notes outstanding 17, 000.00 1, 395. 56 Due to other national banks 390.00 Due to State banks and bankers.. 15, 981. 97 5, 253. 91 Dividends unpaid 5,721.31 44, 220. 00 15, 789. 33 528. 26 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 230. 00 71.89 14, 344. 00 3,100. 00 Notes and bills rediscounted Bills payable 2, 250. 00 760. 00 Liabilities other than those above stated 751,156.96 52,000.00 Total 167, 076. 69 45, 821. 37 20, 000. 00 751,156. 96 Merchants' National Bank, Saint Johnsbury. L. D. HAZEN, President. No. 2295. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $429, 461. 71 1, 549. 98 50,000.00 5, 000. 00 14, 726. 49 27, 939. 82 HERBERT W. ALLEN, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund # Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 2, 533. 88 1, 876. 03 Due to State banks and bankers.. 5,742.17 4,231.97 184. 00 Dividends unpaid '" 6," 849." ob" Individual deposits 256. 98 United States deposits 7, 000. 00 Deposits ofU.S.disbursing officers. 7^500. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 556, 943. 89 8, 300. 00 10, 800.04 43, 890.00 Total . 173, 795. 71 10,000.00 556,943. 89 First National Bank, Springfield. No. 122. C. E. RICHARDSON, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 17, 800. 00 1,500. 00 53, 056. 64 224. 32 75 Gr. L.CLOSSON, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits 285."66" United States deposits 75.81 Deposits of U. S .disbursing officers. 8, 390. 00 6, 606. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated • 250, 794. 65 Total. CUR, PT 2 $135, 056. 23 1, 675. 65 25, 000. 00 Total. $100,000. 00 33, 700. 00 7, 308.46 22, 500. 00 318. 00 86, 968.19 250, 794. 65 1186 REPORT OF THE COMPTROLLER OF THE CURRENCY. VE ]\ T. People's National Bank, Swanton. No. 4943. J. E. FARRELL, President. E. D. WOETHEN, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts ! U. S. bonds to secure circulation... J TJ. S. bonds to secure deposits ! U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks \ Due from State banks and bankers Due from approved reserve agents. I Checks and other cash items | Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ! Redemption fund with Treas. U.S.! Due from Treasurer U. S Total. $75, 904. 99 1,475.37 12, 500. 00 200. 00 1,799.88 23, 229.16 4, 0G0.00 1, 216. 30 Capital stock paid in I $50,000.00 Surplusfund ! Undivided profits, less current expenses and taxes paid j National-bank notes outstanding. State-bank notes outstanding 2, 768. 25 10, 930. 00 380.00 Due to other national banks Due to State banks and bankers. 9, 079. 08 Dividends unpaid 2, 750. 71 Individual deposits 565. 00 V nited States deposits 8. 85 Depositsof U.S.disbursing officers. 3, 938. 00 1, 200.00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 65, 351.59 1, 000. 00 8, 000.00 Total. 138, 429.84 138, 429. 84 Farmers' National Bank, Vergennes. C. W. READ, President. Loans and discounts \ Overdrafts I U. S. bonds to secure circulation,.. U. S. bonds to secure deposits U. S. bonds oil hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,f urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S D. H. LEWIS, Cashier. No. 2475. $161,392.38 ji Capital stock paid in. $75,000. 00 1,947.39 | 20,000.00 ! Surplus fund 6, 800. 00 fund. Undivided and taxes paid, 1, 016. 33 expenses profits, less current 2, 200. 00 | National-bank notes outstanding. 18, 000. 00 781. 28 S State-bank notes outstanding 4,000.00 613. 58 Duo to other national banks 3, 000.00 Due to State banks and bunkers.. 2, 8L4. 53 Dividends unpaid 2, 462. 00 Individual deposits 1, 501. 00 U nited States deposits 164. 43 Deposits of U.S. disbursing officers 6, 838. 00 1, 000. 00 Notes and bills rediscounted Billspayable 900. 00 Liabilities other than those above stated 576. 00 72,170. 05 24, 825. 05 4, 000. 00 Total. 206, 001.01 National Bank, Vergennes. H. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds ! Stocks, securities, etc j Bank'ghouse.furniture.andfixtures! Other real estate and mortg's owned! Due from other national banks { Due from State banks and bankers Dne from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. No. 1364. $116, 797. 96 2,120. 92 150, 000. 06 41,039. 00 5, 000. 00 26, 734. 34 1,128.19 2, 732. 00 31.29 4, 907. 00 6, 750. 00 357, 240. 70 ANDREW ROSS, Cashier. Capital stock paid in \ Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid ' Individual deposits United States deposits Deposits of U.S.disbursing officers. j. $150,000. 00 16, 000. 00 1,339.38 135,000.00 127.00 54, 774. 32 Notes and bills rediscounted Bills payable Liabilities other than, those above stated Total. 357, 240.70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 8 7 VERMONT. Waterbury National Bank, Waterbury. W. P. DILLINGHAM, President. No. 1462. CHAS. WELLS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $154,314.73 1, 320. 62 35,000.00 9,100.00 "642.16 27,185. 09 685. 64 Capital stock paid in. 30,000.00 7,069. 97 31,100. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 394.57 Individual deposits 70.00 United States deposits 96.22 Deposits of U.S.disbursing officers 8, 763. 00 1, 000. 00 Notes and bills rediscounted. Billspayable 1, 575. 00 Liabilities other than those above stated 239,752.46 Total. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 71,187.92 Total. 239, 752.46 National Bank of Newbury, "Wells River. No. 1406. F . DEMING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $417,115. 88 20,437. 28 150,000. 00 NELSON BAILEY, Cashier. Capital stock paid in I Surplusfund Undivided profits, less current 1, 000. 00 expenses and taxes paid 16, 750. 00 National-bank notes outstanding. 2, 495.00 State-bank notes outstanding 6,453. 58 1, 208. 29 Due to other national b a n k s . . . Due to State banks and bankers.. 8,429. 77 1,457. 70 Dividends unpaid 130. 78 Individual deposits 750.00 United States deposits 66.51 Deposits of U.S.disbursing officers. 20, 265. 60 4, 000. 00 Notes and bills rediscounted. Billspayable 5,420.00 Liabilities other than those above stated , 655, 980. 39 Total. $300,000.00 60,000.00 7,598.20 108,400.00 24, 202.59 19,773.54 136, 006. 06 655, 980.39 National Bank, White River Junction. GEO. W, SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3484. $357, 797. 90 1, 078. 32 100, 000.00 70,000. 00 18, 622. 24 221,129. 62 17, 000. 00 63,222.13 1, 633. 88 J.L.BACON, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits * "4,"470'00' United States deposits 192. 83 Deposits of U.S.disbursing officers39, 241. 75 8, 000. 00 $100,000.00 16,500.00 2, 873. 36 90,000.00 185. 00 697, 330. 31 Notes and bills rediscounted. Bills payable 4, 500.00 Liabilities other than those above stated 906,888.67 Total. 906, 888. 67 1188 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. Woodstock National Bank, 'Woodstock. WILLIAM E. JOHNSON, President. No. 1133. FREDERICK W. WILDER, Cashier. Resources. Loans and discounts Overdrafts TL S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand I Premiums on U. S. bondvS i Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $383,687.29 111. 77 50, 000. 00 75, 216. 50 9, 000. 00 81, 682. 79 684.00 j Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits "*"892.'o6' United States deposits 181. 95 Deposits of U.S.disbursingofficers 11, 252. 75 7,000. 00 Notes and bills rediscounted. Bills payable 2, 250.00 Liabilities other than those above stated 621,959. 05 Total. $300, 000.00 60,000.00 12, 829. 69 44, 780.00 2,045.77 429.79 201, 873. 80 621,959.05 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1189 VIRGINIA. First National Bank, Alexandria. Jos. BROPERS, President. No. 651. C. R. HOOFF, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'gliouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickel3, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . Liabilities. $431, 529. 24 1, 525. 00 50, 000. 00 25,700. 00 10, 000. 00 25, 318.15 3, 050. 69 168, 353. 51 8, 641.16 1, 350. 00 219.95 51, 450. 00 28, 400. 00 2, 250. 00 2,110.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 22, 514.15 10, 094.50 Individual deposits "United States deposits Deposits of U.S.disbursingofficers. 555,634. 25 56, 660.80 45,000.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 809,903. 70 809,903.70 Citizens' National Bank, Alexandria. BBNONI WHEAT, President No. 1716. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g ho use, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $249, 341. 51 547. 21 25, 000. 00 64,840. 00 9, 700. 00 15, 777. 34 5,616.36 80, 840. 68 2, 598. 81 " 250.'00 256.10 11,322.00 41, 284. 00 1,125. 00 W M . H. LAMBERT, Cashier. Capital stock paid in ] $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid I National-bank notes outstanding. I State-bank notes outstanding.. 25, 276. 96 22,500. 00 20,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 11,953.78 2,129.79 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 326, 638.48 Notes and bills rediscounted. Bills payable Liabilities other than those above stated : Total . 508,499.01 508,499.01 First National Bank, Bedford City. T. D. BERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national b a n k s . . . . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer U, S Total. No. 4257. $190, 904. 89 917. 61 12,500. 00 1,250. 00 13, 657. 69 800. 00 2,148. 37 5,000. 00 1, 807. 24 2,184.15 55.00 171. 93 2, 472. 75 4,950.00 562. 50 239, 382.13 CHAS. L. MOSBY, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-banknotes outstanding $50, 000.00 18,000.00 5,727. 78 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividenfls unpaid 7, 255. 98 1,320.04, Individual deposits United States deposits Deposits of U.S.disbursingofficers. 89, 797. 85 Notes and bills rediscounted Bills payable 45,962.48 10, 000. 00 68.00! Liabilities other than thoseiabove stated Total . 239,382.13 1190 REPORT OF THE COMPTROLLER OF THE CURRENCY. V I R G I N I A. Dominion National Bank, Bristol. H. E. MCCOY, President. No. 4477. H.E.JONES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Tveas. IT. S. Due from Treasurer U. S Total. Liabilities. $83, 762. 35 1,193.16 25, 000.00 3,000. 00 4, 091.19 10,500.00 26, 307. 54 432. 46 8, 717. 42 1, 348. 34 660. 00 337. 25 8, 337. 50 1, 055. 00 1,125.00 Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividendsunpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 1, 929. 66 2, 261.52 94,423.43 Notes and bills red iscounted. Bills payable Liabilities other than those above stated 175, 867. 21 Total. 175, 867.21 First National Bank, Buchanan. JAMES MUNDY, President. Loans and discounts Overdrafts XL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4460. J. Z. SCHDLTZ, Cashier. Capital stock paid in. 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,375.00 National-bank notes outstanding. 400.00 State-bank notes outstanding $89, 261.26 950. 00 2,511.11 6,805.48 3.00 6,734.36 532. 59 165. 00 34.17 4,544. 50 1,000. 00 562.50 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 378. 37 308. 79 Individual deposits United States deposits Deposits of U. S.disbursing officers. 55, 962.66 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 127,378. 77 127, 378.77 People's National Bank, Charlottesville. JOHN M. W H I T E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 2594. B. C. FLANNAGAN, Cashier. $190, 883.05 647. 89 15, 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 154, 00 National-bank notes outstanding. 42,470. 00 State-bank notes outstanding $50,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 12,952.76 375.01 Individual deposits United States deposits Deposit s of U. S. dis bursin g officers. 177,644. 03 7, 786.47 960.00 2,739. 85 2,271.37 9, 438.11 2,253.00 2,125. 00 83.21 19,141. 75 12, 825. 00 697.50 309, 976.20 Notes and bills rediscounted Bills payable 40, 000. 00 4, 322.40 13, 950. 00 10,732. 00 Liabilities other than those above stated Total. 309,976. 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1191 VIBOOIA . Covington National Bank, Covington. No. 4503. R. L. PARBISH, President. J. E. ROLLINS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U, S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer XJ. S Total. Liabilities. $103, 809. 26 125. 84 12, 500. 00 1, 250. 00 610. 00 9, 099. 68 16,733.04 963. 98 32, 707. 47 1,873.23 415.00 17.54 15, 608. 85 3, 600. 00 562. 50 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 667. 00 2, 709. 09 11, 250. 00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 6, 329. 97 4,121.84 Individual deposits United States deposits Deposits of U. S.disbursing officers. 120,798.49 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 199, 876, 39 Total. 199, 876. 39 Farmers' National Bank, Culpeper. No. 3570. A, G-. WILLIS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas U. S Due from Treasurer U, S $136,102.22 444.14 12,500. 00 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 27,188. 00 State-bank notes outstanding 1, 611. 68 Due to other national banks 2,153.97 Due to State banks and bankers.. 4, 662. 69 23,876. 77 Dividends unmid 10, 000. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers. 142, 879. 67 45.00 23. 73 6, 666.10 3, 535. 00 562.50 1,977. 46 11,250.00 4,037.14 507. 53 220.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 220,871.80 Total C. J . RIXEY, Cashier. Capital stock paid in Total 220, 871. 80 Planters' National Bank, Danville. W. P. BETHKLL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1985. $247, 721. 35 1,156. 68 50, 000.00 50, 000. 00 W. J . FOWLKES, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100.000. 00 50, 000.00 13,696.28 45, 000. 00 500. 00 600. 62 7, 669. 50 8,126. 41 2, 856. 01 3, 320. 00 206.13 13, 959.10 12, 085. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United Statets deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 9,946.90 4, 378.83 117,428.79 39, 226.23 773.77 20, 000. 00 2, 250.00 Liabilities other than those above stated 400,450.80 Total. 400,450.80 1192 REPORT OF THE COMPTROLLER OF THE CURRENCY. National Bank of Fredericksburg. No. 1582. C. W. WALLACE, President. J . A. TAYLOR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. Liabilities. $232,190. 66 1, 280.14 12, 500. 00 15, 000.00 1, 700. 00 8, 492.50 11, 000. 00 395.28 4, 4150. 35 6,483. 31 590.53 40.00 151. 94 10, 208. 70 15,965. 00 Capital stock paid i n . $50,000.00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g . .*... 40, 000.00 D u e to other national b a n k s D u e to State b a n k s a n d b a n k e r s . . 4, 944. 65 182.19 12, 264.01. 11, 250.00 Dividends unpaid I n d i v i d u a l deposits United States deposits Depositsof U.S.disbursingofficers. 202, 350. 06 Notes and bills rediscounted. Bills payable 562.50 Liabilities other t h a n those above stated Total. 320,990. 91 320, 990.91 Front Royal National Bank, Front Royal. GILES COOK, Jr., President. . Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items s ad Exchanges for clearing h E l i house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes g U S. certificates of deposit tifit f U. S Redemption fund with Treas. U. S.. Due from Treasurer U. S No. 2967. $90, 799.46 246.52 12,500.00 7, 000. 00 3,361.58 11, 209. 93 106. 29 10, 491. 56 44.75 185. 00 52.05 6, 931. 40 125. 00 562.50 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 962.84 449. 38 Individual deposits United States deposits Depositsof U.S. disbursing officers. 68, 603.40 166. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 143, 616. 04 Total. J A S . A. SOMMERVILLE, Cashier. Capital stock paid i n . 143, 616.04 First National Bank, Harrisonburg. P H I L O BRADLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit npti Redemption fund with Treas. U. S Due from Treasurer U. STotal . L. C. MYERS, Cashier. No. 1572. $277,349. 77 908. 72 50, 000. 00 Capital stock paid in. $66,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 25, 000. 00 5,000. 00 National-bank notes outstanding. 2, 500. 00 State-bank notes outstanding 17, 500. 00 Due to other national banks 58, 375. 86 Due to State banks and bankers.. 4,784. 84 48, 257. 86 Dividends unpaid 193. 02 Individual deposits ~'5,"69O.'o6" United States deposits 133. 56 Deposits of U. S. disbursing officers. 19, 341. 50 28,153.00 Notes and bills rediscounted. Bills payable 2,250.00 Liabilities other than those above stated 33, 000. 00 545,438.13 Total . 19, 248. 27 38, 620. 00 1, 670.48 761. 55 386,137. 83 545,438.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1193 VIRGINI A. Loudoun National Bank, Leesburg. W M . B. LYNCH, No. 1738. President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation..XL S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,fiiriiit.ure,a«tl fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie * . Legal-tender notes U.S. certificates of deposit [Redemption fund with Treas. IT. S. Due from Treasurer U. S Capital stock paid in 10, 780. 00 4, 591. 90 260. 00 C, 216.32 955. 79 81, 506. 36 75.50 300.00 93.36 29,418. 60 8,500. 00 1,125.00 $100,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..."".. 25, 000.00 Due to other national banks Due to State banks and bankers.. 2, 370. 57 149.13 7, 874.25 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursingoffic 217,063. 29 Notes and bills rediscounted.. Bills payable Liabilities other than those above stated 375, 857. 24 Total E.H.LYNN, Cashier. Liabilities. Total . 375, 857. 24 People's National Bank, Leesburg. E. V. WHITE, President. No. 3917. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U/S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ;279, 859. 61 2, 529.15 50, 000.00 6, 000.00 8, 745. 00 10, 900. 00 3, 818. 09 340.10 77, 588. 88 533.52 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 852. 94 45, 000. 00 Due to other national banks Due to State banks and bankers.. 2, 440. 50 1, 783. 86 Dividends unpaid 15, 000.00 873. 00 Individual deposits 345.'OO" United Statesdeposits 353.74 Depositsof U.S. disbursing officers. 23,183. 30 7, 700. 00 Notes and bills rediscounted Bills payable 2, 250. 00 Liabilities other than those above stated 474,146. 39 Total. H. A. THOMPSON, Cashier. Capital stock paid in. Total . 354,196. 09 474,146.39 First National Bank, Lexington. J. T. DUNLOP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Du e from Treasurer U, S Total. No. 4314. $116, 703. 62 563.73 12, 5C0. 00 1, 350. 00 856. 00 2,431.22 4, 000. 00 907. 85 650.71 10, 511. 24 89. 32 65.00 28.86 5, 591. 20 1, 500. 00 562.50 158, 311.25 B. E. VAUGHAN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding . State-bank notes outstanding 2,008.17 31,250.00 Due to other national banks Due to State banks and bankers.. 5,163.21 200. 73 5, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 84, 689.14 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 158, 311. 25 1194 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. First National Bank, Lynchburg. R. H. T. ADAMS, President. No.1558. E. P . MILLEB, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Liabilities. $376, 540. 07 489. 04 37, 500. C O Capital stock paid in $150,000.00 40, 000.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 9, 257. 61 3, 036.61 Individual deposits 3,000.00 United States deposits 22.94 j Deposits of U. S.disbursing officers. 13,615.00 22,111.00 I Notes and bills rediscounted. Bills payable 1, 687.50 Liabilities other than those above stated 297,477.27 4, 500. 00 22, 338. 25 24, 000. 00 2, 095. 62 10,141.57 24,231. 02 4, 694. 77 546,966.78 j| Total. ] Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 13, 895. 29 33, 300.00 546,966. 78 Lynchburg National Bank, Lynchburg. "WM. V. WILSON, J R., President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks.. Fiactional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total . No. 1522. $759, 656.68 661.51 50,000. 00 50,000. 00 G. W. MOORE, J R . , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 15, 204. 96 State-bank notes outstanding..... 33, 500. 00 ! Due to other national banks 26, 565. 24 Due to State banks and bankers.. i 21, 850. 34 68, 540. 76 Dividends unpaid. 8,861. 08 Individual deposits. 1, 615. 00 United States deposits j 107.04 Depositsof U.S.disbursingofficers.i 30, 350. 00 25, 000. 00 Notes and bills rediscounted. Bills payable 2,250.00 ; Liabilities other than those above !| stated Total 1,094,162.61 $250, 000. 00 75, 000. 00 25, 001. 00 45,000. 00 45, 062. 07 35,116. 52 573, 983. 02 28,154.80 16,845. 20 1, 094,162. 61 National Exchange Bank, Lynchburg. GEO. M. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S, Total . No. 2506. $408,361.30 972.52 25, 000.00 TIPTON D. JENNINGS, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 000.00 2. 235. 35 5,000. 00 30,500. 00 Due to other national banks 9,092. 55 Due to State banks and bankers.. 10,693.49 44,437.48 I Dividends unpaid 28,459.64 || Individual deposits 540. 00 United States deposits 1,012.40 Depositsof U. S.disbursing officers. 6, 220. 00 26, 730.00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated $100, 000. 00 50, 000. 00 14, 827. 58 22, 500. 00 5, 986. 23 24,195. 23 386,870. 69 604,379. 73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1195 VIRGINIA. People's National Bank, Lynchburg. C. M. BLACKFORD, President. No. 2760. J. W. IVEY, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. $792,211. 61 1, 222. 29 50, 000. 00 6, 000. 00 23, 743. 36 23, 000. 00 14, 500. 00 2, 370.72 15, 357. 21 24,454.81 6, 687. 76 800.00 127. 64 29,914.00 40, 000. 00 2,250. 00 Capital stock paid in. $205,300.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 120, 000. 00 Due to other national banks Due to State banks and bankers.. 19, 091. 01 10, 057. 22 23, 800. 91 45, 000. CO Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 609,390.26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,032,639.40 1, 032, 639.40 Total. Mount Jackson National Bank, Mount Jackson. J . I. TRIPLBTT, President. No. 3209. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $77,502. 94 317.58 32,500. 00 4, 225. 00 C. L. BOWMAN, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding *2,'084. 58 491. 35 2, 506. 22 200.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 1, 510. 00 United States deposits 32. 66 Depositsof U.S.disbursingofficers. 782. 25 1,239.00 Notes and bills rediscounted Bills payable 1,462.50 Liabilities other than those above stated Total. 124,854. 08 9, 000.00 779.18 29, 250.00 1,096. 61 860.11 33,868.18 124, 854. 08 First National Bank, Newport News. W. A. POST, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. A. WILLETT, Cashier. No. 4635. $140,574.98 270.14 25, 000. 00 2, 000. 00 62566.60 9,855. 91 3, 007.44 19, 531.10 763. 09 1,500. 00 86.70 3,472. 00 7, 236. 00 1,125. 00 276, 922. 36 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 986.26 22,500. 00 Due to other national banks Due to State banks and bankers.. 668. 73 18, 000.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 132, 767. 37 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 276, 922.36 1196 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIBOINIA. City National Bank, Norfolk. No. 4743. A. E. KRISE, President Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $351,089.15 890. 03 200, 000. 00 24,513. 75 64,842. 82 7, 227. 84 4,189.34 14, 769. 78 12,084. 60 2,161.70 6,477.22 1,022. 00 744. 80 9,650.80 7,130. 00 "5," 8"69*7b" Capital stock paid in. $200, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 13, 000. 00 1,402.62 180, 000.00 Due to other national banks Due to State banks and bankers Dividends unpaid , 27, 629.58 24, 505.12 Individual deposits United States deposits Depositsof U.S.disbursingofficers 236,012. 21 54.00 Notes and bills rediscounted Bills payable 10, 000. 00 Liabilities other than those above stated 20, 000. 00 Total. 712,603. 53 Total. B. W. LEIGH, Cashier. 712, 603.53 Norfolk National Bank, Norfolk. J . G. WOMBLE, President. C. HARDY, Cashier. No. 3368. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house 1 Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. U. S.' Due from Treasurer U. S $989,266.32 ! 917.97 I 200,000.00 ! 265,000.00 I 49, 000. 00 41,250. 00 439, 660. 50 75,000.00 I 68, 297. 27 48, 565. 79 89,158. 25 1,029.76 15, 464. 05 6, 055. 00 752. 77 136, 037. 00 80, 560.00 9,000.00 j $400, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 48, 786. 44 180, 000. 00 Due to other national banks Due to State banks and bankers.. 81, 015. 56 78, 870. 08 Dividends unpaid 38.50 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 1, 348, 339.84 26, 669. 45 211,294.81 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total Total 140, 000. 00 2,515,014.68 First National Bank, Onancock. J. P. L. HOPKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4940. $65, 555.21 Capital stock paid in. 88.29 12, 500. 00 Surplus fund 19, 983. 75 6,002. 03 35, 675. 44 6.99 225. 00 1, 265. 41 6, 669. 90 4, 250.00 552.50 152,774. 52 O. L. PARKER, Cashier. $50, 000. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 984.83 11,050.00 Due to other national banks Du e to State banks and bankers.. Dividends unpaid 5,166.13 Individual deposits United States deposits ! Deposits of U.S.disbursingofficers.1 81,573.56 Notes and bills rediscounted Bills payable ' I Liabilities other than those above stated Total . 152, 774.52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1197 VIBOOI A. National Bank, Petersburg. B. B. VAUGHAN, No. 3515. President. CARTER E. BISHOP, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furnitui e, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $285, 717. 23 4, 479. 70 25, 000. 00 44, 656. 76 8,000.00 3, 000. 00 50, 786. 53 9, 483. 30 20, 211. 28 13, 395. 05 2,165. 00 217. 61 31, 262. 80 20,840. 00 I, £25.66 520, 340. 26 Total. Capital s t o c k p a i d i n . $100,000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 38, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers 2, 685. 51 966. 82 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 6, 625.59 20, 580. 00 260.00 351, 222.34 520,340. 26 Pulaski National Bank, Pulaski. No. 4071. "W. H. BBAMBLITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. A. L. BOULWARE, President. $154, 443.98 387. 04 12, 500. 00 2,070. 54 1, 300. 00 2, 500. 00 12,286.44 234.87 20, 423. 81 720. 00 49.13 6, 400. 00 2,150. 00 562.50 216, 028. 31 2,997,321.89 $50, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25, 000.00 Due to other national banks Due to State banks and bankers.. 2, 296. 68 1, 063. 90 5, 297.12 10, 930.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. First National Bank, Richmond. No. mi. $2,133, 328.15 Loans and discounts 903.15 Overdrafts 150, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 13,625.00 Premiums on U. S. bonds 180, 475.12 Stocks, securities, etc 37, 322.29 Bank'g house, furniture, and fixtures 8, 639.55 Other real estate and mortg's owned 106, 658.49 Due from other national banks 60, 351.-80 Due from State banks and bankers. 152, 260. 76 Due from approved reserve agents. Checks and other cash items 32,339. 23 Exchanges for clearing house 18, 709.00 Bills of other national banks 1, 365. 85 Fractional currency, nickels, cents. 31, 594. 00 Specie 63, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 6,750.00 Due from Treasurer U. S Total "W. F . NICHOLSON, Cashier. Capital stock paid in 111,440.61 10,000. 00 216, 028. 31 H. C. BURNETT, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers..|i Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomcers-1 Notes and bills rediscounted... Bills payable 97, 682.16 103,127. 80 120. 00 1,443, 226. 40 150, 000. 00 Liabilities other than those above stated Total 2,997,321.89 1198 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. Merchants' National Bank, Richmond. JOHN P . BRANCH, President. No. 1754. J . P . GLENN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $950, 931.18 3, 781. 62 200, 000.00 200, 000. 00 20, 000. 00 132,241.65 79, 500. 00 25, 399. 48 25, 294. 41 208,508.16 666.43 24, 035. 41 3, 318. 00 821. 06 59,812. 25 10,000. 00 4, 580. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers. Dividends unpaid 131, 683. 64 320, 949.60 Individual deposits United States deposits DepositsofU.S.disbursingofficers- 690, 279. 59 166, 909. 85 17,083.18 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . Total 1, 948, 889. 65 National Bank of Virginia, Richmond. GEO. L. CHRISTIAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Barik'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. J. B. PACE, President. No. 1125. $802, 206. 61 4, 032. 40 50,000.00 6, 000. 00 21, 032. 26 56, 898. 34 4, 543. 42 21, 309. 94 9,158. 30 90, 815. 54 275.23 25,106. 51 1, 709. 00 679.15 7, 000. 00 15, 000. 00 2, 250. 00 .75 1,118, 017. 45 2,973,996.45 $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 60, 000. 00 11, 074. 20 44, 990.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 23, 944. 66 34, 293. 07 Individual deposits United States deposits Deposits of U.S.disbursingonicers. 548,106. 52 Notes and bills rediscounted. Bills payable 609. 00 95, 000. 00 Liabilities other than those above stated Total Planters' National Bank, Richmond. No. 1628. $1, 840,153. 73 Loans and discounts 11,610.52 O rerdrafts 300, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 44, 625. 00 Premiums on TJ. S. bonds 248,156. 25 Stocks, securities, etc 104, 826. 62 Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks 67,351.49 Due from State banks and bankers. 44, 051. 06 Due from approved reserve agents. 131, 660. 01 Check s and other cash items 702.51 Exchanges for clearing house 80, 949. 30 Bills of other national banks 7, 000.00 Fractional currency, nickels, cents. 1, 349. 46 Specie 43,060. 50 Legal-tender notes 35, 000.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 13, 500. 00 Due from Treasurer U. S Total J . W. LOCKWOOD, Cashier. Capital stock paid in. 1,118,017.45 RICH. H. SMITH, Cashier. Capital stock paid i n . $300,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 700,000. 00 56, 792. 91 264,780.00 Due to other national banks Due to State banks and bankers.. 12, 800. 75 23, 975. 78 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingonicers. Notes and bills rediscounted. Bills payable 1, 465, 647. 01 150,000.00 Liabilities other than those above stated Total 2,973,996.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1199 VIRGINIA. First National Bank, Roanoke. No. 2737. H. S. TROUT, President. J. W. SHIELDS, JR., Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total. Liabilities. $455, 626. 25 498. 42 30, 000. 00 5, 402.00 3, 716. 63 761.39 34. 517. 81 27i 288.42 78, 502. 81 5,061.92 10, 000. 00 676.86 42, 273. 00 22,430. 00 1,350.00 500. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6,917.54 2, 946. 61 Individual deposits i United States deposits |. Deposits of U.S.disbursingofficers. j. Notes and bills rediscounted Bills payable 32, 750.55 27, 000. 00 448, 990.81 j. j. Liabilities other than those above stated 718,605.51 Total . 718, 605. 51 Commercial National Bank, Roanoke. No. 4026. J . W. COON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $203, 309. 87 1, 272. 00 25, 000.00 11, 570. 00 1,500.00 16, 245. 61 1,453. 99 4,170. 20 7,173.10 2,068. 65 ii," 666." 66" 89.72 8, 388. 50 6, 000. 00 i,*i25."66" J. C. DAVENPORT, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... 2, 610.69 22, 500. 00 Due to other national banks Due to State banks and bankers.. 4, 080. 28 3, 027. 77 Dividends unpaid 37, 000. 00 2.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted Bills payable 110, 249.40 12, 896. 50 Liabilities other than those above stated 292, 366. 64 Total 292, 366. 64 National Exchange Bank, Roanoke. No. 4027. T. T. FISHBURNE, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . 5195,014. 97 36. 50 25, 000.00 2, 460. 00 3, 729. 97 3,557.18 10,103. 91 203.65 3,014. 66 5, 686. 35 726.46 "l" 965.'66' 85.18 3,497. 75 5, 000. 00 1,125. 00 400. 00 261, 606. 58 JUNIUS B. FISHBURNE, Cashier. Capital stock paidin Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 20,000. 00 1, 757. 61 22, 500.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 16, 453.25 545. 81 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 83, 349.91 Notes and bills rediscounted Bills payable Liabilities other than those above stated 7, 000. 00 10, 000.00 Total. 261,606. 58 1200 REPORT OF THE COMPTROLLER OF THE CURRENCY. YIROINIA. Farmers' National Bank, Salem. No. 1824. JAS. CHALMERS, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on II. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estateandmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer C S $180,919. 92 5U.64 18, 750. 00 1,483.54 3, 054. 43 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 250. 00 United States deposits 56.95 Deposits of U.S.disbursing officers. 4, 413. 65 5, 775. 00 Notes and bills rediscounted. Bills payable 13,473.29 1,825.45 14, 265. 36 472.66 843. 75 246, 095.64 Total. W. H. RUTHRAUFF, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Liabilities other than those above stated Total. $75, 000.00 37, 500. 00 5, 634.75 16, 425. 00 1, 477. 73 213.10 109, 845.06 246, 095. 64 Augusta National Bank, Staunton. No. 2269. V M . PATRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on 17. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $265, 704.12 5,994. 25 100,000.00 W. P. TAMS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits 790.00 United States deposits 12.85 Depositsof U.S.disbursing officers. 1, 000. 00 9, 900. 00 Notes and bills rediscounted Bills payable 2,150. 00 Liabilities other than those above stated 437, 664.98 Total. 14,124. 02 2,986. 58 10,000. 00 6,625. 03 3,436. 09 2, 846. 88 4, 403. 43 23, 890. 49 911.84 14, 300.00 1, 033. 78 90. 000. 00 206,420. 00 8, 800. 00 437,664. 98 National Valley Bank, Staunton. JOHN ECHOLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total No. 1620. H. A. WALKER, Cashier. $200,000.00 Capital stock paid in. Surplus fund 300,000.00 Undivided profits, less current expenses and taxes paid 33,364. 92 45,000, 00 National-bank notes outstanding. 4,500.00 State-bank notes outstanding $843, 326. 97 1,123.21 50,000. 00 50, 000. 00 18, 034. 48 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits 1,710. 00 United States deposits 396. 92 Deposits of U. S. dish ursing officers. 16,417.16 15,211.27 80,899.98 1,806. 43 103, 846.75 14,700.00 2,250.00 20, 891. 39 14, 653.34 545, 313. 52 45,000.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 1,204, 223.17 Total 1,204,223.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1201 VIRGINIA. Shenandoah Valley National Bank, Winchester. fl. S. SLAGLE, President. No. 1635. JNO. W. RICE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $479,350. 62 4, 529. 48 50, 000. 00 2, 050. 00 6, 020.50 27, 655.46 17, 000. 00 30,158. 69 9, *72. 24 44,861. 63 848. 07 1, 095. 00 570.00 52,186. 00 2,526. 00 2, 250. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding.. 100,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 14, 586.57 3,091.41 Individual deposits United States deposits Deposits of U. S .disbursing officers. 435,525. 89 31, 514. 82 45, 000. 00 855.00 Notes and bills rediscountedBills payable Liabilities other than those above stated 730, 573.69 Total. 730, 573.69 1202 REPORT OF THE COMPTROLLER OF THE CURRENCY. W A S H I N G T ON. First National Bank, Aberdeen. No. 4407. B. F . JOHNSTON, President. H. A. HAYES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts * U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $58, 681.14 1, 068. 83 12, 500. 00 1,500.00 340. 48 2, 000. 00 16,345.32 2, 610. 93 2, 026. 80 6, 602. 32 176. 67 325.00 15.21 7, 317. 30 1,622. 00 562.50 | Capital stock paid i n . $50, 000.00 S u r p l u s fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 769. 61 11,250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable 46,192. 77 5, 481.92 Liabilities other than those above stated 113, 694. 30 Total. 113, 694. 30 First National Bank, Chehalis. No. 4203. NOAH B. COFFMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfi xtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $73, 276. 44 8,315. 65 12, 500. 00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National-bank notes outstanding. 1, 497. 96 State-bank notes outstanding 19, 245. 00 4, 273. 34 Due to other national banks 1, 338. 43 Due to State banks and bankers.. 5, 908. 38 Dividends unpaid. 84.65 Individual d iposits < United States deposits .05 Deposits ofU. S.disbursing officers. 6, 261.50 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above s tated 134,263.90 Total. J . T . COFFMAN, Cashier. Capital stock paid in. 10, 350. 63 2, 741. 29 11, 250. 00 5. 04 1Z. 4G 55, 903. 88 4, 000.00 134, 263. 90 Total. First National Bank, Cheney. D. F . PERCIVAL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4542. $48, 927. 82 " 12," 500." 66 1, 500.00 2, 588.54 15, 664.70 506.71 4, 993.55 548.44 1.03 2.10 501.00 6, 000. 00 C. A. HUTTON, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 1, 000. 00 7, 645.00 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 386. 21 37.41 Individual deposits United States deposits Deposits of U.S.disbursing officers. 18,977.77 Notes and bills rediscounted. Bills payable 562. 50 5,000.00 Liabilities other than those above stated 94, 296.39 Total. 94, 296. 39 REPORT OP THE COMPTROLLER OF THE CURRENCY. 1203 WASHINGTON. First National Bank, Colfax. No. 3076. W. F. BURRELL, President. Eesources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. I D ue from Treasurer IT. S Total. L. D. WOODWARD, Cashier. Liabilities. $160,019. 89 2,123.04 25, 000. 00 2, 250. 00 14,790 40 14,447.55 55,629.74 7, 877.46 5, 577. 47 919. 48 60.50 95." 00" 2.25 15, 069. 00 125. 00 1,125 00 • 305, 111. 78 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 100, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. * 3, 322. 93 93.73 State-bank notes outstanding Individual deposits United States deposits Deposits of U.S.disbursing officers. "22," 5oo." 66 79,195.12 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 305,111.78 Second National Bank, Colfax. ALFRED COOLIDGE, President. Loans and discpunts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3119. J. J. HUMPHREY, Cashier. $60, 000. 00 Capital stock paid in. ;280, 962.18 5,317.10 15, 000. 00 400. 00 13, 636.16 11, 937. 35 28, 958. 88 Due to other national banks 6,410. 68 17,551.77 Due to State banks and bankers.. 19,865. 50 Dividends unpaid 362. 73 Individual deposits United States deposits 66.90 DepositsofU.S disbursingofficers. 29, 470. 35 1, 068. 00 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above stated ' 431, 682. 60 Total . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 100, 000. 00 2,889.11 13, 500. 00 606.14 838.57 233,848. 78 20,000. 00 431, 682. 60 First National Bank, Colton. E. P. McCOLLUM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. E. L. BARNETT, Cashier. No. 4788. $50, 000.00 Capital stock paid in Surplus fund 2,000.00 Undivided profits, less current expenses and taxes paid 11,887.86 National-bank notes outstanding. 11, 250.00 1, 687.14 State-bank notes outstanding. $60, 375. 83 483.76 12, 500. 00 4, 331. 01 1, 391.18 Due to other national banks 1, 346.19 421. 40 Due to State banks and bankers.. 1,166.13 Dividends unpaid 91.31 Individual deposits 7, 422.87 Bills payable 3, 500. 00 180. 00 United States deposits .65 Deposits of U.S.disbursingofficers. 1,506. 25 200. 00 Notes and bills rediscounted. 562. 50 6,152.04 Liabilities other than those above stated Total . 16,152.04 1204 REPORT OF THE COMPTROLLER OF THE CURRENCY. W ASHHGTON, Big Bend National Bank, Davenport. N". FRED. ESSIG, 1 resident. No. 4002. CHARLES C. MAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT, S Total . Liabilities. $114, 891. 97 9, 299.15 12,500.00 1,400. 00 7, 849. 48 2, 332. 72 4, 041. 78 15, 327.48 Capital stock paid in $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 13,127. 24 I Dividends unpaid. 6, 935. 33 Individual deposits 365. 00 United States deposits i. 32.80 Deposits of U.S.disbursingoffieers. I. 12, 273. 00 4,503. 00 Notes and bills rediscounted Bills payable ""*562."50" . ! Liabilities other than those above 53, 429. 00 10, 850. 00 5, 212. 65 634. 29 85, 315. 51 stated Total . 205,441.45 205, 441. 45 Citizens' National Bank, Dayton. H . H . W O L F E , President. Total. J . W. JESSEE, Cashier. No. 4473. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $60, 757.17 347.19 12, 500. 00 1, 500. 00 7, 234. 01 1,921.35 761.00 2, 762. 32 4, 369. 69 766. 42 298. 06 Capital vStock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 2, 000. 00 3, 067. 38 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits 255." 6o" United States deposits 1.35 Deposits of U.S. disbursing officers. 31, 777. 90 1, 290. 00 I Notes and bills rodiscounted. Bills payable 212. 50 Liabilities other than those above stated 126, 753. 96 $50,000.00 Total . 60,436. 58 126, 753. 96 Columbia National Bank, Dayton. F. W. GUERNSEY, Cashier. No. 2772. $138, 980. 08 Capital stock paid in. Loans and discounts $6o7ooa"6o 1, 705. 80 Overdrafts 15, 000. 00 Surplus fund U. S. bonds to secure circulation... 12, 374.23 U. S. bonds to secure deposits Undivided profits, less current 8,176.16 U. S. bonds on hand expenses and taxes paid Premiums on U. S. bonds 1, 350. 00 National-bank notes outstanding 13, 500. 00 4, 290. 96 State-bank notes outstanding Stocks, securities, etc 3, 000. 00 Bank'g house,furniture,and fixtures 9, 375. 58 Due to other national banks Other real estate and niortg's owned 186. 35 2, 674. 98 Due to State banks and bankers.. Due from other national banks 3, 215. 66 Due from State banks and bankers. Dividends unpaid Due from approved reserve agents. Checks and other cash items 408. 08 Individual deposits Exchanges for clearing house 102,163.19 60.00 United States deposits Bills of other national banks 3.79 i Deposits of U.S.disbursing officers . Fractional currency, nickels, cents. 15,660.00 Specie i ] Notes and bills rediscounted j Legal-tender notes j Bills payable j IT. S. certificates of deposit ;0 j ! Redemption fund with Treas. IF. S. 675.00 Liabilities other than those above Due from Treasurer IT. S stated L E V I ANKENY, President. Total . 196,399.93 [ Total . 196, 399.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1205 WASHINGTON. Kittitas Valley National Bank, Ellensburg. JOSEPH R. PAULL, President. No. 3867. J. T. M. STONEROAD, Cashier. Resou Liabilities. Loans and discounts Overdrafts X S. bonds to secure circulation... L IT. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $49,854.97 3.50 12, 500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 35, 689. 89 11,383.75 12, 042, 00 Due to other national banks 869.96 Due to State banks and bankers. 1,631.95 2, 022. 99 Dividends unpaid 317.69 Individual deposits 220. 00 United States deposits 7.55 Deposits of U. S.disbursing officers 11,714.85 65.00 Notes and bills rediscounted Bills payable , 562. 50 Liabilities other than those above stated 138,886.60 Total . 10,000.00 400.12 11,250.00 321.58 348.72 62, 266.18 138, 886. 60 First National Bank, Everett. W M . G. SWALWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and niortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. J . "WKSTLAND, Cashier. No. 4686. $73, 314.43 Capital stock paid in. 3,159. 55 12,500.00 Surplus fund 4, 500. 00 Undivided profits, less current 3, 464. 32 expenses and taxes paid 1, 600. 00 National-bank notes outstanding. 11, 250. 00 7, 753. 93 State-bank notes outstanding..... 2, 565. 55 053.10 Due to other national banks 651.70 Due to State banks and bankers. 198. 85 843. 32 Dividends unpaid. 60.42 240. 70 Individual deposits 41, 656. 08 United States deposits DepositsofU.S.disbursingomcers. 5, 356. 35 10.00 Notes and bills rediscounted 5, 000. 00 Bills payable Liabilities other than those above stated 115,870.40 Total. 115, 870. 40 Everett National Bank, Everett. HENRY HEWITT, JR., President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Bank' g h ouse, furniture, and fi xtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4738. $143,467. 44 1, 753. 00 25,000. 00 20,186. 71 7,163. 43 7. 245. 89 1, 640. 51 1,187. 55 18,171. 62 434. 93 50.80 10.00 57.35 12, 307. 70 24.00 1,125. 00 C. D. FRATT, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits. United States dep ' Deposits of U. S.disbursing officers. 105, 726. 72 Notes and bills rediscounted Bills payable Liabilities other than those aboAre stated 239,825. 93 Total. 239,825.93 1206 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINOTOJV. Fairhaven National Bank, Fairhaven. No. 4387. A. H. CLAEKE, President. FREDERICK PETTIBONE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $40,312.38 2,011.40 12, 500. 00 2,125. 00 4, 869.17 2,116. 86 16,967. 78 446. 78 294. 66 76.09 890. 84 263.51 82.00 66.93 Capital stock paid in Due to other national banks Due to State banks and bankers... 1, 000. 00 3, 842.25 11, 250. 00 715. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 11,576.43 4, 475. 00 164.72 Liabilities other than those above stated 83, 023.40 Total $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Total 83, 023.40 First National Bank, Goldendale. No. 4031. J. G. MADDOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house... Bills of other nationalbauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . $66,356. 99 "l2, 500." 00 1, 250. 00 2, 873. 61 3,000.00 1, 221. 92 "3," 243." 12" O. D. STURGESS, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState.bank notes outstanding Due to other national banks Due to State banks and bankers... Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 3, 704.15 *562.56 10, 000. 00 "'ii,"25o.'o6 2, 099. 41 21, 362.88 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 94, 712. 29 94, 712. 29 First National Bank, Hoquiam. GEO. W. HERTGES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and niortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalTjanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4427. $86, 535, 52 39.79 14. 000. 00 7, 342. 70 7, 000. 00 6, 000. 00 2, 268. 35 649. 66 32.15 9,028. 85 341.00 630.00 133,868. 02 W. L. ADAMS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 500.00 550. 60 12, 600. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits | DepositsofU.S.disbursingofficers. ] 59, 864. 78 Notes and bills rediscounted Bills payable Liabilities other than those above stated 10,352.64 Total. 133,868.02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1207 WASHINGTON. First National Bank, Mount Vernon. GEO. D. MCLEAN, President. No. 4529. C. S. MOODY, Cashier. II Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j . . Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture, and fixtures Other realestateand mortgs owned: Due from other national banks j Due from State banks and bankers. J Due from approved reserve agents. Checks and other cash items Exchanges for clearing housi Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. ! s Capital stock paid in $50, 000.00 I Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1,166. 38 11,250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 578.02 Individual deposits United States deposits Deposits of U. S .disbursing officers. 3, 200.00 53, 694.71 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. Total. 121, 889.11 Bellingham Bay National Bank, New Whatcom. JAS. "W. MORGAN, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits j U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures; Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchan ges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3976. CHAS. DONOVAN, Cashier. $104,721.82 ! Capital stock paid in 2,772.23 ! 15,000.00 I Surplus fund Undivided profits, less current expenses and taxes paid 1, 800. C O National-bank notes outstanding. 13,116. 92 State-bank notes outstanding 66, 570. 57 4,442. 21 Due to other national banks 2,155. 50 Due to State banks and bankers.. 3, 893. 52 3,112.11 Dividends unpaid . 310. 97 206. 96 Individual deposits • 244. 00 United States deposits 56.00 Deposits of U.S.disbursing officers. 13, 800. 00 1, 500. 00 Notes and bills rediscounted Bills payable 675. 00 Liabilities other than those above stated 234, 377. 90 Total $60 000 00 37 611 13, 500 00 309. 56 94, 773. 06 28 183 S5 234, 377. 90 Bennett National Bank, New Whatcom. A. MCKENZIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4171. J. B.BALDY, Cashier. $97, 755. 03 Capital stock paid in. $50,000.00 2, 834. 37 12, 500. 00 Surplus fund 15,000.00 Undivided profits, less current expenses and taxes paid 11, 891.78 1, 376. 62 National-bank notes outstanding. 11, 250.00 10, 360. 57 State-bank notes outstanding 3, 659. 64 21,553.14 Due to other national banks 4,412. 37 8, 309. 29 Due to State banks and bankers.. 7,941.60 21, 242. 57 Dividends unpaid 478. 20 300. 00 Individual deposits 113,436. 88 1, 330. 00 United States deposits 41.50 Deposits of U.S.disbursingofficers . 14, 246. 00 1, 500. 00 Notes and bills rediscounted. Bills payable ""'562."50' Liabilities other than those above stated 205, 991.03 Total. 205,991.03 1208 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. First National Bank, North Yakima. No. 3355. J.R LEWIS, President W. L. STEINWEG, Cashier. Resources. Loans and discounts Overdrafts U. 8. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fmrniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $170, 546.24 1, 936.51 25, 000. 00 4, 587. 65 21,000.00 7, 600. 00 1,255.33 10,298. 22 16,079. 48 317.91 35.00 10. 65 11,151. 95 272.00 1,125. 00 Capital stock paid in $100, 000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 27, 000.00 G, 078. 46 21, 950.00 108 09 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing*'fneers. Notes and bills rediscounted Bills payable 104,479.39 11, 600. 00 Liabilities other than those above 271, 215. 94 stated Total 271,215.94 Yakima National Bank, North Yakima. No. 3862. W. I. LINCE, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation.. .1 U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes.. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J. D. CORNETT, Cashier. $108,784.14 Capital stock paid in 7,405. 65 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1,000.00 National-bank notes outstanding. 21,796.84 State-bank notes outstanding 12, 799. 02 5,851.61 Due to other national banks 24, 448. 06 Due to State banks and bankers.. 44, 456. 30 Dividends unpaid 506.23 Individual deposits 155.00 United States deposits 10.65 Deposits of U .S.disbursingofficers. 11, 834. 50 700. 00 Notes and bills rediscounted. Bills i>ayable 562. 50 Liabilities other than those above stated Total . 252,810.50 $50,000.00 22, 500. 00 2, 989.48 10, 750. 00 166,571. 02 252, 810. 50 First National Bank, Oakesdale. SAMUEL BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4122. $106, 074. 50 6, 780. 76 12, 500. 00 1, 500. 00 454. 78 2, 405.07 14, 395.61 1, 795. 04 1,152. 57 10, 236. 70 583.60 23.07 4,11'2. 55 300. 00 562.50 162,886. 75 C. A. BROWN, Cashier. Capital stock paid in Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...'., $50,000. 00 16, 000. 00 13, 020. 31 11,250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Notes and bills rediscounted. Bills payable 23, 702. 24 48, 914.20 Liabilities other than those above stated Total . 162, 886. 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1209 WASHINGTON. First National Bank, Olympia. No. 3024. A. A. PHILLIPS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. --, Cashier. Liabilities. $146,156. 36 467.92 25, 000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 46, 279. 94 State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 030. 25 795.42 Individual deposits United States deposits Depositsof U.S.disbursingoflBcers. Notes and bills rediscounted ""i "125." 66" Billspayable..-. Liabilities other than those above stated Total . 310,911. 54 155, 838. 37 33, 326.44 12,414.36 1,710.03 2, 583. 74 22, 061. 80 1,157. 66 " 140.00 54.29 14, 644. 00 3, 790. 00 4,297. 50 21, 950.00 310, 911. 54 Capital National Bank, Olympia. No. 4297. C. J. LORD, President. Loans and discounts i Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills oftother national Tbanks Fractional currency, nickels, certs. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $197, 652. 27 1,305. 02 25, 000. 00 250. 00 4, 000. 00 8, 000. 00 25, 654. 95 7,410.36 13,635.46 10.10 4, 695.00 28.60 16, 754. 50 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. 3, 060. 48 3,479.16 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursingofiicers- 120,267. 47 Notes and bills rediscounted. Billspayable 725.00 Liabilities other than those above stated 305,121. 26 Total. W.J.FOSTER, Cashier. Total. 305,121. 26 First National Bank, Pomeroy. D. P. THOMPSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3460. $74,135.57 1,178. 69 12, 500. 00 Gr. L. CAMPBELL, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 3, 638. 67 State-bank notes outstanding 10,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 267.33 Individual deposits United States deposits Depositsof U.S.disbursingofficersNotes and bills rediscounted. Bills payable 60, 403.06 16, 949. 67 Liabilities other than those above stated Total . 148, 870. 06 25,146.16 18, 437.41 2, 705. 34 368. 85 952. 64 99.33 600. 00 38.35 8,471. 55 285.00 312.50 148, 870.06 11, 250. 00 1210 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. First National Bank, Port Townsend. HENRY LANDES, President. No. 2948. KOBERT C. HILL, Cashier. .Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtur< Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents Checks and other cash items. Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S $100, 000.00 Capital stock paid in. Surplus fund • Undivided profits, less current expenses and taxes paid National bank notes outstanding State-bank notes outstanding 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 340. 04 Individual deposits United States deposits Deposits of U.S. disbursing officers. 68, 929. 98 27, 572. 79 21,540.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 238, 382. 81 Total. First National Bank, Pullman. J. J. HUMPHREY, President. CASH N . GADDIS, Cashier. No. 4699. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Leg.jl-tender notes U. S certificates of deposit .Redemption fund with Treas. U. S. Due from Treasurer U, S $100, 617. 80 2, 581. 88 25, 000. 00 23, 645. 75 3, 028. 00 17,158. 23 98.64 7, 574. 31 2, 859.14 931.88 Capital stock paid in 5, 965.22 22, 500. 00 ! Due to other national banks Due to State banks and bankers. - 3, 479. 69 76.17 Dividends unpaid Individual deposits 505.'66" i United States deposits .05 Deposits of U.S.disbursingofficers. 5, 346.40 2, 504.00 Notes and bills rediscounted Bills payable 1,125.00 Liabilities other than those above stated 192,976.08 Total $100, 000.00 Surplus fund Undivided profits, less current expenses and takes paid National-bank notes outstanding. State-bank notes outstanding Total 31,955.00 29, 000.00 192,976. 08 First National Bank, Fuyallup. J N O . P . HARTMAN, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4224. $50, 815. 21 635. 28 18, 750. 00 9, 553. 34 26, 392.92 11,852.18 145. 47 1, 277.46 .20 3. 39 762. 95 10.00 Capital stock paid in - , Cashier. $75, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 996.00 16, 875. 00 Due to other national banks Due to State banks and b a n k e r s . . 108. 82 160.01 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 13, 902. 32 14, 000.00 843*75*" Liabilities other than those above 121, 042.15 stated Total 121,042.15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1211 WASHINOTON. First National Bank, Seattle. J. H. McGrRAW, President. No. 2783. L. TURNER, Cashier, Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... II. S. bonds to secure deposi ts U. S. bonds on hand Premiums on U.S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $561,178.48 i Capital stock paid in. 28,434.33 37, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid "National-bank notes outstanding. 66, 269. 50 State-bank notes outstanding. 9, 725. 95 72. 993. 24 Due to other national banks 4.490. 27 Due to State banks and bankers.. 7, 880. 28 34, 518. 53 Dividends unpaid 398. 89 842.16 Individual deposits 2, 685. 00 United States deposits 65.73 Deposits of U.S.disbursingofficers. 52,231.00 2, 680. 00 Notes and bills rediscounted. Bills payable 1,687.50 Liabilities other than those above stated 883,580.86 j Total . Total. $150, 000.00 150, 000. 00 9, 408. 40 33, 050. 00 13,177. 00 7, 468. 30 470, 477.16 50, 000. 00 883, 580. 88 Boston National Bank, Seattle. HERMAN CHAPIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . A . M . B R O O K E S , Cashier. No. 4124. $356, 838. 46 Capital stock paid in | $300, 000. 00 206. 57 50, 000.00 Surplus fund | 2, 000. 00 Undivided profits, less current expenses and taxes paid 4,750.00 National-banknotes outstanding.i 45,000.00 44.206. 03 State-bank notes outstanding 5, 500.00 39,421. 31 Due to other national banks 1, 230.41 3, 984.17 2, 726.17 4, 761. 64 Due to State banks and bankers.. 6, 778. 58 472.74 Dividends unpaid 1, 099. 09 201,155. 69 180. 00 Individual deposits 42.43 United States deposits 29, 871. 25 1, 690. 00 Deposits of U.S.disbursing officers. Notes and bills rediscounted 2, 250. 00 Bills payable Liabilities other than those above stated Total . 552,112. 27 552,112.27 National Bank of Commerce, Seattle. M. D. BALLARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ls a t a i l Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.. S. Due from Treasurer U. S Total. No. 4375. $454, 298. 03 627.16 50,000. 00 9, 042.18 9, 500. 00 5, 202. 22 15, 598. 49 4, 433. 92 41,532.11 1,473. 41 8, 826.12 820.00 2.65 36,157. 50 1,120.00 2, 250.00 640, 883. 79 R. R. SPENDER, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-banknotes outstanding:! State-bank notes outstanding I 1,786.33 44,360.00 Duo to other national banks I Due to State banks and bankers.. 4,456.58 4, 664. 73 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 285, 616.15 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 640, 883. 79 1212 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. j?uget Sound National Bank, Seattle. It. N. ANKENY, Cashier. No. 2966. JACOB FCRTH, President. Resources. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Liabilities. ;863, 637. 21 16, 793. 70 50, 000. 00 3, 000. 00 100, 064.15 10, 000. 00 59, 557. 64 19, 904. 40 43,107. 93 64, 353. 21 831. 54 6, 471. 99 4,400. 00 297. 20 99, 510. 00 5, 200. 00 2,250.00 1, 349, 378. 97 Total E. "W. ANDREWS, President. Capital stock paid in Capital stock paid in not certified. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $300,000. 00 228, 000.00 55, 600.00 Due to other national banks Due to State banks and bankers-. Dividends unpaid 34, 359. 94 26, 039.03 Individual deposits United States deposits Deposits of U. S. disbursing officers 560, 638. 05 Notes and bills rediscounted Bills payable Liabilities other than those above stated 35, 000. 00 50, 000.00 Total. 14, 631. 95 45, 000.00 110. 00 1, 349,378. 97 Seattle National Bank, Seattle. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. ROBERT G. HOOKER, Cashier. No. 4229. $285,739. 52 Capital stock paid in. $250,000. 00 2,677.71 50, 000. 00 Surplus fund 6, 000.00 Undivided profits less current 11,341.19 expenses and taxes paid 6, 500. 00 National-bank notes outstanding. 45, 000. 00 19, 588. 88 State-bank notes outstanding 9,850. 00 6, 666. 05 Due to other national banks 7,444.78 3, 864. 99 Due to State banks and bankers.. 5, 388.48 3,479.46 2, 935. 24 Dividends unpaid 3, 059. 33 653.00 12.46 22, 315. 00 2, 250. 00 419, 591. 64 Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 74,417.19 20, 000. 00 419, 591.64 'Washington National Bank, Seattle. E. O. GRAVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. F. BACKUS, Cashier. No. 4059. $246, 267. 63 "Capital stock paid in. $100, 000.00 2, 397. 04 25, 000. 00 Surplus fund 20, 000. 00 50, 000. 00 Undivided profits, less current expenses and taxes paid 17,737.00 ' 8,531.25 I National-bank notes outstanding. 22, 500.00 13, 599. 35 State-bank notes outstanding 4,200. 00 14,851.84 Due to other national banks 3, 500. 54 7, 058. 90 Due to State banks and bankers.. 4,215.88 4, 933. 86 79, 854. 01 Dividends unpaid 411. 74 5, 607. 89 Individual deposits 300, 051. 20 1, 525. 00 United States deposits 20, 891.76 67.53 Deposits of U. S.disbursing ofiicers. 21, 240. 28 42, 458. 62 2, 247. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities other than those above stated 510,136. 66 Total. 510r 136.66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1213 W ASHINGTON. First National Bank, Snohomish. N o . 3887. JACOB FURTH, President. W. M. SNYDRR, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from Statebanksand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total. $127, 469. 52 410.19 12, 500.00 9, 248. 49 5, 448. 55 11,198.48 6, 547. 59 1, 360. 47 2, 248. 59 522. 99 285.00 92. 00 8, 099.85 2, 489. 00 """562.'50 $50,000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid „ Individual deposits United States deposits Deposits of U.S.disbursingomcers. 10,000.00 31, 402. 69 11,250.00 619.85 85, 210.68 Notes and bills rediscounted Bills payable Liabilities other than those above stated 188, 483. 22 188,483. 22 Total. Snohomish National Bank, Snohomish. EMORY C. FERGUSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. U. K. LOOSE, Cashier. No. 4526. $65, 763.85 414.29 12, 500. 00 1,125. 00 2, 339. 39 2, 000. 00 13, 858. 51 3,161. 26 1, 391. 03 149. 25 5.85 2, 800. 00 68.00 ""562*56' Capital stock paid in $50, 000. 00 Surplus fund Undivided jjrofits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 2, 340.10 11, 250. 00 Due to other national banks Due to State banks and bankers . 71.87 5,000.00 21.11 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated 106,138.93 Total. 19, 449.19 18, 000. 00 106,138. 93 Exchange National Bank, Spokane. JACOB HOOVER, President. Loans and discounts \ Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits i U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks andbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4044. $431, 270.16 16,243. 85 50, 000. 00 7, 000. 00 11, 774. 26 7, 000. 00 1,760.00 82,483. 47 144, 284. 74 58,088. 07 9, 353. 73 2, 051. 58 11, 075. 00 6.25 53,912. 85 10,000. 00 ""2," 250." 66" E. J . DYER, Cashier. Capital stock paid in . $250, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 29, 817. 91 45, 000. 00 Due to other national banks Due to State banks and bankers.. 42, 594. 72 25, 357. 35 22,500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 483, 283. 98 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 898, 553. 8 Total. «, 553.96 1214 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. Old National Bank, Spokane. STEPHEN S. GLIDDEN, President. No. 4668. W. D. VINCENT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums ou IJ. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtures' Other real estate and mortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $267,522. 93 6,740.88 50, 000. 00 Capital stock paid i n . $250,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 500. 00 I National-bank notes outstanding. 33,102.27 j State-bank notes outstanding 11,171.60 | 16,349.68 | Due to other national banks 33, 753. 54 Due to State banks and b a n k e r s . . 16, 065. 90 58, 985. 60 Dividends unpaid 1, 530. 33 17, 826. 81 Individual deposits 8, 300. 00 United States deposits 317.55 DepositsofU.S.disbursingofficers. 30, 920. 00 11, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 5, 000. 00 11, 720. 29 45, 000. 00 6, 454.47 3, 417. 75 248, 744.58 Liabilities other than those above stated 570,337.09 i , Total . 570, 337. C Traders' National Bank, Spokane. No. 3409. M. M. COWLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation -.. U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $417, 386. 78 5, 457.65 50, 000.00 C. E. MCBROOM, Cashier. Capital stock paid in. Surplus fund Undivided x ) r o n ts, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 500. 00 12,451. 95 8, 025. 00 7, 000.00 Due to other national banks 114, 745. 00 Due to State banks and bankers.. 21, 742. 71 45, 025. 36 Dividends unpaid 4,454. 35 2,379. 67 Individual deposits 1,450.00 United States deposits 178.20 Deposits of U.S.disbursing officers. 80, 524. 00 5, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 782, 570. 67 Total . 15, 589. 24 18, 539. 09 400, 821. 43 782, 570. 67 First National Bank, Sprague. GEO. S. BROOKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixturesj Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. W. B. LOTTMAN, Cashier. No. 3528. $72, 991.63 Capital stock paid in. $50, 000. 00 95.82 12, 500. 00 Surplus fund 25, 000.00 Undivided profits, less current expenses and taxes paid 21,156. 25 National-bank notes outstanding. 11, 250. 00 37,659. 20 State-bank notes outstanding 7, 400. 00 14, 006. 77 38, 087. 56 10, 064. 35 20, 712. 76 1,547.32 2.40 13, 785.15 Due to other national banks Due to State banks a t d bankers.. Dividends unpaid 4, 072. 45 4,157. 39 Individual deposits United States deposits Deposits of U.S. disbursing officers. 113, 779. 37 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 229,415.46 Total . 229, 415.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1215 WASHINOTON, Columbia National Bank, Tacoma. No. 4623. HENRY OLIVER, President. W. Gr. PETERS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. Liabilities. $424, 904. 98 9,654.81 50, 000. 00 2,500. 00 60,191.06 68, 000.00 6, 893. 29 18,178. 52 4, 968.16 5, 338.24 3, 054. 36 93.64 20, 960. 60 229. 00 2, 250.00 Capital stock paid in Capital stock not certified Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $200, 000. 00 150, 000. 00 Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 239, 580. 53 Notes and bills rediscounted. Bills payable 12, 000. 00 2, 594. 32 45, 000. 00 15.72 8, 026. 09 20,000.00 Liabilities other than those above stated 677, 216.66 677, 216. 66 Total. National Bank of Commerce, Tacoma. CHESTER THORNE, President. No. 3789. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,fumiture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $276, 353. 26 68.66 50, 000. 00 5,000.00 11,199. 90 160, 000. 00 500.00 2, 803. 38 7, 067.46 16, 275. 21 660.97 1,073.62 85.00 2.32 27, 740. 70 120.00 2, 250. 00 J. W. WALLACE, Cashier. $200, 000.00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 58,919.20 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 4, 224.41 5,166.92 Individual deposits United States deposits Depositsof U.S.disbursingofficers. j 211, 758. 23 Notes and bills rediscounted. Bills payable 36,131.72 Liabilities other than thosi above stated Total. 561,200.48 561, 200.48 Pacific National Bank, Tacoma. CHARLES P. MASTERSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. Si Total. No. 3417. $628,437. 38 5, 653. 05 50, 000. 00 3,417.25 99, 254. 78 49, 378.09 70,430. 75 6, 684. 44 32, 861.04 26, 028.92 1, 565. 34 7,660.12 475. 00 3.14 50, 036.10 510.00 2, 250. 00 35.00 1,034,680.40 | L. J. PENTECOST, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofticers. Notes and bills rediscounted Bills payable $300,000.00 10,000. 00 27, 306.78 45,000. 00 69,102. 88 48, 850. 58 455, 041. £ 49, 378.18 30, 000. 00 Liabilities other than those above stated Total. 1, 034,680.40 1216 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHING TON. First National Bank, Vancouver. No. 3031. CHARLES BROWN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc . Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. E. L. CANBY, Cashier. Liabilities. $152,637. 53 4, 853.46 25, 000. 00 20, 081. 05 11,000.00 34, 000. 00 3, 744. 52 128. m 2, 502. 44 1,082. 33 25.00 118.44 25,489. 65 60.00 1,125. 00 281,848.10 Capital stock paid i n . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20,000.00 1, 501. 69 22, 500. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 137,846. 41 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 281,848.10 First National Bank, Waitsburg. No. 4681. LEWIS NEACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dtfe from Treasurer U. S Total. G. M. RICE, Cashier. $108,272.82 j i Capital stock paid in. 3, 806. 05 12,500.00 Surplusfund Undivided profits, less current expenses and taxes paid 1,125. 00 National-bank notes outstanding. State-bank notes outstanding 4, 307.41 1, 505. 95 Due to other national banks Due to State banks and bankers.. 1,186.60 Dividends unpaid 142. 95 Individual deposits 675. 00 United States deposits 1.33 Deposits of U.S. disbursing officers. 6, 699. 70 435. 00 Notes and bills rediscounted.. Bills payable 562. 50 Liabilities other than those above stated 141, 220.31 Total. $50,000.00 12, 468. 42 10, 945. 00 5, 209. 75 62, 597.14 141,220.31 First National Bank, Walla Walla. LEVI ANKENY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2380. $375, 262.35 5, 309.55 25, 000. 00 2, 250.00 58,864. 23 3, 000. 00 7,823. 87 109, 263. 71 20, 051. 93 24, 835. J 6 395. 75 843. 00 3.65 41, 357. 00 1,816.00 1,125.00 677, 201. 20 A. R. BURFORD, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers . 3, 752. 23 101. 72 200, 000. 00 20, 830. 25 22, 500. 00 330, 017. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 677, 201.20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 1 7 WASHINGTON. Baker-Boyer National Bank, "Walla Walla. JOHN F . BOYER, President. No. 3956.. H. E. JOHNSON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse, furniture, andfixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XL S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Liabilities. $334,239. 86 3,789.73 25, 000.00 100, 000. 00 15, 756. 25 103,431. 74 2, 677. 45 14,226. 20 22, 241.68 1, 598. 37 151, 356.59 669. 64 350.66 147. 56 43, 980. 00 Capital stock paid in Due to other national banks Due to State banks and bankers.. i $100, 000. 00 100, 000. 00 14, 803. 77 22, 500.00 2,400.81 9, 436.63 333. 32 Dividends unpaid Individual deposits • United States deposits Deposits of U.S.disbursingofficers.!.. 571, 265.54 Notes and bills rediscounted. Bills payable 1,125. 00 150.00 Liabilities other than those above stated ' 820, 740.07 Total . ! Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding Total . 820,740.07 First National Bank, Waterville. R. S. STEINER, President. Total . CUR, PT 2 A. E . CASE, Cashier. No. 4532. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $60, 955. 76 1, 387. 74 12, 500. 00 1, 500. 00 166.90 9, 000. 00 3, 764. 29 5,862. 89 60.16 1, 612. 36 158.68 350. 00 1.65 3, 090. 50 2, 825.00 562.50 | 103,798.43 77 Capital stock paid in $50,000. 00 Surplus fund Undivided profits, less current xpenses and taxes paid \ National-bank notes outstanding-. I State-bank notes outstanding ! 3,060.06 11, 250. 00 Due to other national banks ! Due to State banks and bankers.. 982.05 41. 07 8, 200. 00 Dividends unpaid. Individual deposits United States deposits ; Deposits of U.S.disbursingoliicers. I 30, 265. 25 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 103, 798.43 1218 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. First National Bank, Bluefield. JAS. E. MANN. President. GEO. C. POLLOCK, Cashier. No.4G43. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums onU. S. bonds Stocks, securities, etc Bank'gliouse, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing liouse Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. 5. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $199, 922.27 100.37 100, 000. 00 14,681.25 12,700. 00 2G, 000. 00 18,192. 36 300. 00 28,775.29 337.44 "3," 666." 66" 557.47 20,559. 70 6, 274. 00 4, 500. 00 11.48 Capital stock paid i n . 20,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 5, 905. 07 11, 607.40 Individual deposits United States deposits | Deposits of U. S .disbursing officers. I 5, 415. 94 88, 250. 00 204, 799. 22 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 435, 977. 63 Total . $100, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total . 435, 977. 63 Traders' National Bank, Buckhannon. WM. POST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . P . M. BOGGESS, Cashier. No. 4760. $77,991.88 2,157. 04 12, 500. 00 1, 000. 00 9,177.16 8,807.21 9G9.11 20, 617. 63 323.54 365. 00 665. 00 12, 332.15 215. 00 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5,000.00.. 1,281. 85 11, 250. 00 Due to oilier national banks Due to State banks and bankers. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofficers. Notes and bills rediscounted. Bills payable 562. 50 75, 645. 97 3, 000. 00 Liabilities other than those above stated 147,684.12 Total . 147, 684.12 First National Bank, Ceredo. S. FLOYD HOAED, President. Loans and discounts Overdrafts U. S. bonds to secure- circulation... U. S. bonds to secure donosits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixture* Other real estate and mortg's owned Due from othernational banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S Total . No. 4775. Louis PRICHARD, Cashier. $76,838.44 I Capital stock paid in. HI.74 I 12,500.00 i Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12,118. 56 Due to other national banks 826. 3i Due to State banks and bankers. 260.28 12, 660. 53 Dividends unpaid $50, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 50,913.43 1, 800. 00 5,146. 91 500. 00 562. 50 123, 245. 27 Notes and bills rediscounted Bills payable 4, 500. 00 2, 000. 38 11, 250.00 663.13 3, 915. 33 Liabilities other than those above stated Total . 123, 245. 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1219 WEST VIRGINIA. Charleston National Bank, Charleston. L. PRICHAED, President. No. 3236. H. L. PRICHARD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $539, G32. 08 6,172. 71 50, 000. 00 3, 250. C O 4, 250. 00 27,559. 84 4,700. 00 11, 880. 89 9, 447.55 29, 737.23 7, 445. 99 61.00 237. 30 21.400. 00 21,000. 00 2, 250. 00 Capital stock p a i d in $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 21, 000. 00 8,479. 24 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3,194. 35 2,505. 97 Individual deposits United States deposits Deposits of U. S.disbursing officers. 358, 845. 03 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 739, 025.19 739, 025.19 Citizens' National Bank, Charleston. NEIL ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Trea3. U. S. Due from Treasurer U. S Total. No. 4412. $277,151. 02 11,241.89 31,250.00 3,750.00 7, 500. 00 3,991.85 381. 34 9, 340. 44 28,151.08 908. 87 1, 290. 20 340.00 398. 94 10,190. 65 17, 000. 00 1, 405. 00 404, 903. 94 M. M. WILLIAMSON, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. | $125, 000. 00 0, 000. 00 3, 890.83 28,100.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 9, 493.15 10, 961. 04 Individual deposits United States deposits Deposits ofU.S.disbursingofficers. 221,452. 92 Notes and bills rediscounted Bills payable Liabilities other than those above stated , Total. 404, 903. 94 Kanawha National Bank, Charleston. GEO. S. COUCH, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghous6,furaiture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationaljbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . E. A. REID, Cashier. No. 4667. $308, 477. 62 Capital stock paid in. 3, 033. 00 25, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 2,500. 00 National-bank notes outstanding. 450. 00 State-bank notes outstanding 30,000.10 8, 313. 08 Due to other national banks 3, 506. 80 9, 891. 22 6,130.59 Due to State banks and bankers.. 19, 880. 35 2, 062. 32 Dividends unpaid Individual deposits 197. 42 United States deposits 15, 023. 95 Deposits of U.S.disbursingofficers. 19, 000. 00 Notes and bills rediscounted. Bills payable 270, 575. 56 Liabilities other than those above stated 436,393.65 Total. 436, 393. 65 1220 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. First National Bank of Jefferson, Charlestown. H. O. TALBOTT, President. No. 1868. SAM'L HOWELL, Cashier. Resources. Loans Jind discounts | Overdrafts i U. S. bonds to secure circulation...! U. S. bonds to secure deposits '. U. S. bonds on hand Premiums on U. S. bonds J Stocks, securities, etc j Bank'ghouse,furmture,andPixtur<S; Othcrrcalestate and mortg's owned Due from other national banks Due from Stale banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $82,753. 97 197.03 12, 500. 00 Capital stock paid in 20, 000. 00 Due to other national banks j Due to State banks and bankers..' 3, 375. 08 665. 76 8,449.45 10. 950. 00 i Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 8, 388. 00 36.78 10,854.00 3, 960. 00 ! | ! j 04, 712. 32 Notes and bills rediscounted \ Bills payable Liabilities other than those above stated 562.50 158,152. 61 Total . $50, 000. 00 Surplus fund | Undivided profits, less current expenses and taxes paid National-bank notes outstanding.! State-bank notes outstanding ! 158,152. 61 Total. Merchants' National Bank of "West Virginia, Clarksburg. R. T. LOWNDES, President. No. ]530. Loans and discounts Overdrafts TJ. S. bonds to secure c i r c u l a t i o n . . . ; U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,ananxtnres; Other real estate and mortg's owned Due from other national banks Due from State banks and b a n k e r s . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national b a n k s . Fractional currency, nickels,cents Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $164,083.91 2, 602.86 25, 000. 00 $100,000.00 Surplusfund I Undivided profits, less current | expenses and taxes p p a i d I p 2,500.00 i N a t i n l b a n k notes outstanding t tta National-bank 27, 700. 00 i State-bank notes outstanding 42,293.53 | 5,018.67 ! Due to other national banks J 2i,548.05 ! Due to State banks and bankers..} 4,176.51 ! I 71, 686. 55 ! 2,603.33 I Dividends unpaid Individual deposit s j f, 075. G i United States deposits O I. 230.67 ! DepositsofU.S.disbursingoffieers-!. 15,750.55 ! 14, 749.10 I Notes and bills rediscounted j. | Bills payable ! 20,171. 68 1, 063. 28 22,500. 00 2, 952. 46 2, (538. 23 1, 628. 00 254,843. 52 "*i,"i25*66"i 653.54 j i Liabilities other t h a n those above ! stated 405, 797.17 Total. L. HAYMOND, Cashier. jj Capital stock paid in- Total . 405,797.17 Traders' National Bank, Clarksburg. T. M. JACKSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on liana Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture,andfixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer TJ, S Total . No. 4569. C. SPRIGG SANDS, Cashier. ;300,316.86 | Capital stock paid in | 414. 28 25, 000. CO I Surplusfund ! Undivided profits, less current ! expenses and taxes paid 2, 300.00 i National-bank notes outstanding. 10,000. C I State-bank notes outstanding.. O 3, 656. 65 12, 677.18 I Due to other national banks 841.18 Due to State banks and bankers.. 6, 734. 27 107,963.33 Dividends unpaid 5, 492. 48 Individual deposits 720.00 j United States deposits 159. 16 I DepositsofU.S.disbursingofficers. 12, 871. 20 22,000. 00 Notes and bills rediscouuted. Billspayable 1,125.00 i Liabilities other than those above stated 512, 271. 49 Total. $85,000.00 17,000.00 4,902.44 22,500.00 10,458.13 98, 823. 23 171. 00 265,416.69 8, 000.00 512, 271. 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1221 WEST VIROINIA. National Bank, Davis. No. 4828. T. B. DAVIS, President C. E. SMITH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned' Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer IT. S Liabilities. $83,985.86 837. 42 12, 500. 00 1,165.00 15, 000. 00 22, 935.45 162.94 20, 970. 09 162. 01 155.06 9, 096. 05 4,986. 00 562. 50 172, 518.38 Total . Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 5? 000.00 1,156.09 11, 250.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 886. 52 268.30 Individual deposits United States deposits Deposits of U. S.disbursing officers. 103, 957.47 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 172,518.38 Elkins National Bank, Elkins. S. B. ELKINS, Fresident. No. 4718. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house.furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $104, 467.99 64.93 12,500. 00 1, 500. 00 20,111.98 17, 055. 44 H. R. WARFIELD, Cashier. Capital stock paid in. $50,000.00 Surplns fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 7, 684. 47 -10, 950.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3, 067.40 50.20 Individual deposits 575. 66" United States deposits 401.18 Deposits ofU. S.disbursing officers. 4, 672. 50 4,133. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 111, 100. 75 1, 245. 77 1,745.06 13, 804.02 13.45 Total . 182, 852.82 182,852.82 First National Bank, Fairmont. J. M. HARTLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks... Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 961. $420,092. 76 2, 969. 52 96, 000.00 1,125. 00 6, 000. 00 23, 500. 00 54, 746.54 18,543.24 36, 282. 09 2,248.77 8, 092. 0U 138.00 44,351.91 15,000. 00 J. E. SANDS, Cashier. Capital stock paid in. ; ioo, ooo.oo Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 21, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. 9, 917. 79 12,471.17 Individual deposits. 50, 072. 04 86,400.00 2, 324.00 450, 424. 83 United States deposits Deposits of U. S.disbursing officers. Notes and bills rediscounted. Bills payable 3, 520. 00 Liabilities other than those above stated 732, 609. 83 Total . 732, 609.83 1222 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. First National Bank, Grafton. THOMAS E. DAVIS, President. No. 2445. L. MALLONEE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stock s, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Cheeks and other cash items Liabilities. $360, 780. 93 1,482.21 55, 000. 00 3, 025. 00 11,500.00 10,000.00 8.100. 00 22, 806. 76 14,517.19 85, 773. 04 503. 85 Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes | TJ. S. certificates of deposit | Redemption fund with Treas. U. S. j Due from Treasurer U. S 133. 00 19,667.00 25,495.00 2,475.00 Total. $85, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 31, 000. 00 Due to other national banks , Due to State banks and bankers. Dividends unpaid Indi vidual deposits United States deposits Deposits of U.S.disbursing officers Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 12,193. 84 15, 602. 55 39,010.91 49, 500. 00 381, 951. 68 7, 000. 00 621, 258.98 First National Bank, Huntington. J. L. CALDWELL, President Total. M. C. DIMMICK, Cashier. No. 3106. $429, 333. 36' Loans and discounts 762.41 Overdrafts I 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I... 3,000, 00 Premiums on U. S. bonds | Stock s, securities, etc 1, 692. 44 27,721.84 Bauk'ghouse,furiiiture,aml fixtures' Other real estate and mortg's owned . . . 18,730.10 Due from other national banks j 4, 090. 25 Due from State banks and bankers. \ 54, 348. 39 Due from approved reserve agents.! 108. 73 Checks and other cash items 781.40 Exchanges for clearing house 4, 282. 00 Bills of other national banks ' 05.56 Fractional currency, nick els. cents. | 26, 552. 50 Specie I 6,000.00 Legal-tender notes ! U. S. certificates of deposit -- " 2," 250." 66' Redemption fund with Treas. U. S.| 2.50 Due from Treasurer U. S Capital stock paid in. $2oo,oooToo Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 13, 779.24 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 304. 95 281.18 Individual deposits United States deposits Deposits of U. S.disbursing officers. 330,353.17 Notes and bills rediscounted Bills payable Liabilities other than those above stated 629, 721. 54 Total. 629, 721.54 Huntington National Bank, Huntington. JNO. HOVE RUSSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banksand bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 4607. $423,667. 53 923. 94 50, 000. 00 2,160.00 28, 747. 07 15, 700.00 6, 359. 97 10, 973. 03 1,984.17 13, 235. 36 4,163.15 1, 739.11 2,220. 00 111. 35 23, 670. 75 4, 000. 00 2, 250.00 591.906.03 J. K. ONEY, Cashier. Capital stock paid in $200,000^00 Surplus fund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 13,000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 9,469. 90 7, 367. 01 Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 7, 742. 03 45, 000. 00 309, 327. 09 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. 591,906.03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1223 WEST VIBGINH, First National Bank, Manuington. J A S . H. FURBEE, President. No. 5012. WILLIAM H. FURBEB, Cashier. Resources. Liabilities. Loans and discounts | $61, 604. 93 Overdrafts | TJ. S. bonds to secure circulation... I 15, 000. 00 IT. S. bonds to secure deposits \ IT. S. bonds on hand \ Premiums on U. S. bonds i 1, 875. 00 Stocks, securities, etc \ Bank'g house furniture, and fixtures; 2, 905. 00 Other real estate and mortg's owned| g 716. 78 Due from other national banks 9,217.48 Due from State banks and bankers. 10, 540. 35 Due from approved reserve agents. 272. 07 Checks and other cash items Exchanges for clearing house 9, 420. 00 73ills of other national banks 100. 59 "fractional currency, nickels, cents. 2, 625. 00 Specie 8, 000. 00 Legal-tender notes IT. S. certificates of deposit 675. 00 Redemption fund with Treas. IT. S. Duo from Treasurer U. S Total . 122, 952.20 Capital stock paid in Capital stock paid in, not certified. Surplus fund * Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $36, 000.00 7, 880.00 94.84 13, 500.00 85.68 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. I Notes and bills rediscounted. Bills payable 65, 391. G8 Liabilities other than those above s tated Total . 122, 952. 20 Citizens' National Bank, Martinsburg. H. T. CUSHWA, President. No. 4811. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse.furnitumand fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items .*". Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents.. Specie I Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U. S. "Hue from Treasurer U. S Total . $103, 727. 99 1,460. 0G 25, 000. 00 3, 500.00 4, 500. 00 24, 090. 20 181. 20 2. 021. 78 9,310. 52 274. 71 70.00 84.03 2, 951. 20 6,220.00 184, 517. 29 EDWAED RUTLEDGE, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000.00 1, 250. 00 1, 537. 35 22,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits '.. United States deposits Depositsof U.S.disbursing officers. !8.57 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 184,517.29 National Bank, Martinsburg. W M . T. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other rational banks Due from State banks and bankers. Due from approved reserve agents. ("hecks and other cash items Exchanges for clearing house Bills of other national banks j Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total . No. 1524. G E O . S. HILL, Cashier. $240, 643.04 Capital stock paid in $100, 000.00 1, 166. 31 50,000.00 Surplus fund . 26, 000.00 Undivided profits, less current 9, 546.97 expenses and taxes paid 43, 850. 00 4, 736. 00 National-bank notes outstanding. State-bank notes outstanding 12, 000. 00 7, 065. 06 Due to other national banks 1, 021.07 6,754.59 Due to State banks and bankers.. 1,095. 83 2,201.58 Dividends unpaid 769. 06 Individual deposits j 162, 933.87 j 1,433.00 United States deposits 42. 56 Depositsof U.S.disbursingofficers. I 10, 325. 00 17,000. 00 Notes and bills rediscounted Bills payable j 2, 250. 00 Liabilities other than those above 350, 416. 97 stated Total . 350,416.97 1224 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. People's National Bank, Martinsburg. A. J . THOMAS, President. No. 2144. F. E. WILSON, Cashier. Resources. Loans and discounts j Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits II. S. bonds on band Premiums on U. S. bonds Stocks, securities, etc Bank 'g house, furniture,andfixture.s Other real estate and mortg's owned Duo from other national banks...-. Duo from State banks and bankers. Duo from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes g U.S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U. S | Liabilities. $255,306.98 i; Capital stock paid in 2,639.53 I I 18,750.00 j Surplusfund i 50,000.00 Undivided profits, less current ) expenses and taxes paid I 4,000.00 I! National-bank notes omstanding.j 2,000.00 State-bank notes outstanding.. 23, 500. 00 Due to other national banks 1,807.49 j Due to State banks and bankers. 5, 358.G3 ! 32,366.40 jl Dividends unpaid 665.49 Individual deposits 1,400. 00 United States deposits 14.40 Deposits of U.S.disbursingofficers 20, 893. 05 1,080.00 Notes and bills lediscounted. Bills payable 813.50 ! | Liabilities other than those above stated 420,625.47 | Total . $75, 000. 00 15, 000.00 16, 838.18 14, 670.00 4, 708. 69 2, 420. 61 88.58 241,899. 41 41,919.02 3, 080.98 5, 000. 00 420, 625.47 Total . South Branch Valley National Bank, Moorefield. A. M. INSKEEP, President. No. 3029. Loans and discounts < $112, 394. 55 Overdrafts 70. 15 IT. S. bonds to secure circulation... i 14, 000.00 XI S. bonds to secure deposits U. S, bonds on hand Premiums on U. S. bonds I 1,450. 00 Stocks, securities, etc i Bank'ghouse,furniture,andfixtures 6,439.40 Other realestate and mortg's owned Due from other national banks ' 6,181. 47 Due from State banks and bankers. 1,433. 58 Due from approved reserve agents. 21,933. 20 Checks and other cash items | 49.75 [ Exchanges for clearing house J Jills of other national banks j 20.00 Fractional currency, nickels, cents. 135. 65 Specie 4, 321.11 Legal-tender notes ' 2, 445. 00 i U. S. certificates of deposit Redemption fund with Treas. U. S. \ 630.00 Due from Treasurer U. S $55, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000. 00 Duo to other national banks Da© to State banks and bankers.. Dividends unpaid 1, 944. 72 612.30 Individual deposits United States deposits Deposits of U.S.disbursingofticers. 85, 061. 45 1, 285. 39 12, 600. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 171,503.86 Total . J . W M . GILKESON, Cashier. Capital stock paid in Total . 171,503.86 Second National Bank, Morgantown. W. MOORHEAD, President. Loans and discounts Overdrafts j IT. S. bonds to secure circulation... j II. S. bonds to secure deposits IT. S. bonds on hand ! Premiums on TJ. S. bonds Stocks, securities, etc ! Bauk'g house, furniture, and fixtures; Other real estate and mortg's owned: Due from other national banks ! Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. X . S. T Due from Treasurer TJ, S Total . No. 2458. $191, 57S. 20 1,030.57 20, 000. 00 1,500.00 500. 00 27,361.48 D. C. HOFFMAN, Cash Capital stock paid in j $80, 000.00 Surplus fund j Undivided profits, less current j ! expenses and taxes paid National-banknotes outstanding.! State-bank notes outstanding 15,000. 00 1,130.61 18,000.00 Due to other national banks 341.34 5, 045.18 14,753. 98 2, 385.18 "ioo.'oY 45.51 5,539. 80 10,032. 00 900. 00 200. 00 281,313.24 1, 703.34 Due to State banks and bankers.. I 1, 768.23 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficersl Notes and bills rediscounted Bills payable \ i Liabilities other than those above I stated j Total. 30.00 156, 264.40 5,750.00 1, 666. 66 281, 313. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1225 WEST VIBGUIA. First National Bank, Parkersburg. No. i8o. J . N. CAMDEN, President. H. H . Moss, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits TJ. S. bonds on h a n d P r e m i u m s on IT. S. bonds Stocks, securities, etc B a n k ' g house, furniture, and fixtures Other r e a l e s t a t e and m o r t g ' s owned D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . D u e from a p p r o v e d r e s e r v e a g e n t s . Checks a n d other cash items E x c h a n g e s for clearing house Bills of other national b a n k s Fractional currency, nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit Redemption fund w i t h T r e a s . U . S . D u e from T r e a s u r e r U. S Total. Liabilities. $555, 097. 58 2,711.43 51), 000. 00 50, 000. 00 10, 000.00 Capital stock paid in Surplus fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g 20, 880. 50 6, 677. 76 18,207. 75 04,406. 28 5,438.69 3, 800. 00 128.70 34, 017. 85 24, 485. 00 40,135.77 15,524.95 Due t o other national b a n k s D u e to State b a n k s and b a n k e r s . Dividends u n p a i d I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursingofficers. 368,541.80 45,103.08 Notes and bills rediscounted. Bills payable 1,950.00 Liabilities other t h a n those above stated 848,401. 54 Total . 848, 401. 54 Second National Bank, Parkersburg. J A S . W. DILS, President. No. 864. L o a n s a n d discounts Overdrafts U . S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand P r e m i u m s on U . S. bonds Stocks, securities, etc B a n k ' g house,furniture,and fixtures Other real e s t a t e and m o r t g ' s owned D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . Due from approved r e s e r v e a g e n t s . Checks a n d other cash items E x c h a n g e s for clearing house Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit Redemption fund w i t h T r e a s . U . S. D u e from T r e a s u r e r U . S $322, 29G. 73 3, 067. 55 GO, 000. 00 5, 200. 00 14, 000. 00 5, 445.17 6,215.64 8, 779. 39 I Surplus fund j Undivided profits, less current J expenses and taxes paid I National-bank notes outstanding. State-bank notes outstanding $156,000.00 53,000.00 10,195. 52 45,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 14, 280. 93 5,191.24 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 142, 504. 72 Notes and bills rediscounted Bills payable Liabilities other than those above stated 11,100.00 1, 002. 29 139.54 11,615.20 8, 061. 00 1,450.00 437, 272.41 Total. W. H. WOLFE, Cashier. Capital stock paid i n . Total . 437, 272 41 Citizens' National Bank, Parkersburg. C. H-. SHATTUCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's ownedi Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. j Due from Treasurer TJ. S I Total. No. 2649. $387, 531. 39 1, 054. 28 80, 000. 00 6, 000. 00 2, 745. 51 , Cashier. Capital stock paid in $100, OOoT 00 Surplus fund fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . 58, 000.00 8, 854.92 71, 050. 00 Due to other national banks "* 17," 252." 29" 7, 852. 34 20, 587.23 12, 056.17 205.00 299. 45 40,169. 00 9, 605. 00 3, 600. 00 589, 857. e 287.82 Due to State banks and bankers.. Dividends unpaid 3,738.34 j Individual deposits ! United States deposits , Depositsof U.S.disbursing officers. | Notes and bills rediscounted... Bills payable Liabilities other than those above j stated !. Total . 347,926. 58 589,857.66 1226 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. Parkersburg National Bank, Parkersburg. J. V. RATHBONE, President. No. 1427. J. W. LEESE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $363, 308. 29 4(>5. 49 50, 000. 00 23, 233. 80 2,761. 00 4, 098. 69 5, 280.96 12,473.84 3,440. 77 8.50 24, 794. 21 11, 500. 00 2,250*00 Capital stock paid in . $150, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 100,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 3,602.13 15, 344. 66 Individual deposits United States deposits Deposits of U.S.disbursiiigofiicers- 180, 888. 56 6, 780. 20 45, 000. 00 2, 000.00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 503, 615. 55 Total. 503, 615. 55 First National Bank, Piedmont. J. S. JAMESSON, President. No. 3629. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $224, 524. 61 497.45 15,000.00 2, 500.00 386. 00 9,437. 50 5,762. 68 44, 506.11 28,123. 93 40, 602. 07 231. 92 2, 890. 00 550. 03 10, 616.15 20, 447. 00 675. 00 M. A. PATRICK, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...".. 50, 000. 00 Due to other national banks Due to State banks and bankers .. Dividends unx>aid 11,821.97 2,029.16 Individual deposits United States deposits Deposits of U.S.disbursingoflieers. 273, 353.62 6, 025.70 13, 500. 00 20. 00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 406, 750.45 406, 750.45 Davis National Bank, Piedmont. H. G. DAVIS, President. Loans and discounts.. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g house, furniture, an d fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. No. 4088. $243, 288. 63 93.55 15, 000.00 131,000.00 5, 000. 00 33,035.73 8, 643. 97 52,198. 67 390. 52 2,135.00 39.15 13, 324. 95 11, 002. 00 675. 00 515, 827.17 U. B. MCCANDLISH, CasTuer. Capital stock paid in . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 50, 000.00 1,149. 96 13,100. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8, 836.83 740.00 Individual deposits United States deposits Deposits of U.S.disbursing officers 391, 949. 38 51.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 515, 827.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1227 WEST VIRGINIA. Merchants' National Bank of West Virginia, Point Pleasant. J . MCCULLOCH, President. No. 1504. C. C. BOWYER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc j^ank'ghouse, furniture, and fixtures Other real estate and inortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $151, 786. 48 942. 82 50, 000. 00 1,000.00 5, 000. C O 4, 401. 92 9, 320. 87 5, 018. 32 9,112. 21 170. 00 131.35 10,101. 50 2, 246. 00 Capital stock paid i n . . . 10,000.00 18,332.43 45, 000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 8G6.19 435.75 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 127, 393.85 Notes and bills rediscountecl. Bills payable 2, 250. 00 Liabilities other than those above ] stated 252, 028. 22 Total . $50, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 252, 028.22 Total . Wellsburg National Bank, Wellsburg. JOHN C. PALMER, President. No. 1884. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, f urniture,and fixtures Other real estate and mortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . E. W. PAXTON, Cashier. $165,146.86 Capital stock paid in | 1, 364, 75 25, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding 200.00 State-bank notes outstanding 5, 500. 00 2, 056. 00 Due to other national banks Due to State banks and bankers.. 26, 739. 74 Dividends unpaid 877. 38 Individual deposits 8, 560.00 United States deposits | 87.19 Deposit s of U.S.disbursingotticers.! 5, 581. 60 5, 500. 00 Notes and bills rediscounted... Bills payable 1,125. 00 Liabilities other than those above stated Total . 247, 738. 52 $100, 000.00 19, 495.68 1,798.49 22, 500. 00 916. 93 2,132.81 100, 864. 61 247, 738. 52 National Exchange Bank, Weston. -, Presi lent. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonhand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse.furniture,and fixtures Other real estate andmortgs owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1607. $122, 393. 58 64,842. 35 25, 000. 00 2, 500. 00 ' *6," 875." 69' 3, 500. 00 3, 501. 60 1, 821. 77 56, 668. 77 915. 39 * 502.00 54.84 1,820. 20 3, 200. 00 1,125. 66 294, 721.19 E. G. DAVISSON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 26, 000. 00 Due to other national banks Due to State banks and bankers.. 7,368. 99 5, 575.54 4,110.20 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 111,107.36 Notes and bills rediscounted Bills payable Liabilities other than those above stated 18, 059.10 Total . 294, 721.19 1228 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA, National Bank of West Virginia, Wheeling. E. W. OGLEBAY, President. No. 1424. JOHN WAGNER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items f Exchanges for clearing h house ;. Bills of other national banks ! Fractional currency, nickels, cents. j Specie j Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U. S.! ! Due from Treasurer U. S Total . $551,015.36 27.62 50, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding.. State-bank notes outstanding 17,671. 53 24, 000. 00 2, 000. 00 Due to other national banks 11, 976. 56 Due to State banks and bankers.. 8, 093. 33 38, 206. 34 Dividends unpaid 5, 093. 78 Individual deposits " " 230.00 United States deposits 97. 27 Deposits of U.S.disbursingofficers. 62, 058. 60 35, 564. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above 579.40 stated 808,863.79 I Total . $200,000.00 40, 000.00 19, 235.16 45, 000. 00 41,427.13 46, 884. 36 5, 285. 00 411, 032.14 808, 863.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1229 WISCONSIN. First National Bank, Appleton. HENRY 3>. SMITH, President. No. 1749. HERMAN E R B , Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and iixtures Other real estate and mortg's owned Due from other national banks Due from State banksandbankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house | Bills of other national banks I Fractional currency, nickels, cents, j Specie ! Legal-tender notes I U. S. certificates of deposit !. Redemption fund with Treas. U. S.j Due from Treasurer IT. S <•. Total . Liabilities. ;783, 906.15 15, G70. 65 50, 000. 00 Capital stock paid in j i 10, 000. 00 7,612.50 Surplus fund | Undivided profits, less current I expenses and taxes paid ! National-bank notes outstanding-!: State-bank notes outstanding 18, 000. 00 56, 598. 65 11, 059. 70 3, 046. 44 113,014.41 1, 415. 68 Duetto other national banks ; Due to State banks and bankers..! Dividends unpaid : Individual deposits j 8, 765. 00 United States deposits I 8, 765 770. 38 Deposits of U.S. disbursing officers. | 91,708.00 8, 000. 00 Notes and bills rediscounted | Bills payable ' 2,250.00 i . ! Liabilities other than those above j stated ;. Total 1,181,817.56 $300, 000. 00 45, 500. 00 5, 613. 31 45, 000. 00 1,200.01 12,148.54 772, 355. 70 j 1,181, 817. 56 Citizens' National Bank, Appleton. JOHN S. VAN NORTWICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bond s to sec ure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national jbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4937. JOHN J . SHERMAN, Cashier. $274,139.25 Capital stock paid in j 230.10 37,500.01) i Surplus fund Undivided profits, less current expenses and taxes paid 4, 687. 50 National-bank notes outstanding. State-bank notes outstanding "io,'3i7~56" Due to other national banks 484. 73 Due to State banks and bankers.. 506. 73 21, 079.14 Dividends unpaid 1,530.13 Individual deposits 15. 00 United States deposits 157. 39 Deposits of U.S.disbursing officers. 33,066.70 10, 610. 00 $150, 000.00 4, 000. 00 2, 721.14 33, 750. 00 1, 228. 06 150.00 184,162.47 Commercial National Bank, Appleton. J . H. WHORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc I Bank'g house, furniture,and fixtures! Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other n a t i o n a l i t i e s Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2565. H. Gr. FREFMAN, Cashier. $368,982.49 Capital stock paid in | 4,167.48 37, 500. 00 Surplus fund Undivided protits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due i o other national banks Due to State banks and bankers.. Dividends unpaid 2, 270. 00 187. 38 19, 557. 40 3, 000. 00 1,687.50 473,302.66 Individual deposits United States deposits DepositsofU.S.disbursingofficers. $150,000. 00 30, 000. 00 4, 099. 42 33, 750. 00 2,272.16 479. 23 252, 701. 85 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 473, 302. 66 1230 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Ashland. E D W I N ELLIS, No. 3590. President. C. E. STREET, Cashier. Resources. Loans and discounts— Overdrafts * U. S. bonds to secure circulation... U. S. bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Ban k'ghouse. furniture, and fixtures Otherreal estate and mortg'sowned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house j. Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $177, 351. 21 1,138.82 31, 250. 00 Capital stock paid in 1, 700. 00 National-bank notes outstanding. S t a t e - b a n k notos o u t s t a n d i n g \ 36, 500." 66 j 10,291. 08 | '711.85 I 959.51 | 20, 596. G j O 906.12 | Due to other national banks G, 0C-0. 42 28,125. G O \ Due to State banks and b a n k e r s . . ! Dividends unpaid Individual deposits j 483. 25 United States deposits ! 9,105, 00 Deposits of U.S.disbursingofficersJ i 5,793.00 | ! Notes and bills rediscounted 1,405.75 I Bills payable Liabilities other than those above stated 1,200.66 299, 392. 25 Total. $100, 000. 00 Surplus fund Undivided profits, less current j expenses and taxes paid Total . 135, 2GG. 83 10, 000. 00 20, 000.00 299,392. 25 Ashland National Bank, Ashland. THOMAS BARDON, President. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds t o secure deposits U. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc j Bank'g house,furniture,aiulfixtures! Otherreal estate and mortg's owned 1 Due from other national banks I Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks ... Fractional currency, nickels, cents. Specie I Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. U. S.j Duo from Treasurer U. S No. 3196. $202, 000. 51 918. 73 12, 500.00 50,000. 00 $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid j National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 5, 398. 55 11, 250. 00 2,1G2. 93 Due to other national banks Due to State banks and bankers. 28, 335. 77 I Dividends unpaid 127.54 Individual deposits 4, 025.00 United States deposits 22.73 Deposits of U.S.disbursing officers. 15, 326. 85 5. 003. 00 Notes and bills rediscounted Bills payable 5G2. 50 Liabilities other t h a n those above stated 2, 020. 42 Total . 323,611.98 Total . N . I. W I L L E Y , Cashier. Capital stock paid in 172,875. 41 31, 009. 43 8, 078. 59 323, 611. 98 Northern National Bank, Ashland. J . W. COCHRAN, President. Loans and discounts Overdrafts U. S. bonds t o secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, vsecurities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Duo from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3607. C. F . LATIMER, Cashier. $438.869. 93 Capital stock paid in 6,301.67 37, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 000.00 National-bank notes outstanding. 15, 500. 00 State-bank notes outstanding 3,000. 00 684. 45 Due to other national banks 571. 52 Due to State banks and b a n k e r s . . 5,430. 94 52, 494. 69 Dividends unpaid 879.12 Indivicinal deposits 2," 738." 66"| United States deposits 163. 67 jj Deposits of U.S.disbursing officers 9, 073.95 12,000. 00 1 Notes and bills rediscounted 1 Bills payable 1, 687. 50 $150, 000. C O 28, 000.00 20,468.42 33, 310.00 3,597.74 341, 8G2. 27 13, 657.01 Liabilities other than those above stated '. 590, 895. 44 Total. 590, 895. 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1231 WISCONSIN, First National Bank, Baraboo. No. 3609. M. A. WARREN, President. W. A. WARREN, Cashier. Resources. Loans and discounts j Overdrafts U. S. bonds to secure circulation... I U. S. bonds to secure depositB j U. S. bonds on hand Premiums on U. S. bonds •Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Duo from State banks and bankers. Duo from approved reserveagents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes -. U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $75,588. 09 j j Capital stock paid in 905, 58 " 12, 500.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 500. 00 National-bank notes outstanding. 15. 450. 00 State-bank notes outstanding 14,712.19 Due to other national banks Due to State banks and bankers . 17,701.73 Dividends unpaid 1,463. 68 Individual deposits j 180. 00 United States deposits j 96.14 Deposits of U. S.disbursing officers. 6, 988. 25 5, 735. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above 153, 383.16 stated Total . $50, 000. 00 2, 700.00 236. 45 11, 250.00 84,196.71 5, 000. 00 153, 383.16 First National Bank, Beaver Dam. JOHN J . WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g bouse,f urniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3270. $165, 990. 64 563. 55 12,500. 00 24,329. 96 4, 000. 00 3, 000. 00 73,505.18 789. 50 840.00 47. 25 14, 579. 20 2, 500. 00 562.50 303, 207. 78 Total . J. E. MCCLURE, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current exx>enses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 25, 000. 00 6, 891. 42 11, 250. 00 Duo to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 210,066. 36 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 303, 207. 78 German National Bank, Beaver Dam. THEODOR HUTH, Preside?it. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4602. GEO. C. CONGDON, Cashier. $109,411.83 Capital stock paid in $50,000.00 1, 764.10 12,500. 00 Surplus fund 2, 500. 00 Undivided profits, less current expenses and taxes paid 3, 986.10 3,500.00 National-bank notes outstanding. 11,250. 00 5,H81.28 State-bank notes outstanding 12,000. 00 Duo to other national banks Due to State banks and bankers. 6, 559. 66 Dividends unpaid 395.75 Individual deposits 101, 285. 27 2, 745. 00 United States deposits 23.45 Deposits of U.S.disbursingofncers. 10, 377.80 5,300. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 169,021.37 Total . 169,021.37 1232 REPORT OF THE COMPTROLLER OF THE CURRENCY. wise ON SIN. Second National Bank, Beloit. No. 2725. A. N. BORT, President. L. HOLDEN PARKER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Otherreal estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $158,762.10 2,531. 40 12. 500. 00 1,560.00 4,144. 59 1, 600. 00 Capital stock paid in. 10, 000.00 5. 431.18 11, 250. 00 Due to other national banks 30." GG* Due to State banks and bankers.. 62.11 19, 539. 3(5 Dividends unpaid 426. 53 4, 464. 00 39.04 6, 558. 20 4,000.00 562. 50 Individual deposits United States deposits Deposits of U.S. disbursing officers. 140, 099. 31 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 216, 780.49 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Total. 216, 780.49 First National Bank, Berlin. GEORGE FITCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghonse,furniture,and fixtures Otherreal estate and mortg's owned Due from other national banks Due from State banks and bankers. Dae from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S R. A. CHRISTIE, Cashier. No. 4620. $241. 755. 44 Capital stock paid in $75, 000. 00 767. 41 18, 750.00 Surplus fund 7, 500.00 Undivided profits, less current expenses and taxes paid 2, 745.13 781. 33 National-bank notes outstanding. 16, 875. 00 5, 500. 00 State-bank notes outstanding 3,185.96* Dne to other national banks 181.18 626. 22 Due to State banks and bankers 4, 044. 91 7,472.64 Dividends unpaid 12.00 1, 444. 70 210,161.10 Individual deposits 550.00 United States deposits 150.45 DeiMxsitsofU.S.disbursingonieers. 20, 601. 60 6, 000. 00 Notes and bills rediscounted Bills pay able.. 843.75 Liabilities other than those above stated 312,474.41 Total Total 312,474.41 Berlin National Bank, Berlin. JAMES H. FOSTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items ouse Exchanges for clearing hoBills of other national banks Bills ._". currency, nickels, cents. Fractional Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4641. $104,813.60 241. 74 12, 500. 00 1,560.00 15, 030. .00 3,281.48 198. 31 1,600.00 4, 895. 21 573.16 JOHN W. BROWN, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 1, 000.00 207.49 11, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposit sof U.S. disbursingomcers. 2*413.00 113. 21 0,237.35 i 5,500.00 ! Notes and bills rediscounted. 37.50 97, 024. 57 Bills payable 562. 50 Liabilities other than those above j stated 159, 519. 56 Total. 159, 519. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 3 3 WIS CONSItf. First National Bank, Black River Palls. W. T. MURRAY, President. No. 3897. TV. H. RICHARDS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Premiums on U. S. bonds Stock, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $152,147.47 313. 30 12, 500. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 1, 040. 00 State-bank notes outstanding 9,558. 07 250.00 Due to other national banks Due to State banks and bankers. 2,139. 80 14, 383. 69 Dividends unpaid 154.02 Individual deposits 655. 00 United States deposits 96.62 Deposits of U.S. disbursing officers. 13,164. 50 Notes and bills rediscounted. Bills payable 562.50 Liabilities other than those above stated Total . 206,964.97 Total . 128,887.81 206, 964. 97 First National Bank, Chippewa Falls. L. C. STANLEY, President. No. 2125. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash i t e m s . . . . . . . Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $259, 659.48 1, 639.75 100, 000. 00 L. M. NEWMAN, Cashier. $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits, less current 71, 000. 00 expenses and taxes paid 18, 396. 25 National-bank notes outstanding. 21,020.12 State-hank notes outstanding 14, 330. 00 Due to other national banks Due to State banks and bankers.. 622. 65 142, 997. 43 Dividends unpaid 245. 32 Individual deposits 100. 00 United States deposits 160. 67 Deposits of U.S.disbursingofncers. 53, 934. 55 3,000. 00 Notes and bills rediscounted Bills payable 4, 477. 50 Liabilities other than those above stated 691, 583. 72 Total . 50, 000. 00 3, 907. 62 88, 800. 00 8, 214.32 440, 661. 78 691, 583. 72 Lumbermen's National Bank, Chippewa Falls. A. B. McDoNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from api>roved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S 7,000. 00 12, 000. 00 21,699. 56 245,483. 81 2, 266. 71 " i , " 606.00 201. 65 34, 889.15 1, 000. 00 "i," 125." 66' 740, 564.48 Total. CUR, PT 2 No. 3778. $386, 269. 84 2, 628. 76 25, 000. 00 78 S. B. NIMMONS, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. $100, 000.00 50, 000. 00 13,050.00 22,500. 00 284.93 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 554,729. 55 IS otes and bills rediscounted Bills payable Liabilities other than those above stated Total. 740,564.48 1234 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Columbus. No. 178. C. E. CHADBOURN, President. J . R. GOFF, Cashier. Resources. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation... I U. S. bonds to secure deposits * U. S. bonds on band j Premiums on U S. bonds | Stocks, securities, etc j Bank'g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents.) Checks and other cash items Exchanges for clearing house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S.! ! Due*from Treasurer U. S Total. Liabilities. il80, 534. 63 352. 9:j 12,500. 00 Capital stock paid in $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 250. 00 National-bank notes outstanding. 5, 000. 00 State-bank notes outstanding 1, 200. 00 Due to other national banks Due to State banks and bankers. 26, 649. 04 Dividends unpaid 467.93 : Individual deposits j 880. 00 United States deposits 133.15 1 Deposits of U.S.disbursing officers-! 13,169.15 3, 000. 00 Notes and bills rediscounted. ! Bills payable 562. 50 Liabilities other than those above 10, 000. 00 4, 955. 24 11, 250. 00 169,494. 09 stated Total. 245,699.33 245, 699. 33 First National Bank, Darlington. No. 3161. P . A. ORTON, President. Loans and discounts. $268, 162. 29 4,179.06 Overdrafts 12, 500. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc 17, 000. 00 Bank'ghouse,furniture,andfixtures 9, 000. 00 Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. 23, 475. 63 Due from approved reserve agents. 103.71 Checks and other cash items Exchanges for clearing house 2, 060. 00 Bills of other national banks. 31.58 Fractional currency, nickels, cents. 23, 982. 35 Specie 3, 490. 00 Legal-tender notes U.S. certificates of deposit 562." 50" Redemption fund with Treas. U. S. Due from Treasurer U. S '--Total. 364, 798.24 T. C. L. MACKAY, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstandingState-bank notes outstanding $50, 000. 00 20,000.00 6, 587. 50 10, 950. 00 Due to other national banks Duo to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 277, 260. 74 364,798. 24 Citizens' National Bank, Darlington. GEO. F. WEST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand \ Premiums on U. S. bonds j Stocks, securities, etc ! Bank'g house,furuituro,andfixturesj Other real estate and mortg's owned Due from other national banks j Due from State banks and bankers. i Due from approved reserve agents, j Checks and other cash items I Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. | Due from Treasurer U, S Total. No. 3308. J. O'BRIEN, Cashier. $165,553. 69 Capital stock paid in. $so~ oooToo 192. 04 12, 500. 00 Surplus fund 10,000.00 Undivided profits, less current expenses and taxes paid 2, 284.72 1, 250. 00 National-bank notes outstanding. 11, 250.00 State-bank notes outstanding 9, 350. 00 Due to other national banks 130. 00 Due to State banks and bankers.. 113.16 24,102. 26 Dividends unpaid 274. 20 Individual deposits | 164, 206. 71 800. 00 United States deposits 202. 90 Deposits of U.S.disbursing officers 15, 410. 00 7, 527. 00 Notes and bills rediscounted Bills payable | 562. 50 Liabilities other than those above stated 237,854.59 j Total. 237,854.59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1235 "WISC O J V S I N . Eau Claire National Bank, Eau Claire. ORRIN H. INGRAM, President W. K. COFFIN, Cashier. No. 2759. Liabilities. Resources. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. I Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit .. Redemption fund with Treas. V. S. Due from Treasurer TJ. S ;509, 062. 59 8, 347. 32 25, 000. 00 2, 076. 85 51,913.02 2, 827. 41 2, 775. 400. 38, 656. 19, 500. 00 35 05 00 1,125.00 Capital stock paid in. 20, 000. 00 Due to other national banks Duo to State banks and bankers. 11, 687. 28 18,279.14 39, 558. 71 22, 500. 00 Dividends unpaid. Individual deposits. United States deposits Deposits of U.S.disbursing officers. Notes and bills rediscounted Bills payable 434, 658.46 15, 000.00 Liabilities other than those above stated Total . 661, 683. 59 Total . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 661, 683. 59 First National Bank, Elkhorn. N o . 873. C. P. GREENE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S $173,317.64 20. 69 12, 500. 00 $50, 000* 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 15, 000. 00 5, 046.51 11, 250. 00 5,000.00 4, 973. 60 34,444. 69 2, 337.19 6, 250. 00 87.05 14,206.00 13, 473. 00 562. 50 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 185, 875. 85 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 267,172.36 Total. F R E D . W. ISHAM, Cashier. Capital stock paid in. 267,172.36 First National Bank, Fond du Lac. E. A. CABEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S.bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. 1 Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 555. $448, 850.12 124.23 31.T250. 00 3, 500.00 23, 957. 73 25, 000. 00 10, 575. 77 151. 75 52,424.36 2, 375. 62 J. B. PERRY, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid $125,000.00 71,914.02 7, 336. 50 28, 080.00 710.16 Individual deposits 442,691.61 Total. 675, 732.29 United States deposits DepositsofU.S.disbursingofficers. 6, 600. 00 Notes and bills rediscounted Bills payable 1, 405. 00 Liabilities other than those above stated 1, 277. 00 307. 71 67, 933. 00 675,732. 29 1236 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Fond du Lac National Bank, Fond du Lac. CHARLES A. GALLOWAY, President. G A.KNAPP, Cashier. L Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits X S. bonds on hand L Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. Liabilities. $505, 481. 02 166.24 25,000. 00 2, 500. 00 73,125. 60 12, 500. 00 Capital stock paid in. $100,000. 00 Surplus fund Undivided profits, less current expenses ;md taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks 81.45" Due to State banks and bankers. . 1, 304. 74 94,409.93 Dividends unpaid 1, 637. 31 Individual deposits ""2~52L00 United States deposits 557.09 Deposits of U. S.disbursing officers. 43, 285. 00 34, 000. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated Total. 797,694. 38 50, 000. 00 25, 558.79 22, 500. 00 1,668.93 181. 29 597,785.37 797, 694.38 First National Bank, Fort Atkinson. JOSEPH D. CLAPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Baiik'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total-. No. 157. LUCIEN B. CASWELL, JR., Cashier. Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 6, 200.00 State-bank notes outstanding 3,000,00 11,500.00 Due to other national banks 0,424.19 Due to State banks and bankers. 40.11 43,168. 69 Dividends unpaid 880.93 Individual deposits 222.00 United States deposits 56.35 Deposits of U.S. disbursing officers. 7, 355. 00 3, 500. 00 Notes and bills rediscounted. Bills payable 675. 00 Liabilities other than those above stated 12,000.00 $130,677.23 230. 29 15,000.00 Total . 228, 929. 79 7, 079.18 13, 500.00 136, 350. 61 228,929.79 McCartney National Bank, Fort Howard. DAVID MCCARTNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house. Bills of other national banks -. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4783. $124, 826. 59 1,119.88 12, 500. 00 10, 006. 67 J . H. TAYLER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding Due to other national banks 1,739.13 I Due to Stato banks and bankers. 243.04 ! 7,189.03 I Dividends unpaid 2,589.72 I Individual" deposits 69. 00 United States deposits 332. 95 Deposits of U.S. disbursing officers 8, 385. 75 1,500. 00 Notes and bills rediscounted Bills payable 562. 50 Liabilities other than those above stated 171,064.26 Total. $50,000. 00 2,861.17 165. 92 11,250. 00 1, 313.11 85. 24 100, 388.82 5, 000. 00 171,064.26* REPORT OF THE COMPTROLLER OF THE CURRENCY. 1237 WISCONSIN, First National Bank, Grand Rapids. No. 1998. J . D. WITTER, President. E. T. HARMON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furiiiture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $209, 659. G9 Capital stock paid in. 1, 744.18 15, 000. 00 Surplus fund i Undivided profits, less current expenses and taxes paid National-bank notes outstanding, j 687. 30 State-bank notes outstanding. 4,395. 83 | Due to other national banks 416. 52 Due to State banks and bankers. 1, 834. 52 27, 852. 09 Dividends unpaid. 107. 24 Individual deposits 1, 080. 00 I United States deposits 162. 67 Deposits of U.S.disbursing officers 14, 682. 75 2,164.00 Notes and bills rediscounted. Bills payable $50, 000. 00 25, 000. 00 2, 804. 1 6 13, 500. 00 189,157. 63 675.00 Liabilities other than those above stated Total . 280,461. 79 280,461.79 Wood County National Bank, Grand Rapids. FRANK GARRISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 4639. $142, 333.18 2, 781. 30 12,500.00 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 000. 00 National bank notes outstanding. 7, 756. 63 State-bank notes outstanding 8, 700. 00 Due to other national banks 3, 500. 00 2, 018. 35 11,250.00 Due to State banks and bankers.. 59, 981. 53 232. 83 930.00 121. 70 15,018.00 1, 864. 00 562.50 Dividends unpaid Individual deposits I United States deposits Deposi ts of U.S. disbursing officers, j. Notes and bills rediscoun ted... Bills payable Liabilities other than those above stated Total. 253, 781. 67 Total. F. J. WOOD, Cashier. Capital stock paid in 187, 013, 32 253, 781. 67 Citizens' National Bank, Green Bay. HOWARD S. ELDRED, President. Loans and discounts [ Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bauk'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 3884. $355, 286.44 1,361.79 25,000. 00 W. P. WAGNER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid 2, 000. 00 National-bank notes outstanding. 15,000. 00 State-bank notes outstanding 18, 422. 52 Due to other national banks 6, 637. 39 Due to State banks and bankers.. 2, 050. 63 32, 518. 99 Dividends unpaid 4,000. 65 Individual deposits 2, 330. 00 United States deposits 1, 593. 33 Deposits of U.S.disbursingofficers. 24, 342. 00 15, 000. 00 Notes and bills rediscounted.. Bills payable 1,125. 00 Liabilities other than those above stated 506, 668. 74 Total. $100, 000.00 25,000.00 6, 557.92 22, 500. 00 H, 383. 86 2, 706.13 346, 520.83 506, 668. 74 "1238 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Kellogg National Bank, Green Bay. No. 2132. W. J. FISK, President. H. B. BAKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Premiums on U. S. bonds ! Stocks, securities, etc j Bank'ghouse,furuiture,andfixturesj Other real estate and mortg'sowne<i! Due from other national banks ' Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $405, 367. 44 310.82 25,000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 11,800.00 ; State-bank notes outstanding 50, 000. 00 13, 537. 71 22, 500. 00 12,600.00 7, 322. 74 1,817.45 90, 905. 68 5,1G8. 24 Due to other national banks Due to State banks and bankers.. 60, 789. 50 15, 000. 00 1,125. 00 3,118. 31 33, 444.94 Dividends unpaid Individual deposits " 3," 515." bb" United States deposits 56. 89 Depositsof U.S.disbursing officers. 418,177.80 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 640, 778. 76 Total. $100, 000. 00 640, 778. 76 First National Bank, Hudson. No. 95. J. A. HUMBIED, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned! Due from other national banks I Due from State banks and bankers Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S I $267,321.02 538.33 25, 000. 00 746.10 10, 498. 00 16,135. 86 71, 423.72 2, 408. 26 5,691.00 279. 42 7,380.25 ! 6, 000. 00 ! I: 1,125. 00 ij $50, 000. 00 Surplus f and Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 25, 000. 00 33, 338. 69 21, 980. 00 Due to other national banks Due to State banks and bankers. Dividends unpaidIndividual deposits United States deposits Depositsof U.S.disbursing officers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 414, 546. 96 Total. D. C. FULTON, Cashier. Capital stock paid i n . 284,133.27 95.00 414, 546. 96 First National Bank, Janesville. S. B. SMITH, President. Loans and discounts Overdrafts * U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premium s on TJ. S. bonds Stocks, securities, etc Bar. k' ghouse, furniture,and fixtures Other real estate andniortg'sowned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 2748. $335,192. 63 415.61 66, 500. 00 6, 500. 00 J. G. REXPORD, Cashier. Capital stock paid in. $125, 000. 00 Surplus fund , Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 25,000.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 547.32 75.16 15, 659.13 59, 850.00 15, 000. 00 2, 385. 38 202. 06 30, 656.44 2, 498. 25 4,368.00 35.23 52, 246. 70 12, 000. 00 2, 992. 50 530, 992. 80 Individual deposits United States deposits Depositsof U.S.disbursingofficers 116. 00 304, 745.19 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 530, 992. 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 3 9 WISC OIVSIN. Rock County National Bank, Janesville. C. S. JACKMAN, President. No. 749. A. P. BURNHAM, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and fixture; Otber real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. IT. S. Due from Treasurer IT, S Total . Liabilities. $299, 850. 91 (578.18 25, 000. 00 1, 000. 00 1, 000. 00 1, 975. 29 20,095. 86 4, 758.14 "6*812. 66 25. 56 55,440. 00 6, 000. 00 1,125. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 30,030.00 17, 042. 50 12, 560. 00 Due to other natiunal banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 264,158.44 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 423, 760.94 423, 760. 94 First National Bank, Kaukauna. H . A . FRAMBACH, No. 3641. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TT. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc • Bank 'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of depositRedemption fund with Treas. U. S. Due from Treasurer TJ, S Total . $182,258. 98 871.45 12, 500. 00 FRANK F . BECKER, Cashier. $50, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 3, 443. 09 11,250.00 1, 800. 00 Due to other national banks 'i," 134*72" Due to State banks and bankers.. 11,105.10 160.18 G7O."66" 165. 95 12,413.00 3, 500. 00 562.50 1, 385. 56 Dividends unnaid I Individual deposits j United States^deposits ' Deposits of U.S. disbursing officers.! 151, 063. 23 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 227,141. 88 227,141. 88 First National Bank, Kenosha. ZALMON G« SIMMONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits. -. U. S. bonds on hand. i Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture andfixturesj Other real estate and mortg's owned Due from other national banks Due from, State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ, S Total. No. 212. $385, 763.10 11,402. 21 12, 500. 00 92, 483. 50 7, 595.11 3, 338.16 1, 240. 89 66, 055. 43 2,713.98 i, 800. 66 203. 07 75,150. 94 26, 560. 00 562.50 687,368. 89 C. C. B R O W N , Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Cashier. $50, 000. 00 25, 000. 00 31, 367. 83 11, 250.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U .S.disbursing officers - 569, 751. 06 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 687, 368. 89 1240 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. La Crosse National Bank, La Crosse. No. 2344. JOHN PAUL, President. Gr. W. BURTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total $742, 403. 91 1, 002. 89 50, 000. 00 Capital stock paid in. $200, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000. 00 63,105. 78 45,000. 00 20, 000. 00 Due to other national banks 19, 784. 78 Due to State banks and bankers.. 2,448. 63 155, 545.17 Dividends unpaid 10, 313. 23 Individual deposits 9,200. 00 United States deposits 65.00 Deposits of U.S. disbursing officers 49, 600. 00 12, 400. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 1,075,013.61 Total . 28, 828.10 97, 587.15 600,492. 58 1, 075, 013. 61 First National Bank, Lake Geneva. ALVAN E. TYLER, President. No. 3125. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $137, 538. 79 2, 763. 55 12, 500. 00 7,175. 00 48, 682. 99 915. 52 2,901.00 209.12 8,163.10 2, 500. 00 562. 50 JOSIAH BARPIELD, Cashier. $50, 000. 00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 12, 000.00 891.81 11, 250. 00 Due to other national banks Due to State banks and bankers . Dividends unpaid Individual deposits United States deposits Deposi tsof U. S.disbursing officers 149, 769. 76 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 223,911.57 Total. 223, 911. 57 First National Bank, Madison. N. B. VAN SLYKE, President. No. 144. AVAYNE RAMSAY, Cashier. ! Loans and discounts $675,813.45 ' Capital stock paid in $100, 000.00 Overdrafts 1, 009. 91 ! IT. S. bonds to secure circulation... 25,000.00 Surplus fund 100, 000. 00 IT. S. bonds to secure deposits f>0, 000. 00 Undivided profits, less current I U. S. bonds on hand 2, 250. 00 expenses and taxes pa-id G, 837.93 Premiums on IT. S. bonds 201.50 National-bank notes outstanding.I 22, 50J. 00 Stocks, securities, etc 40,190.59 State-bank notes outstanding I Bank'ghouse.furniture, and fixtures 21, 000.00 Other real estate and mortg's owned 4,395. 51 Duo to other national banks I 454.40 Due from other national banks 22, 216.43 Due to State banks and bankers..' Due from State banks and bankers Due from approved reserve agents. 143, 732. 82 Dividends unpaid i Checks and other cash items 1, 817. 37 Exchanges for clearing house Individual deposits 806, 310. 33 Bills of other national banks 1, 865. 00 United States deposits 39, 822.13 Fractional currency, nickels, couts. 300. 70 Deposits of U.S.disbursingoflicers. 4. 287.49 Specie 74, 874. 00 !, Legal-tender notes 8, 420. 00 Notes and bills rediscounted < IT. S. certificates of deposit Bills payable ! Redemption fund with Treas. U. S. 1,125. 00 Due from Treasurer U. S Liabilities other than those above \ stated !. Total. 1,080,212.28 Total I 1, 080, 212.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1241 WISCONSIN. National Bank, Manitowoc. No. 4975. L. D. MOSES, President CLARENCE HILL, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' g; house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $182,557.39 366. 82 25, 000. 00 3, 000. 00 1, 000.00 11, 384. 01 1, 092.62 23, 444. 78 131.71 165. 00 244.14 2, 397. 00 9, 835. 00 1,125.00 Capital stock paid in 600. 00 1,815.18 22,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers. 86, 828. 29 Notes and bills rediscounted. Bills x>ayable Liabilities other than those above stated Total. 211, 743.47 Total . $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 211,743.47 First National Bank, Marinette. HENRY SWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ..' Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items No. 4123. 25, 000. 00 2, 500. 00 " 2," 998." 07' 14,248.35 538. 61 E x c h a n g e s for c l e a r i n g h o u s e Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes T7. S. certificates of deposit Redemption fond with Treas. U. S.! Due from Treasurer TJ. S Total. I R A D. BUCK, Cashier. $234, 419. 82 I Capital stock paid In . 2,912.00 658. 35 9,495.00 7,000. 00 1,125. 00 300, 895. 20 $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding. 3,991.78 22,500. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 380.57 Individual deposits United States deposits Deposits of U. S.disbursing officers. 8, 500. 00 165, 522.85 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 300, 895. 20 Stephenson National Bank, Marinette. ISAAC STEPHENSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g hou8e,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total . No. 4137. L. A. MCALPINE, Cashier. $377, 699.01 Capital stock paid in. $100, 000. 00 354.15 - 25,000.00 Surplus fund. 13,000.00 Undivided profits, less current 7, 470. 30 expenses and taxes paid 2, 000. 00 National-bank notes outstanding. 22, 500. 00 5,000. 0C State-bank notes outstanding 1,600.00 1, 350. 00 Due to other national banks 3, 033.62 Due to State banks and bankers. 222. 02 151,300.70 Dividends unpaid 448.03 Individual deposits 2, 020. 00 United States deposits 690.81 Deposits of U.S. disbursing officers. 36, 952. 95 4, 055. 00 Notes and bills rediscounted. Bills payable 1,125. 00 Liabilities othfer than those above stated ! 612,851.29 Total. 612,851. 29 1242 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Marshfield. No. 4573. ADAM HAFER, President. EDWARD L. REESE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $81, 396. 21 337. 99 12, 500. 00 100. 00 218.75 22. 65 10,100. 00 2,158.11 408.32 13, 876. 88 428. 50 2, 265. 00 139.42 3, 337. 05 2, 000. 00 562.50 Capital stock paid in. $50,000.00 Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 1, 782. 48 11,250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits , DepositsofU.S.disbursingofiicers. 56, 818. 90 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 129, 851. 38 129, 851. 38 First National Bank, Menasha. GEO. H. UTZ, Cashier. No. 3724. CHAS. R. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total $210,977. 26 1, 566. 21 20, 000. 00 2, 500. 00 13.279.00 1, 492. 25 12,'430*75 853.90 2,346. 00 118.13 8, 953. 25 3, 000. 00 900.00 Capital stock paid in $80, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 4,194. 96 18, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 154, 725. 31 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 278, 416. 75 278, 416.75 First National Bank, Menomonie. FRANK J. MCLEAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2851. W. C. MCLEAN, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 29.25 5, 032.16 56,741.10 11.00 645. 00 41.85 17,044.10 1, 000. 00 675.00 329, 656. 81 $60, 000.00 1, 000.00 2, 804.94 13,200.00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers 252,651.87 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 329, 656.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1243 WISCONSIN. First National Bank, Merrill. No. 3704. L. N. ANSON, President. J . W. LADD, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortals owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing; house Bills of other national banks Fractional currency, nickels, cents. * Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $204,128. 68 1,038.36 15, 000. 00 Capital stock paid in. $60, 000. 00 Surplusfund Undivided profits, less current expenses and taxes paid -. 1, 500. 00 National-bank notes outstanding. 7,501.88 State-bank notes outstanding 2,558. 00 Due to other national banks 1, 019. 48 545.47 Due to State banks and bankers.. 40, 800. 22 Dividends unpaid 590.17 Individual deposits 1,100. 00 United States deposits 658.17 Deposits of U.S.disbursingofficers. 22,442. 40 2, 790. 00 Notes and bills rediscounted.. Bills payable 12, 000. 00 7, 322. 79 13, 100.00 1, 260. 53 208, 664. 51 675*66" Liabilities other than those above stated Total 302, 347. 83 302,347.83 National Bank, Merrill. S. HEINEMAN, President. No. 4736. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $178,782. 65 280.59 25, 000. 00 3,125.00 14, 500. 00 4, 410. 00 1,524.31 34, 829. 85 1, 975. 44 738.00 53.41 9, 553. 90 5, 000. 00 *i," ±25." 66' 280, 898.15 GEO. A. FOSTER, Cashier. Capital stock paid in. Surplusfund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $100, 000.00 2, 000. 00 3, 310. 24 22, 500. 00 1, 069.12 1, 079. 67 150,939.12 Notes and bills rediscounted . Bills payable Liabilities other than those above stated Total. First National Bank, Milwaukee. F. Gr. BIGELOW, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank 'ghouse.furnit ure,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total F. J. K I P P , Cashier. No. 2715. $7,412, 228.14 Capital stock paid in. $1,000,000.00 34,208.31 150, 000. 00 220, 000. 00 Surplus fund 180, 000. 00 Undivided profits, less current expenses and taxes paid 68, 435. 02 3, 000. 00 198, 000. 00 60, 360. 00 National-bank notes outstanding. State-bank notes outstanding 252,155. 00 16, 000. 00 Due to other national banks 1,123, 561. 34 509, 229. 69 153,187.17 Due to State banks and bankers.. 109,682.68 1, 361,438. 58 Dividends unpaid 208.36 8, 020, 345. 67 133,101.07 Individual deposits 59, 391. 62 41,922. 00 Certified checks 18, 244. 02 993. 94 United States deposits 147, 937. 89 865, 900. 00 Deposits of U.S. disbursing officers. 440, 800. 00 Notes and bills rediscounted. Bills payable 9, 900. 00 Liabilities other than those above stated 11, 295,145. 25 Total 11,295,145.25 1244 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Central National Bank, Milwaukee. No. 4816. GEO. G. HOUGHTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank1 g house, furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items ... Exchanges for clearing house...-'.. Bills of other nationarbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Duefrom Treasurer U. S HERMAN F. WOLF, Cashier. Liabilities. ,410,508.36 I Capital stock paid in 8, 062. 69 i 50, 000. 00 ! Surplus fund 7, 250. 00 6, 810.15 25, 600. 00 10, 000. 00 116,641.18 15, 346. 24 243, 667. 64 39, 650.12 14, 000. 00 430. 38 349, 452. 00 40, 309. 00 * 2, 250. 00 500.00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 47, 025. 73 45, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 69,261.54 70, 675. 95 Individual deposits Certified checks United States deposits Deposits of U. S.disbursing officers. 1,803,318.49 5, 256. 00 Notes and bills rediscounted Bills payable Liabilities other than those above stated 2, 340, 537. 71 Total. $300, 000.00 Total 2,340,537.71 Milwaukee National Bank ofWisconsin, Milwaukee. J. D. INBUSCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation...j U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc [ Bank'ghouso,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S No. 1017. GEO. W. STROHMEYER, Cashier. $956, 251. 07 Capital stock paid in $450, 000. 00 6, 954.16 | 21, 000. 00 100,000.00 ! Surplus fund 125, 000. 100, 000. 25, 000. 12, 747. 2, 493. 65, 676. 00 00 00 59 56 74 12, 685. 74 4, 082. 00 300.21 172, 670. 00 25, 000. 00 4, 500. 00 Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding1 Due to other national banks Due to State banks and bankers.. Dividends unpaid •.... Individual deposits United States deposits Certified checks. Deposits of U. S.disbursing officers. Notes and bills rediscounted-.. Bills payable 8, 298.03 89, 000.00 49,170. 68 42, CIO. 98 952. 381. 38 900. 00 Liabilities other than those above stated Total Total. 1, 613, 361.07 National Exchange Bank, Milwaukee. CHAS. RAY, President. No. 1003. GRANT FITCH, Cashier. $1, 980, 963.71 Capital stock paid in Loans and discounts 40,871. 34 Overdrafts Surplus fund 150,000.00 U. S. bonds to secure circulation... j 160, 000. 00 Undivided profits, less current U. S. bonds to secure deposits | TJ. S. bonds on hand Premiums on U. S. bonds j Stocks, securities, etc ! Bank'ghouse,f urnit ure, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $500, 000.00 100, 000.00 expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 18, 290. 20 135, 000. 00 I Due to other national banks 195, 035. 00 i Due to State banks and batfkers.. 44, 563. 64 608, 524. 54 Dividends unpaid 1, 080. 67 27, 223. 56 Individual deposits 7,177.00 Certified checks 256.22 United States deposits 401, 005. 00 Deposits of LI. S.disbursing officers 30, 000. 00 Notes and bills rediscounted. Bills payable 6, 750. 00 5, 000. 00 Liabilities other than those above stated 261, 595. 73 93, 421. 82 38, 500. 00 92, 650.00 3,789,600.68 Total. 2, 515, 535. 68 19,116. 90 109, 395. 82 37, 244.53 3, 789, 600. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1245 WI S C O N S I N . Wisconsin National Bank, Milwaukee. No. 4817. F E E D PABST, Preside? FRED'K KASTEN, CasJiicr. Resources. Liabilities. $3, 733, 13, 200, 50, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S 922. 651. 000. 000. 06 08 00 00 33, 500. 00 172, 500. 00 16, 263. 03 "306," 235." 44* 174,883.10 598,415. 24 349.18 85,145. 64 4, 271. 00 449. 78 500, 285. 00 54, 382. 00 C a p i t a l stock paid in $1, 000, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 105, 000. 00 Due to other national banks Due to State banks and bankers.. 293, 703. 90 199, 693. 54 50, 799. 59 179, 400. 00 Dividends unpaid Individual deposits Certified checks United States deposits Deposits of U.S. disbursingofficers. Notes and bills rediscounted.. Bills payable 4, 082, 888. 74 1, 750.10 45, 016. 68 Liabilities other than those above stated Total . Total . 5, 958, 252. 55 5, 958, 252. 55 First National Bank, Mineral Point. J O H N H. VIVIAN, President. No. 3203. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits j U. S. bonds on hand \ Premiums on U. S. bonds : Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Other real estate and mortg's ownedl Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Cheeks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. I Due from Treasurer U. S Total $216, 344. 21 3, 805. 79 25, 000. 00 ! 1, 793. 45 9, 800. 00 121. 97 18, 282. 47 643. 89 975. 00 23.19 13,192.50 2, 045. 01) 1,125. 00 293,152.47 P H I L ALLEN, J R . , Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 20. 000. 00 4,848.02 22, 500. 00 Duo to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits | United States deposits I. Deposits of U.S.disbursingofficersJ. 145, 804. 45 Notes and bills rediscounted. Bills payable Liabilities other than those abo^e stated Total . First National Bank, Monroe. HENRY LUDLOW, Preside?it. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks,.securities, etc j Bank'ghouse,furniture, and fixtures Other real'estate'and mortg's owned Due from other'national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of 6\her national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 230. C. W. TWINING, Cashier. 5290,447.79 j Capital stock paid in. $100, 000. 00 248.14 | 25,000.00 ! Surplusfund 75,000.00 Undivided profits, less current 6, 910.84 expenses and taxes paid 21,810.00 National-bank notes outstanding. 37,333.35 | State-bank notes outstanding 10,000.00 Due to other national banks 601.83 Due to State banks and bankers.. 52, 051. 24 Dividends unpaid ., 310. 24 Individual deposits 247, 094. 49 2, 500. 00 United States deposits 214.45 Deposits of U.S.disbursingofficers. 26, 732. ] 5 5, 225. 00 Notes and bills rediscounted. Bills payable 1,125.00 259. 80 Liabilities other than those above stated 451, 447.16 Total . 451,447.16 1246 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Manufacturers' National Bank, Neenah. HIKAM SMITH, President. No. 2603. S. B. MORGAN, Cashier. Kesourees. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on band Premiums on IT. S. bonds Stocks, securities, etc Bank'gliouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Duo from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie > . Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S Total $306, 617. 98 642. 62 17, 000. 00 500. 00 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding $65, 000. 00 15, 000. 00 C5, 111. 04 15, 300. 00 8, 000.00 Due to other national banks 3,928. 22 Due to State banks and bankers.. 1,132.99 40, 38(5. 63 Dividends unpaid 119.06 Individual deposits '""'497.'66" United States deposits 110.40 Deposits of U.S.disbursing officers. 11. 795. 30 455.00 Notes and bills rediscounted. Bills payable 765. 00 Liabilities other than those abo ve stated 391, 950. 20 Total . 4, 724. 08 198.05 226, 617. 03 391,950.20 National Bank, Neenah. ROBERT SHIELLS. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 1 Premiums on U. S. bonds ! Stocks, securities, etc | Bank'ghouse,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes j U. S. certificates of deposit ' Redemption fund with Treas. U. S.s j Due from Treasurer U. S Total. JOHN P . SHTELLS, Cashier. No. 1602. ;370, 873. 73 Capital stock paid i n . $75, 000. 00 9, 008. 73 20, 000. 00 Surplus fund 25, 000.00 Undivided profits, less current expenses and taxes paid 6, 319.10 National-bank notes outstanding . 18, 000. 00 State-bank notes outstanding 17,153.18 3, 8">8. 02 32, 945. 06 1, 200. 00 180.58 13, 660. 35 3, 000. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 6,105. 69 Individual deposits United States deposits Deposits of U. S.disbursing officers. 342, 354. 86 Notes and bills rediscounted Bills payable 966." 00 Liabilities other than those above stated 472, 779. 65 Total. 472, 779. 65 First National Bank, New London. L. D. MOSES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U.S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank;ghouse,furniture,and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treas oxer U. S Total . S. T. RITCHIE, Cashier. No. 5013. $30, 005. 60 Capital stock paid in. $50, 000. 00 35. 06 12,500. 00 Surplus fund Undivided profits, less current expenses and taxes paid 1, 578.12 National-bank notes outstanding. 11, 250. 00 536.56 State-bank notes outstanding 1,682.46 67.87 Due to other national banks 4, 865. 32 Due to State banks and bankers. 23, 534. 03 Dividends unpaid x 72.95 Individual deposits 21, 406. 06 1,215.00 United States deposits 99.54 Deposits of U.S.disbursingofficers. 2, 221. 05 3, 680. 00 Notes and bills rediscounted Bills payable 562.50 Liabilities other than those above stated 82, 656.06 Total . 82, 656. 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1247 WISCONSIN. Oconto National Bank, Oconto. No. 3541. GEORGE BEYER, President. "W. K. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from ax>proved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels; cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total $153,421.90 7, 044. 35 15, 000. 00 8, 482. 70 7, 000. 00 27,160. 54 1, 784. 38 3, 690. 00 158.01 24, 570. 00 2, 000. 00 Capital stock paid in $60, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 12, 000. 00 5.211.77 13,140. 00 Due to other national banks Due to State banks and bankers .. | Dividends unpaid I Individual deposits I United States deposits ! Depositsof U.S.disbursingofficers. 160, 635.11 I Notes and bills rediscounted I Bills payable I 675. 00 i * i . Liabilities other than those above stated Total . 250, 986. 88 250, 986. $ German National Bank, Oshkosh. GEO. No. 4196. BAUMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . R. B. EVANS, Cashier. $114, 964. 70 i Capital stock paid in 1,086.82 25, 000. 00 { Surplus fund Undivided profits* less current expenses and taxes paid 3, 200. 00 National-bank notes outstanding. State-bank notes outstanding $100,000.00 100, 000. 00 17, 458. 21 22,500.00 10," 904. 50 545.34 15, 530. 34 3,163.14 1, 981. 00 '78.92 22, 888. 00 2,000.00 " 1," 125."66 Duo to other national banks Due to State banks and bankers .. Dividends unpaid 2,132. 95 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 260, 376. 60 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . . 502, 467. 76 502,467. 76 National Bank, Oshkosh. No. 2877. SAMUEL M. HAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing bouse Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S." Total . $959, 867. 26 2,412. 67 50, 000. 00 50, 000. 00 io,"666."66 44, 208. 09 44, 000. 00 16, 11, 136, 6, 727. 61 347. 54 962. 20 252. 32 2, 504. 42L 109, 400. 30, 000. 00 54 00 GO 2, 250. 00 1,476, 353. 23 CHAS. SCHRIBER, Cashier. Capital stock paid in . $200,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 100, 000.00 Due to other national banks Due to State banks and bankers .. Dividends unpaid 2, 886. 06 3,181.99 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 1, 010,478.08 45, 000. 00 70, 307.10 44,500.00 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,476, 353.23 1248 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCON SIN. National Union Bank, Oshkosh. No. 4508. W. K. HIDEOUT, President. R. H. HACKETT, Cashier. Liabilities. Resources. Loans and discounts ()verd rafts.. -^ II. 8. bonds toibecure circulation... U.S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture, and (fixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $49:5, 984. 26 921.11 50, 000. 00 6, 000. 00 Capital stock paid in i $200, 000. 00 Surplus fund I Undivided profits, less current expenses and taxes paid National-banknotes outstanding.j State-bank notes outstanding j 50, 000. 00 " 27," 800." 66 27, 400. 29 2, 929. 98 " 2, 4I6. 00 159. 83 2G, 500. 55 7, 000. 00 * 2 * 250." 66" Due to other national banks Due to State banks and bankers.. I Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. 2, 216. 46 307. 99 340,057. 52 Notes and bills redisconnted Bills payable Liabilities other than those above stated 6,48, 047. 56 Total . 10, 4(55. 59 45,000.00 Total . 648, 047. 56 First National Bank, Platteville. No. 4650. GEO. W. EASTMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse^urniture^ndfixtures Other realestate and mortg's owned Due from other national banks Due from State banks and bankers. Dne from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. M. HETHEBINGTON, Cashier. 09 II Capital stock paid in. $130, 44 1 00 i! 12, $50, 000. 00 SnrplusfundUndivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid 2, 005. 00 55. 98 10,198. 00 4, :-!50. 00 * 562.50 Individual deposits. United States deposits DepositsofU.S.disbursing officers. 4, COO. 00 1, 270.40 10,950.00 15.00 138, 946. 01 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 205,181.41 205,181.41 First National Bank, Portage. J . E. WELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds i Stocks, securities, etc j Bank'ghouse,furniture,andfixtures Other realestate and mortg's owned Due from other national banks '• Due from State banks and bankers Due from approved reserve agents. \ Checks and other cash items Exchanges for clearing house. Bills of othernationalbanks. Fractional currency, nickels, cents. j Specie * . I Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. U.S.; Due from Treasurer U, S '. Total. N o . 4234. $229,416. 00 495. 90 20, 000. 00 1, 000. 00 77, 053. 40 2, 000. 00 E. A. GOWRAN, Cashier. Capital stock paid in. Snrplusfund Undivided profits, less c u r r e n t expenses and taxes i>aid National-bank notes outstanding. State-bank notes outstanding 75, 000. 00 4, 500. 00 8, 070.43 18, 000. 00 Due to other national banks Due to State banks and b a n k e r s . . 11, 388. 82 2, 852.09 Dividends unpaid 943. 280. 17, 495. 4, 500. Individual deposits United State's deposits Deposits of U.S.disbursingofticers. Notes and bills rediscounted. Bills payable 1,939.00 00 74 00 00 260, 815. 52 900. 00 Liabilities other than those above stated 368, 324. 95 Total. 368, 324.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1249 WISCONSIN. First National Bank, Racine. NICHOLAS D. FRATT, President. No. 457. G. 1ST. P R A T T , Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.... TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on TJ. S. bouds Stocks, securities, etc Bank 'g house, furniture, and fixtures Other real estate and mortg's owned Duo from other national banks Due from State banks and bankers. Due from apx>roved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels,cents. Specie Legal-tender notes ' TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Cashier. Liabilities. $479, 009.14 1, 750.12 37, 500. 00 1, 726. 56 92,171. 35 10, 000. 00 250.00 29, 663. 74 3, 379.19 Capital stock paid in $150,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 150,000.00 10,597.07 33, 250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 366, 758. 56 710, 605. 63 Total. Individual deposit s ""3" 744." 66" United States deposits 217.73 Deposits of U.S.disbursingofficers. 34, 426. 30 15, 080. 00 Notes and bills rediscounted Bills pay able 1.687*56" Liabilities other than those above stated 710,605.63 Total . . . Manufacturers' National Bank, Racine. STEPHEN BULL, President. No. 1802. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items .Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S, $820,656. 79 3, 897. 77 50, 000. 00 2, 300. 00 119, 900. 00 15, 000. 00 ' 15,913*41 5, 355. 92 48, 880. 70 4, 790. 84 384. 00 2, 757. 88 125, 387. 70 2,150. 00 1, 850. 00 B. B. NORTHROP, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Depo sits of U.S. disbursing officers. $250,000.00 100, 000. 00 78, 279. 69 45, 000. 00 327. 96 745, 617. 42 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 1, 219, 225. 07 Union National Bank, Racine. F. K. BULL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and banker,-?. Due from approved reserve agents Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ, S Total. CUR? PT 2 H. J . ROGERS, Cashier. No. 2557. $383, 958. 66 Capital stock paid in. $225, 000.00 1, 703. 09 50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 5, 870.15 44,800. 00 National-bank notes outstanding . 79, 447. 33 State-bank notes outstanding 3,000. 00 Due to other national banks 1, 076.18 Due to State banks and bankers.. 1, 333. 54 37, 951. 85 Dividends unpaid 2,072. 48 Individual deposits "2*206" 66" United States deposits 409.79 14, 947. 75 11, 618. 00 2, 240. 00 Notes and bills rediscounted Bills payable 25, 000. 00 Liabilities other than those above stated 590, 882.49 -79 289,136.16 Deposits of U. S .disbursing officers. Total . 590, 882.49 1250 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Rhinelander. No. 4bl2. LEANDER CHOATE, President. W. E. ASHTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house, furniture, andfixtures' Other real estate and mortg's owned Due from other national banks i Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items. Exchanges for clearing house houi Bills of other national bank Fractional currency, nickels, cents.i Specie '• Legal-tender notes | U. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer U, S I. $143,656.39 278.78 12,500.00 D u e to other n a t i o n a l b a n k s D u e to State b a n k s a n d b a n k e r s . . 1, 562. 00 30, 000. 00 3,164. 63 90.19 13, 703. 87 11, 250. 00 '"9," 956." 93* 1,554.88 32, 765.12 724.60 360.36 200. 00 14.60 5,420.70 3,045.00 D i v i d e n d s unpaid I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S.disbursingofficers. 104,393.17 Notes and bills rediscounted Bills payable " " 5 6 2 . " 50 "i Liabilities other t h a n those above stated Total . 212, 601. 86 Total . $50, 000. 00 Capital stock paid in S u r p l u s fund Undivided profits, less c u r r e n t expenses a n d t a x e s paid N a t i o n a l - b a n k notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 212, 601. 86 First National Bank, Ripon. No. 425. H. H. MEAD, President. GEORGE L. FIELD, Cashier. $349, 858. 95 Capital stock paid in. Loans and discounts 838.24 . Overdrafts 60,000.00 Surplus fund U. S. bonds to secure circulation... Undivided profits, less current U. S. bonds to secure deposits expenses and taxes paid U. S. bonds on hand j-National-bank notes outstanding. Premiums on U. S. bonds j 15, 770. 00 State-bank notes outstanding Stocks, securities, etc I 8, 000. 00 Bank'g liouse,furniture,and fixtures! Other real estate and mortg's owned! Due to other national banks Due from other national banks Due to State banks and bankers. 4,272.00 Due from State banks and bankers. 45,971.55 Dividends unpaid Due from approved reserve agents. 743.09 I Checks and other cash items. Individual deposits Exchanges for clearing house 540.00 United States deposits Bills of other national banks 191. 37 Deposits of U.S.disbursing officers. Fractional currency, nickels, cents. 16, 221. 60 Specie 8, 000. 00 Notes and bills rediscounted Legal-tender notes U . S . certificates of deposit Bills payable "2,706.00 Redemption fund with Treas. U. S. Liabilities other than those above Due from Treasurer U. S stated Total $60, 000. 00 40, 000. 00 4, 481. 24 53, 300. 00 355, 325. 56 Total. 513,106. 80 513,106. 80 German National Bank, Ripon. LORENZO D. MOSES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures I Other real estate and mortg's owned. ! Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractionalcurrency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4305. $127, 512. 60 409. 61 12, 500. 00 1,500. 00 8,630*02 69.87 8, 624. 70 2,380. 00 562.50 170, 613.85 A. J . SCHLOERB, Cashier. Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding..... Due to other national banks Due to State banks and bankers. . Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. ! I $50, 000. 00 1, 550. 00 1, 969. 92 11, 250. 00 .25 105, 843. 68 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 170, 613.85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1251 WISCONSIN. First National Bank, Shullsburg. No. 4055. W M . LOOK, President. JOHN H. SAVA6H, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits II. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,!urniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agentsChecks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S - Due from Treasurer U. S Liabilities. 285, 419. 40 3, 825. 67 12, 500. 00 1, 750. 00 2,413. 86 26, 068. 89 322.00 390.00 47.73 15, 069.00 2, 620. 00 562.50 Capital stock paid in 10,000.00 3, 691.17 11,250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofficers. 276, 047. 88 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 350,989.05 Total. $50, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding Total . 350, 989. 05 South Milwaukee National Bank, South Milwaukee. S. MCCORD, President. No. 4893. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank' g house, furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and banker! Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $72, 278.18 44.60 25, 000. 00 3, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50,000.00 450.00 638. 84 22, 500.00 "i6,"824.'68" 9, 993.19 745.18 41.17 2,014. 70 1,100. 00 1,125. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 52, 577. g Notes and bills rediscounted. Bills payable Liabilities other than those above stated 126,166. 70 Total . E . B. INGALLS, Cashier. Capital stock paid in Total . 126,166. 70 First National Bank, Stevens Point. A. R. "WEEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents . Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3001. "W. B. BUCKINGHAM, Cashier. 1288, 653.08 Capital stock paid in. "i2~56o."oo' Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding.. 1, 500. 00 68, 202.28 16, 500. 00 5, 000. 00 32, 257. 94 5, 748. 33 3, 940. 00 406. 45 22, 048. 65 1, 408. 00 562.50 458, 727. 23 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $50, 000. 00 25, 000. 00 1,494.15 11, 250. 00 90.00 370, 893. 08 Notes and bills rediscounted. Bills payable Liabilities other than those above . stated Total 458, 727.23 1252 REPORT OF THE COMPTROLLER OF THE CURRENCY. W1SC ONSIN. Citizens' National Bank, Stevens Point. No. 4912. R. C. RUSSELL, President. Gr. E. MCDILL, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'gliouse,furniture,andnxtures Other real estate and mortg's owned Dae from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $192, 921.15 12. 05 25, 000. 00 3, 000. 00 7, 500. 00 28, 215. 81 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 500. 00 4, 033. 40 22, 500. 00 Due to other national banks 3, 786.11 il Due to State banks and bankers. 19, 083. 08 I Dividends unpaid 675. 80 " 1 , 7 2 6 . 00 145. 69 7, 668.10 5, 090. 00 * "l,125.00 Individual deposits United States deposits Deposits of U.S.disbursing officers 167, 819. 99 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 295, 853. 39 Total . 295, 853. 39 First National Bank, Superior. No. 3926. W M . B. BANKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U . S , b o n d s on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture.aiid fixtures Other real estate and mortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $324, 910.18 101.30 50, 000. 00 74, 500.00 58,900. 00 3,213.20 22, 237. 01 85, 1, 1, 1, 394. 81 326. 04 953. 05 200. 00 119. 69 22, 615. 60 2,018. 00 2, 250. 00 W. H. SLACK, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 1, 267.48 44, 300.00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 12, 977. 46 7, 915. 33 Individual deposits United States deposits Dej>osits of U.S.disb ursing officers. 220, 488. 32 Notes and bills rediscounted Bills payable Liabilities other than those above I stated Total.. 650, 739.78 13, 791.19 650, 739. 78 Northwestern National Bank, Superior. H. T. EOWLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate andmortg's owned Due from other nationalbanks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. No. 4878. $429, 241.15 C. JULSRUD, Cashier. Capital stock paid in . 52, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 30, 450. 00 State-bank notes outstanding 9, 924. 89 Due to other national banks 59, 904. 54 Due to State banks and bankers.. 23,439. 91 56, 594. 60 Dividends mrpaid 18, 747. 99 2, 688. 27 Individual deposits 680. 00 United States deposits 47.08 Deposits ofU.S.disbursing officers. 25, 724.15 J 1,500. 00 Notes and bills rediscounted. Bills payable 2, 292. 50 Liabilities other than those above stated 723, 235, 08 j Total . . $300, 000. 00 5, 600. 00 11, 931. 09 45, 850. 00 29, 253. 94 27, 215.49 303, 384. 56 723, 235. C REPORT OF THE COMPTROLLER OF THE CURRENCY. 1253 wise ONSO. "Wisconsin National Bank, Watertown. DANIEL JONES, President. No. 1010. PETER Y. BROWN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $162,660. 66 Capital stock paid in. G, 189. 87 12, 500. 00 Surplusfund Undivided profits, less current expenses and taxes paid 1, 526. 67 National-bank notes outstanding. 31, 750. 00 State-bank notes outstanding 5, 000.00 25, 644. 32 Due to other national banks 283.82 Due to State banks and bankers. 742.18 10, 718. 63 Dividends unpaid 505. 30 Individual deposits 4, 451. 00 United States deposits 118. 78 Deposits of U.S. disbursing officers. 9, 739.10 7, 000. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 279,392. 83 Total. $50, 000.00 25, 000. 00 1, 093. 84 11, 250. 00 192,048. 99 279,392.83 National Exchange Bank, Waukesha. R. M. JAMESON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture.and fixtures Other real estate and mortg's owned Due from other national banks . Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2647. $205,515. 36 4, 091. 96 18, 500. 00 300.00 2, 320. 00 3,127.00 24, 576.87 29.50 24, 534. 26 588. 28 361. 25 11, 055.15 4, 800. 00 832. 50 W. P. SAWYER, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. $50, 000. 00 25, 000. 00 393. 97 16, 650. 00 9.40 208, 578. 76 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 300, 632.13 300, 632.13 Waukesha National Bank, Waukesha. ANDREW J. FRAME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankersDue from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1086. $583,167. 82 2, 289. 36 150, 000. 00 13,500. 00 207, 733. 72 12, 000.00 7, 320. 00 1, 746. 63 55,497.44 5, 333. 20 2,570. 00 199. 77 60,941.06 17, 400. 00 6, 750. 00 1,126,449. 00 HENRY M. FRAME, Cashier. Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding...". $150, 000. 00 30, 000. 00 30,406. 74 135, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 781, 042. 26 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total 1,126,449.00 1254 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. National Bank, Waupaca. No. 4424. R. N. ROBERTS, President. W. B. BAKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... D". S. bonds to secure deposits U. S. bonds on hand Premiums onll.S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve, agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. Liabilities. $175, 842. 23 1, 944. 01 12, 500. 00 1, 250. 00 4, 500. 00 2, 395. 00 *25L 84 5, 933.17 2,104.18 '506.00' 105. 80 13, 978.15 2, 000. 00 """562."50" $50, 000.00 Capital stock paid in Surplus fund rpJus Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 24,000.00 2, 801. 62 11, 250. 00 Due to other national banks Due to State banks and bankers..' Dividends unpaid 386.14 Individual deposits United States deposits Deposits of U. S.disbursingoflicers. 133, 429.12 Notes and bills rediscounted Bills payable 2, 000. 00 Liabilities other than those above stated Total . 223, 866.88 223, 866. 88 "Waupaca County National Bank, Waupaca. CHAS. CHURCHILL, President. No. 4414. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on TJ. S. bonds Stocks, securities, etc Bank'g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $83, 827. 07 965. 73 12, 500. 00 1, 250. 00 8, 409. 43 8, 254. 01 69.64 1, 000. 00 97. 07 2, 378. 85 1, 600. 00 562. 50 $50,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 1, 620. 00 1,165. 84 11, 250. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 56, 878. 46 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 120, 914.30 Total. M. F . SKINNER, Cashier. Capital stock paid in . 120, 914. 2 Total. First National Bank, Waupun. GEORGE W. MITCHELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks securities, etc Bank'g house,furniture,and fixtures Other real estate andmortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3391. $143,180. 76 B. W. DAVIS, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid 4, 500. 00 National-bank notes outstanding. 8, 522. 25 State-bank notes outstanding 8, 350. 00 Due to other national banks 1, 021. 87 Due to State banks and bankers. 15. 239. 57 Dividends unpaid 352.15 Individual deposits 480. 00 United States deposits 52.67 Deposits of U.S.disbursingofficers. 6, 746. 00 1, 000. 00 Notes and bills rediscounted. Bills payable 2, 250. 00 Liabilities other than those above stated 20, 000. 00 5*6*666. 00 241, 695. 27 Total. 7, 373.22 45,000.00 119, 332.05 241, 695. 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1255 WISCONSIN. First National Bank, Wausau. DANIEL L. PLUMEE, President. No. 2820. A. H. GROUT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Premiums on XT. S. bonds Stocks, securities, etc Baiik'ghouse,furniture, and fixtures Otherrealestateand mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. $327,199. 25 1, 350.16 25, 000. 00 Capital stock paid in . ""{" 835." 66' Individual deposits 283. 70 26, 539. 00 United States deposits 10, 000. 00 Deposits ofbills rediscounted Notes and U.S.disbursingofficers. i'125.00' Bills payable Liabilities other than those above stated 569, 460.90 Total. $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 27, 000. 00 State-bank notes outstanding 62, 054. 22 5, 000. 00 Due to other national banks 3, 767. 83 Due to State banks and bankers.. 77, 156.33 1,150. 41 Dividends unpaid Total. 1,000.00 3,860. 08 22, 500. 00 3,215.68 2,108. 04 436, 777.10 569, 460. 90 National German-American Bank, "Wausau. B. HEINEMANN, President. No. 4744. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from otner national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U". S Total. 1306,948. 63 2, 054. 99 25, 000. 00 3, 000. 00 46, 894. 23 1, 358. 82 116. 00 109.13 13,349.90 1, 817. 00 1,125. 00 H. Gr. FLIETH, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding State-bank notes outstanding 2,196. 20 22,500. 00 Due JO other national banks Due :o State banks and bankers. Dividends unpaid 1,264.64 Individual deposits United States deposits Dept sits of U.S. disbursing officers. 7, 500. 00 271,335.38 Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total. 104, 796.2 404, 796. 22 First National Bank, White water. C. MORRIS BLACKMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. F. THAYER, Cashier. No. 124. $230, 917.27 2, 840. 57 90, 750.00 11, 894. 00 27, 400.00 20, 000.00 1, 692.13 25, 454.11 52.15 678. 00 239. 67 21, 322. 50 6, 678.00 4, 083.75 400.20 444,402. 35 Cap tal stock paid in . $125, 000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State bank notes outstanding 1, 463.83 81, 675. 00 Due to other national banks \ Due to State banks and bankers.. Dividends unpaid . 48, 395.47 Individual deposits United States deposits Deposits of U.S.disbursing officers . 14, 050. 00 50.00 173, 768. 05 Notes and bills rediscounted. Bills payable « Liabilities other than those above stated Total. 444,402. 35 1256 REPOHT OV THE COMPTROLLER OF THE CURRENCY. W YOM I NO. First National Bank, Buffalo. C. J . HOGERSON, No. 3299. President. W. J . THOM, Cashier. Resources. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation ...! U. S. bonds to secure deposits IJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc ; Bank'g house, furniture, and fixtures Other real estate andmortg's owned! Due from other national banks i I)ue from State banks and ban kers. ! . Due from approved reserve agents. Checks and other cash items | Exchanges for clearing house Bills of other national banks ] Fractional currency, nickels, cents .| Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer IT. S i Total . Liabilities. $87, 698. 93 1,140. 61 25, 000.00 1,400.00 19, 607. 43 10, 610. 60 5, 977. 07 2, 288. 89 $100, 000.00 Capital stock paid in Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 500. 00 6, 978.05 22, 500. 00 Due to other national banks Due to State banks and bankers. 19,864.05* Dividends unpaid 590. 27 Individual deposits 960." i)o" United States deposits 143.15 Deposits of U.S.disbursing officers. 9, 054. 00 4, 000. 00 Notes and bills rediscounted. Bills payable 1,125.00 Liabilities other than those above stated 54,481. 95 5, 000. 00 Total . 189,460.00 i 189, 460. 00 First National Bank, Cheyenne. No. 1800. T. B. HICKS, President. $258,899.20 Loans and discounts \ Overdrafts i 1, 510.10 U. S. bonds to secure circulation... 25, 000. 00 U. S. bonds to secure deposits L.. U. S. bonds on hand Premiums on U. S. bonds 1, 500. 00 32, 028. 70 Stocks, securities, etc ! 4, 000. 00 Bank'g house, furniture, and fixtures 11,000.00 Other real estate and mortg'sownedj 1,153.87 Due from other national banks I 200.69 Due from State banks and bankers.! 30, 649. 59 Due from approved reserve agents.l1 525. 79 Checks and other cash items Exchanges for clearing house ""i,285*o6" Bills of other national banks 161. 50 Fractional currency, nickels, cents J 34,455.00 Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.j 1,125. 00 Due from Treasurer IJ. S !... Total . GEORGE E. ABBOTT, Cashier. Capital stock paid in I $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 40, 000.00 Due to other national banks Due to State banks and bankers. Dividends unpaid 2, 995. 57 3, 222. 72 22,500. 00 Individual deposits United States deposits.. Depositsof U.S.disbursingofficers. j 234, 776.15 Notes and bills rediscounted \.... Bills payable i Liabilities other than those above i stated Total. 403, 494. 44 403,494. 44 Stock Growers' National Bank, Cheyenne. HENRY G. HAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Premiums on IT. S. bonds Stocks^ securities, etc Bank'g house,furniture, andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers.' Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of dex>osit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2652. $334,526.88 1, 668. 95 50, 000. 00 5. 000. 45. 316, 3, 000. 36, 099. 13, 968. 00 52 00 27 00 112, 871.83 6,199. 60 1, 826. 00 170.30 56, 983. 25 10, 000. 00 2, 250. 00 679, 880. 60 J . D. FREEBORN, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits, less current expenses and taxes j)aid National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid 9, 699.11 4, 315. 75 Individual deposits United States deposits Deposits of U. S.disbursing officers 489, 308.22 11, 557. 52 45, 000. 00 Notes and bills rediscounted. Billspayable Liabilities other than those above stated Total. 679, 880. 60 ftEPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 5 7 WYOMING. First National Bank, Douglas. No. 3556. DE F. EICHARDS, President. H. R. PAUL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... 0". S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc. Bank g house,furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nicke's, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trsas. U. SDue from Treasurer U. S.. $103, 794.16 1, 610. 62 18, 750. 00 6,017.76 10, 643.12 3,174. 32 2,120. 73 99. 80 16,611. 88 144.91 1,180. 00 6.00 4, 331. 20 500. 00 Capital stock paid i n . Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 47.76 483.25 16, 875. 00 138.65 7,145.46 Dividends unpaid I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S. disbursing officers. Notes and bills rediscounted Bills payable 65,138.1 5, 000. 00 843. 75 Liabilities other than those above stated Total. 169, 828.^25 Total. $75, 000. 00 Surplus fund Undivided profits, less c u r r e n t expenses and taxes paid National-bank notes o u t s t a n d i n g . State-bank notes outstanding 169, 828. 25 First National Bank, Lander. N o . 4720. E. AMORETTI, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house, furniture, and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50, 000.00 1, 700. 00 2,946.48 11, 250. 00 458. 33- 13. 71 Individual deposits """375." 66' United States deposits 113. 60 Deposits of U.S.disbursing officers6, 891. 35 2, 500. 00 Notes and bills rediscounted. Bills payable 562. 50 Liabilities other than those above stated 160, 056. 29 Total. SAM'L C. PARKS, J R , Cashier. $78,102. 82 Capital stock paid in. 1, 566. 20 12, 500. 00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. 5,515.72 State-bank notes outstanding 8, 000.00 Due to other national banks 5, 300. 38 Due to State banks and bankers.. 4, 855. 76 33, 759. 25 Dividends unpaid Total. 93, 701. 48: 160, 056.29- First National Bank, Laramie. H E N R Y GT. BALCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4989. $264, 236.17 5, 311. 32 25, 000. 00 57, 354. 2L 17, 563. 54 89,375. 68 4, 833. 74 219.22 55, 626. 59 594.11 1,900. 00 90.85 30, 276. 25 1, 985. 00 " i , 102.50 85.00 555,554.18 A . C. JONES, Cashier. Capital stock paid i n . Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $100,000. 4,417.01 22, 050. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 13, 589. 07 8, 932. 22 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 406, 565. 88 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total . 555, 554.18 1258 REPORT OF THE COMPTROLLER OF THE CURRENCY. WYOMING. Albany County National Bank, Laramie. N o . 3615. S. S. GRAHAM, President. E . CEUMRINE, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank' ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total Cashier. Liabilities. Resources. $142, 755. 24 22, 295.15 25, 000.00 30, 596. 65 27, 000. 00 21,143. 38 14, 594.93 32. 26 464. 00 228. 20 9,766. 00 400. 00 1,125. 66" 295, 400. 81 Capital stock paid in $100,000.00 Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 793.39 22, 500.00 Due to other national banks Due to State banks and bankers.. 4, 995. 25 20, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Notes and bills rediscounted Bills payable 140,112.17 7, 000.00 Liabilities other than those above stated .. .. Total 295,400.81 First National Bank, Rawlins. J. W. HUGUS, President. J. C. DAVIS, Cashier. No. 4320. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total , $214, 952.32 5, 848.48 18, 750. 00 2,343.75 4,060. 78 1,423.33 14,661.31 3,980. 20 85,415. 62 531. 39 100.77 12, 581.25 6,150. 00 843. 50 Capital stock paid in . Surplus fund. Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding 4, 200.00 5, 042.08 16, 420. 00 Due to other national banks Due to State banks and bankers.. Dividends unpaid 1, 725. 45 585. 98 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 268, 669.19 Notes and bills rediscounted. Bills payable Liabilities other than those above stated 371, 642.70 Total. 371, 642.70 First National Bank, Rock Springs. HENRY G. BALCH, President. lLoans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other nation albanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3920. AUGUSTINE KENDALL, Cashier. $186, 664.69 Capital stock paid in. $60 t| 000.00 17, 936. 95 15, 000. 00 Surphisfund 15, 000.00 Undivided profits, less current 14, 988. 59 expenses and taxes paid 1,650.00 National-bank notes outstanding. 13,100.00 15,083.79 State-bank notes outstanding 22,021.54 3,928.10 Due to other national banks 249. 32 8, 973.99 32.95 Due to State banks and bankers.. 13,402.28 Dividends unpaid 2,400.00 254. 38 Individual deposits 208,167. 26 19.50 22, 512. 00 5, 750. 00 675. 00 313, 905.17 United States deposits Deposits ofU. S. disbursing officers Notes and bills rediscounted. Bills payable Liabilities other than those above stated Total . 313,905.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 5 9 WYOMI5G. Rock Springs National Bank, Rock Springs. TIMOTHY KINNEY, President. No. 4755. GEO. H. GOBLE, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers. Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $100,577. 29 1, 885.16 12, 500. 00 1,200.00 2, 691. 55 13, 460. 45 2, 036. 24 6, 549. 35 1, 437. 30 14, 672. 20 378.32 1,136. 00 34. 30 12, 375. 00 4, 500. 00 562. 50 175,995.66 Capital stock paid in. Surplus fund Undivided profits, less current expenses and taxes paid National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 5, 000.00 3,735.14 11,250. 00 Due to other national banks Due to State banks and bankers. Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 106, 010. 52 Notes and bills rediscounted Bills payable Liabilities other than those above stated Total. 175,995. 66 First National Bank, Sheridan. E. A. WHITNEY, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Premiums on U. S. bonds Stocks, securities, etc Bank'g house,furniture,and fixtures Other real estate and mortg's owned Due from other national banks Due from State banks and bankers . Due from approved reserve agents. Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. S. BURROWS, Cashier. No. 4604. $102, 081. 45 Capital stock paid in. $50,000.00 6, 644. 68 12, 500. 00 Surplus fund 4, 000. 00 Undivided profits, less current 652.47 expenses and taxes paid 11,250.00 National-bank notes outstanding. State-bank notes outstanding 8, 296.11 Due to other national banks 4, 780. 22 Due to State banks and bankers. 22,139. 38 10, 813. 69 Dividends unpaid. 1, 269. 80 Individual deposits 114,710.10 eposits. 2, 250. 00 United States deposits 62.94 Deposits of U. S.disbursing officers 7,761.80 1,450.00 Notes and bills rediscounted Bills payable "~562."5o' Liabilities other than those above stated 180,612.57 Total . 180, 612. 57 INDEX A. Abbeville, S. C Aberdeen, Md Aberdeen, Miss Aberdeen, S. Dak Aberdeen, W a s h Abilene, Kans Abilene, Tex Abingdon, 111. Abington, Mass A dams, Mass Adams, N . Y Akron, Ohio Alamosa, Colo Albany, Ga Albany, K Y Albany, Oreg Albany, Tex Albert Lea, Minn Albia, Iowa Albion, Mich Albion, Nebr Albion, N . Y Albuquerque, 1 T Mex S. Alexandria, I n d Alexandria, Minn Alexandria, Ya Alexis, 111 Algona, Iowa , Allegan, Mich Allegheny, P a Allentown, N. J Allentown, Pa Alliance, Nebr Alliance, Ohio Alma, Nebr Alpena, Mich Alton, 111 Altoona, P a Alvarado, Tex Arnarillo, Tex Ambler, P a Amenia, 1ST. Y Americus, Ga Ames, Iowa Amesbury, Mass Amherst, Mass Amsterdam, N. Y Anamosa, Iowa Anderson, Ind Andes, N . Y Andover, Mass Anna, 111 Annapolis, Md A n n Arbor, Mich Anniston, Ala Annville, P a Anoka, Minn Ansonia, Conn Anthony, Kans Appleton, Minn Appleton, W i s Appleton City, Mo Aransas Pass, Tex. {See Rockport.) Arcanum, Ohio Arcola, 111 Ardmore, I n d . T OF TOWNS/ Page. 1063 375 547 1069 1202 273 1096 102 398 398 677 809 28 88 677 894 1097 520 217 488 583 679 674 176 520 1189 102 217 488 906 640 907 583 810 584 488 102 908 1097 1097 909 680 88 217 399 399 680 218 176 681 400 103 375 489 3 909 .. - 521 43 273 521 1229 551 810 103 214 Page. 273 400 584 894 640 1043 400 789 314 584 811 909 1230 811 28 894 274 895 88 812 910 1080 1098 401 89 103 1098 218 640 641 176 401 177 347 585 682 218 89 315 347 104 177 585 682 521 1099 910 402 A r k a n s a s City, K a n s Arlington, Mass Arlington, Nebr Arlington, Oreg Asbury Park, N . J Ashaway, R. I Ashburnham, Mass Asheville, N. C Ashland, K y Ashland, Nebr Ashland, Ohio Ashland, P a Ashland, W i s Ashtabula, Ohio Aspen, Colo Astoria, Oreg Atchison, K a n s Athena, Oreg Athens, Ga Athens, Ohio Athens, Pa Athens, Tenn Athens, Tex Athol, Mass Atlanta, Ga Atlanta, 111 Atlanta, Tex Atlantic, Iowa Atlantic City, N . J Atlantic Highlands, K J Attica, I n d Attleboro, Mass Auburn, I n d Auburn, Me Auburn. JNTebr Auburn' N. Y Audubon, Iowa Augusta, Ga Augusta, K y Augusta, Me Aurora, 111 Aurora, I n d Aurora, Nebr Aurora, N. Y Austin, Minn Austin, Tex Avondale, P a Ayer, Mass B. Babylon, N . Y Bainbridge, X . Y Baird, Tex Baker City, Oreg Bald wins ville, N . Y Ballinger, Tex Ballston Spa, N. Y Baltimore, Md Bangor, Me Bangor, Pa Baraboo, Wis Bar Harbor, Me. {See Eden.) Barnesville, Minn Barnesville, Ohio Barre, Mass * For list of States and reserve cities see page in. 683 683 1100 895 683 1101 684 375 348 911 1231 522 812 402 1261 1262 Barre, Y t Barton, Y t Bartow, Fla Bastrop, Tex Batavia, 111 Batavia, N . Y Batavia, Ohio Bath, Me Bath, N. Y Bathgate, N . Dak Baton Rouge, La Battle Creek, Mich Bay City, Mich Beardstown. Ill Beatrice,Nebr Beaumont, Tex Beaver, Pa Beaver City, Nebr Beaver Dam, Wis Beaver Falls, P a Bedford, Pa Bedford City, Ya Beeville, Tex Bel Air, Md Belfast, Me Bellaire, Ohio Bellefontaine, Ohio Bellefonte, P a Belle Plaine, Iowa Belle Yernon, P a Belleville, 111 Belleville, Kans Bellevue, Ohio Bellows Falls, Vt Bellville, Tex Belmont, Ohio Beloit, Kans Beloit, Wis Belton, Tex Belvidere, 111 Belvidere, N. J Bement, 111 Bennington, Yt Ben ton Harbor, Mich Berlin, N . H Berlin, Wis Berwick, Pa Berwyn, P a Bessemer, Mich Bethel, Yt Bethlehem, Pa Beverly, Mass Biddefbrd, Me Biggsville, 111 Big Springs, Tex Big Timber, Mont Billings, Mont Binghainton, N . Y Birdsboro, P a Birmingham, Ala Birmingham, Conn. (See Derby.) Bismarck, N. Dak Black River Falls, Wis Blairsville, Pa Blanchard, Iowa Bloomfield, N. J Blooming Grove, Tex Bloomington, 111 Bloomington Ind Bloomsburg, P a Bloomsbury, N. J Blossburg, Pa Bluefield, W. Va Blue Hill, Nebr Boise City, Idaho Bonham, Tex Boone, Iowa Boonton, N. J Boonville, Ind Boonville, Mo Boonville, N. Y Boston, Mass Boulder, Colo Bound Brook, N. J Bowie, Tex Bowling Green, Ohio Boyertown, P a INDEX OF TOWNS. Page. 1172 1172 82 1101 105 684 813 350 68£ 798 340 489 489 106 586 110? 911 587 1231 912 912 1189 1102 383 351 813 813 913 219 913 106 275 814 1172 1103 814 276 1232 1103 106 642 107 1173 490 623 1232 913 914 490 1173 914 402 352 107 1103 574 574 685 915 4 798 1233 915 219 642 1104 108 178 916 643 916 1218 587 98 1104 220 643 178 551 686 403 28 643 1105 815 917 Bozeman, Mont Braddock, Pa Bradford, Pa Brainerd, Minn Brandon, Vt Brattleboro, Vt Brazil, Ind Breckenridge, Minn Brenham, Tex Brewster, N. Y Bridgeport, Ala Bridgeport, Conn Bridgeport. Ohio Bridiielon, N. J Bristol, Conn Bristol, Pa BristolR. 1 Bristol, Tenn Bristol. Va Brockport, N. Y Brockton, Mass Broken Bow, Nebr Brookings, S. Dak Brooklme, Mass Brooklyn, Conn (See Danielsonville.) Brooklyn, Iowa Brooklyn, N. Y Brookville, Pa Brownsville, Pa Brownsville, Tex Brown wood, Tex Brunswick, Ga Brunswick, Me Brunswick, Mo Bryan, Ohio Bryan, Tex Bryn Mawr, Pa Buchanan, Mich Buchanan, Va Buckhannon, W. Va Bucksport, Me Bucyrus, Ohio Buena Vista, Va. (See Lexington.) Buffalo, N. Y Buffalo, W y o . . . Burgettstown, P a Burlingame, Kans Burlington, Iowa Burlington, Kans Burlington, N. J Burlington, Y t Bushnell, 111 Butler, Pa Butte, Mont Page. 575 917 918 523 1174 1174 178 523 1105 686 5 43 815 644 45 919 1043 1080 1190 686 423 587 1069 423 220 687 919 920 1106 1106 90 353 551 815 1107 921 491 1190 1218 354 816 688 1256 921 276 220 276 644 1175 109 922 575 C. Cadiz, Ohio Cairo, 111 Calais, Me , Caldwell, Idaho Caldwell, Ohio California, Mo California, P a Calumet, Mich Calvert, Tex Cambridge, 111 Cambridge, Md Cambridge, Mass Cambridge, N. Y Cambridge, Ohio Cambridge City, I n d Cambridgeport, Mass. Camden, Ark Camden, Me Camden, K J Camden, N. Y Cameron, Mo Cameron, Tex Canajoharie, N Y Canal Dover, Ohio Canandaigua, N. Y Canastota, N. Y Candor, N . Y Canfield, Ohio Canonsburg, P a Canon City, Colo Canton, 111 817 109 354 98 818 552 922 491 1108 110 383 424 689 818 179 (See Cambridge.) 14 354 645 689 552 1108 690 819 690 691 691 820 922 29 110 INDEX OF TOWNS. Canton,Md Canton, Mass Canton, N. Y Canton, Ohio Canton, Pa Canton, S. Dak Cape Girardeau, Mo Carbondale, 111 Carbondale, Pa Cardington, Ohio Carlinville, 111 Carlisle, Pa Carmel.N. Y Carmi,Ill Carnegie, Pa Carroll, Iowa Carrollton, 111 Carrollton, Ky Carrollton, Mo Cartersville, Ga Carthage,Ill Carthage, Mo Carthage, N. Y Casselton, N. Dak Cassopolis, Mich Castleton, N. Y Catasauqua, Pa Catawissa, Pa Catlettsburg, Ky Catskill,N. Y Cawker City, Kans Cedar Falls, Iowa Cedar Rapids, Iowa Central City, Colo Centralia, 111 Centralia, Kans Centerville, Iowa Centerville, Md Centerville, Ohio Centerville, R . 1 Centerville, Tenn Ceredo, W. Va Chadron, Nebr Chambersburg, Pa Champaign, 111 Champlain, N . Y Chanute, Kans Chardon, Ohio Chariton, Iowa Charleroi, Pa Charles City, Iowa Charleston, 111 Charleston, S. C Charleston, W. Va Charlestown, N. H Charlestown, W. Va Charlotte, Mich Charlotte, N. C Charlottesville, Va Charter Oak, Iowa Chartiers, Pa. (See Carnegie.) Chattanooga. Tenn Cheboygan, Mich Chehalis, Wash Chelsea, Mass Chelsea, Vt Cheney, Wash Cherokee, Iowa Cherry Vale, Kans Cherry Valley, N. Y Chester, 111 Chester,N. Y Chester, Pa Chester, Vt Chestertown, Md Cheyenne, Wyo Chicago, 111 Chicopee, Mass Childress, Tex Chillicothe, Mo Chillicothe, Ohio Chippewa Falls, Wis Christiana, Pa Cincinnati, Ohio Circleville, Ohio Cisco, Tex Claremont, N. H Page. 384 426 691 820 923 1070 552 Ill 923 821 Ill 923 692 112 924 221 112 315 553 90 112 553 - 692 799 491 693 924 924 316 693 277 222 222 30 113 277 223 384 821 1044 1080 1218 588 925 113 694 278 822 224 925 224 114 1063 1219 623 1220 492 789 1190 225 1081 492 1202 426 1176 1202 225 278 694 114 694 926 1176 385 1256 115 427 1108 554 822 1233 927 823 827 1109 623 Claremore, Ind. T Clarinda,Iowa Clarion, Iowa Clarion, Pa Clark, S. Dak Clarksburg, W. Va Clarksville, Tenn Clarksville, Tex Clay Center, Kans ClayCity,Ky Claysville, Pa Clayton, N . Y Clearfield, Pa Cleburne, Tex Cleveland, Ohio Cleveland, Tenn Clinton, Conn Clinton, 111 Clinton, Iowa Clinton, Mass Clinton, N. J Clyde, N . Y Clyde, Ohio Coatesville, Pa Cobleskil), N . Y Cochranton, Pa Cockeysville. Md Coffeyville, Kans Cohoes, N . Y ColdSpring, N . Y Coldwater, Mich Colebrook, N. H Coleman, Tex Colfax, Wash Colorado, Tex Colorado Springs, Colo Colton, Cal Colton, Wash Columbia, Mo Columbia,Pa Columbia, S. C Columbia, Tenn Columbus, Ga Columbus, Ind Columbus, Nebr Columbus, Ohio Columbus, Wis Columbus Junction, Iowa Comanohe, Tex Commerce, Tex Concord, Mass Concord, N. H Concord, N. C Concordia, Kans Conneaut, Ohio Conneautville, Pa Connellsville, Pa Connersville, Ind Conshohocken, Pa Con way, Mass Cooper, Tex Cooperstown, N. Y Cordele, Ga Corning, Iowa Corning, N. Y Corpus Christi, Tex Corry, Pa Corsicana, Tex Cortland.N.Y Cortland, Ohio Corunna, Mich Corvallis, Oreg Cottonwood Falls, Kans Coudersport, Pa Council Bluffsjowa Covington, Ky Covington, Va Coxsackie, N . Y Cozad, Nebr Cranbury, N. J Crawfordsville, Ind Creede, Colo Creighton, Nebr Cresco, Iowa Creston, Iowa Crete, Nebr Cripple Creek, C o l o . , , , . . , 1263 Page. 214 226 226 927 1070 1220 1082 1109 279 316 928 695 928 1110 828 1082 45 123 226 427 646 695 832 929 695 930 386 279 696 696 493 624 1111 1203 1111 30 17 1203 555 930 1064 1083 90 179 588 833 1234 227 1112 1112 427 624 790 280 835 931 931 179 932 428 1113 696 92 228 697 1113 933 1113 697 835 493 896 280 934 228 317 1191 698 588 646 180 31 589 229 229 589 31 1264 INDEX OF TOWNS. Crockett, Tex Crookston, Minn Crown Point, I n d Cuba, N . Y Cuero, Tex Culpeper, Va Cumberland, Md Custer City, S. Dak Cyntbiana, K y , Page. 1114 523 180 699 1115 1191 380 1071 318 D. Daingerfield, Tex Dallas, Tex Dalton, Ga Damariseotta, Me. Danbury, Conn Danielsonville, Conn Dansville, N. Y Danvcrs, Mass Danville, 111 Danville, I n d Danville, Ky Danville, P a Danville, V t Danville, Va Darby, P a Darlington, Wis Davenport, Iowa Davenport, Wash David City, Nebr Davis, W . Va Dawson, Ga Dawson, Pa Dayton, Ohio Dayton, Wash Deadwood, S.Dak Decatur, Ala Decatur, 111 Decatur, Ind Decatur, Tex Deckertown, N. J Decorah, Iowa Dedhara, Mass Deep River. Conn Defiance, Ohio De Kalb, 111 Delavan, 111 Delaware, Ohio Delaware City, Del Dellii, N. Y . . ' . Dell Rapids, S. Dak Delphos, Ohio Delta, P a Demopolis, Aia Denison, Iowa Denison, Tex Denton, Md Denton, Tex Denver, Colo Deposit, N\ Y Derby, Conn Derby Line, Vt Derry,N.H Des Moines, Iowa Detroit, Mich Detroit, Tex Detroit City, Minn Devils Lake, N.Dak De Witt, Iowa Dexter, Me Dickinson, N. Dak Dighton, Kans Dillon, Mont Dillsburg, Pa Dixoii.Ill Douglas, Wyo Dover, Dei.' Dover, Me Dover, N. H Dover, N. J Dover Plains, N. Y Downingtown, P a Doylestown, P a Dublin, Tex Dubuque. Iowa Duluth, Minn Duncannon, Pa 1115 1115 92 355 45 46 699 428 123 181 319 934 1176 1191 935 1234 230 1204 590 1221 92 935 835 1204 1071 5 124 181 1117 647 231 428 47 838 125 125 838 71 700 1072 839 935 5 231 1118 387 1118 32 700 47 1177 625 232 4S4 1119 524 799 233 355 800 281 576 936 126 1257 71 355 626 647 700 936 937 1120 233 524 937 Page. 701 181 701 234 937 126 34 791 938 Dundee,]Sr.Y Dunkirk,Ind Dunkirk, N. Y Dunlap, Iowa Duquesne, Pa Du Quoin, 111.... Durango, Colo Durham, N. C Dushore, P a E. Eagle Grove, IowaEagle Pass, Tex Earlvillc, 111. Earlville, N. Y East Cambridge, Mass. (See Cambridge.). East Grand Forks, Minn East Greenwich, R. I East Haddam, Conn East Hampton, Mass East Jaffrey, N. H East Liverpool, Ohio East Orange, N. J East Portland, Oreg East Saginaw, Mich. (See Saginaw.) East Saint Louis, 111 East Stroudsburg, Pa . Eastland, Tex Easton, Md Easton, Pa Eastport, Me Eaton, Ohio Eaton Rapids, Mich Eau Claire, Wis Eddy, N.Mex Eden, Me Edgartown, Mass Edmeston, N. Y Effingham, 111 El Dorado, Kans El Paso, 111 El Paso, Tex El Reno, Okla Elbow Lake, Minn Elgin, III Elizabeth, N. J Elizabeth City, N. C Elizabethtown, Ky Elizabethtown, Pa Elkader, Iowa Elkhart, Ind Elkhorn,Wis Elkins, W. Va Elkton, Md Ellenville, !N. Y Ellensburg, Wash , Ellicott City, Md Ellsworth, Kans Ellsworth, Me Ell wood City, Pa Elm Creek, frebr Elruira, 1 T Y S. El wood, Ind Elyria, Ohio Emlenton, Pa Emmetsburg, Iowa Emporia, Kans Emporium, Pa Englewood, 111. (See Chicago.) Englewood, N. J Ennis, Tex Enterprise, OregEphrata, Pa Erie, Pa. Escanaba, M i c h . . . Estherville, Iowa . Eufanla, Ala Eugene, Oreg Eureka, Kans Eutaw, Ala Evansville, I n d . . . Everett, Wash Exeter, Nebr 235 1120 127 702 525 1044 47 429 626 839 647 127 939 1120 387 938 356 840 496 1235 674 356 429 702 127 281 129 1121 892 526 328 648 791 320 939 235 182 1235 1221 388 702 1205 389 282 356 940 591 703 183 840 940 235 282 940 648 1121 896 941 941 496 236 6 897 283 6 183 1205 591 F. Fairbury, 1 1 1 Fairbury, N 129 592 INDEX OF TOWNS. Fairfield, 111 Fairfield, Iowa If airfield, Me Fairhaven, Mass Fairhaven, Y t Fairhaven, W a s h . Fairmont, Minn Fairmont, W . Va Fall River, Mass Falls City, Nebr Falls Village,Conn Falmouth, Mass Fargo, N . Dak Faribault, Minn Farmer City, HI Farmersville, Tex Farmington, Me Farmington, N. H Fayetteville, Tenn Felicity, Ohio Fernandina, Fla F e r g u s Falls, Minn Findlay, Ohio FishkilLN.Y Fitchburg, Mass Flatonia, Tex Flemington, N". J Flint, Mich Flora, 1 1 1 . . . . Florence, Ala Flushing, Ohio Fond du Lac, Wis Fonda, N. Y Forest City, Iowa Forney, Tex * F o r t Atkinson, Wis F o r t Benton, Mont F o r t Collins, Colo F o r t Dodge, Iowa F o r t Edward, N . Y F o r t Fairfield, Me F o r t H o w a r d , Wis F o r t Madison, Iowa F o r t P l a i n , N. Y F o r t Scott, Kans F o r t Smith, A r k Fort Wayne, I n d F o r t Worth, Tex Fostoria, Ohio Frankfort, I n d Frankfort, Ky Frankfort, Ni Y Franklin, I n d Franklin, La Franklin, Mass Franklin, N. H Franklin, N". Y Franklin, P a Franklin, Tenn Franklinville, N. Y Frederick, Md Fredericksburg, Va Fredonia, N". Y Freehold, N. J Freeport, 111 Fremont, Nebr Fremont, Ohio Frenchtown, N. J Fresno, Cal Friend, Nebr Friendship, N. Y F r o n t R o y a l , Va Frostburg, Md Fullerton', Nebr Fulton, Ky Fulton, N. Y Fultonville,K.Y - Page. 129 236 357 429 1177 1206 526 1221 430 502 48 432 800 526 130 J122 357 627 1083 841 82 527 841 703 432 1122 649 496 130 7 842 1235 704 236 1123 1236 576 34 237 704 358 1236 238 704 283 14 184 1123 842 185 320 705 186 340 434 627 705 943 1084 705 389 1192 706 649 131 592 843 650 17 594 706 1192 391 594 320 707 708 G. Gadsden, Ala Gainesville, Fla Gainesville, Ga Gainesville, Tex Gaithereburg, Md Galena, 111 Galena, Kans Galesburg, 111 CUR, PT 2 7 82 93 1125 391 131 284 132 80 Galion, Ohio ' Gallatin, Tenn Gallipolis, Ohio Galva, 111 Galveston, Tex Gap, P a Garden City, Kans Gardiner, Me Gardner, Mass Garner, Iowa Garnett, Kans Garrettsville, Ohio Gas City, I n d Gastonia, K. C Gatesville, Tex Geneseo, 111 Geneseo, K". Y Geneva, Nebr Geneva, N. Y Geneva, Ohio Georgetown, D. C. (See AVashington.) Georgetown, Ky Georgetown, Mass Georgetown, Ohio Georgetown, Tex Germantown, Ohio Gettysburg, Pa Giddings, Tex Girard, KansGirard, Ohio Girardville, Pa Glasgow. K y Glassboro, N. J Glencoe, Minn Glen Rock, P a : Glens Falls, N. Y Glen wood, Iowa Glenwood Springs, Colo Glidden, Iowa Gloucester, Mass Gloversville. N. Y Goldendale, Wash Goldthwaite, Tex Goliad, Tex Goshen, I n d Goshen.N.Y Gothenburg, Nebr Gouverneur, N. Y Grafton, Mass Grafton, N. Dak Grafton, W. Va Graham, Tex Granbury, Tex Grand Forks, N . Dak Grand Haven, Mich Grand Island, Nebr Grand Junction, Colo Grand Rapids, Mich Grand Rapids, W i s Grand View, Tex Grant City, Mo Grants Pass, Oreg Granville, N. Y Gray ville, 111 Great Barrington, Mass Great Bend, Kans Great Falls, Mont Great Falls, N. H . (See Somersworth.) Greeley, Colo Green Bay, W i s Greencastle, I n d Green Castle, P a , Greeneville, Tenn Greenfield, Mass Greenport, 1ST. Y „ Greensboro, N . C Greensburg, I n d Greensburg, P a Greenville, Ky Greenville, Miss Greenville, Ohio Greenville, Pa Greenville, R . I Greenville, S. C Greenville, Tex Greenwich, N. Y Greenwood, Nebr 1265 Page. 843 1084 844 133 1126 943 284 358 434 238 284 844 186 791 1127 133 708 594 708 845 321 435 845 1128 845 943 1128 285 846 944 321 650 528 944 709 239 35 239 435 710 1206 1128 1129 187 710 595 711 436 801 1222 1129 1129 802 497 595 35 497 1237 1130 555 897 711 ., 134 437 285 577 35 1237 187 945 1084 437 712 792 188 945 321 547 846 " 946 1044 1065 1130 713 595 1266 INDEX OF TOWNS. Page. 93 134 239 240 1131 713 240 359 :.. 36 892 Griffin, Ga Griggsville, 111 Grinnell, Iowa Griswold, Iowa Groesbeck, Tex Groton, N. Y Grundy Center, Iowa Guiltord, Me Gunnison, Colo Guthrie, Okla H. Hackettstown, N. J Haddonfield, N. J Hagerstown, Md Hailey, Idaho Hallettsville, Tex Hallowell, Me Hamilton, Mo Hamilton, N. Y Hamilton, Ohio Hamilton, Tex Hammond, Ind Hancock, Mich Hannibal, Mo Hanover, N. H Hanover, Pa Harriman, Tenn Harrington, Del Harrisburg, 111 Harrisburg, Pa Harrisonburg, Va Harrodsburg, Ky Hartford, Conn Hartington, Nebr Hartley, Iowa Harvard, Nebr Harwich, Mass HaskelLTex Hastings, Mich Hastings, Minn Hastings, Nebr Hatboro, Pa Havana, 111 Haverhill, Mass Haverstraw, N. Y. Havre de Grace, Md Hawarden, Iowa Hays City, Kans Hazleton, Pa Hearne, Tex Hebron, Kebr Helena, Ark. .Helena, Mont Hempstead, N. Y Hempstead, Tex Henderson, Ky Henrietta, Tex Henry, 111 Heppner, Oreg .'. Herington, Kans Herkimer.N.Y Hiawatha, Kans Hickma:*, Ky Hicksville, Ohio Hico, Tex Hickory, N. C H i g h P o i n t , N. C Hightstown, N. J Hillsboro, 111 Hillsboro, N. H HilJsboro,N. Dak Hillsboro, Ohio Hillsboro, Oreg Hillsboro, Te*x Hillsdale, Mich Hingham, Mass Pobart, N. Y Hoboken, N . J Holdredge, Nebr Hollidaysburg, P a Holhston, Mass Holstein, Iowa Holton,Kans Holyoke, Mass Homer, La Bonier, N . Y . . . , . . , * , Homestead, Pa Honesdale, P a Honeybrook, P a Honey Grove, Tex Hoopeston, 111 Hoosick Falls, N. Y Hope Valley, K . I Hopewell, N. J Hopkinsville, Ky Hopkinton, Mass Hoquiam, Wash Hornellsville, N. Y Horton, Kans J Hot Springs, Ark Hough ton, Mich Houlton, Me Houston, Tex Heward, Kans Hubbard, Tex Hudson, Mass Hudson, N. Y Hudson, Wis Hughesville. Pa Humboldt, Kans Humboldt, Nebr Hummelstown, Pa Huntingdon, P a Huntiiigton, Ind Huntington, W. Va. Huntsville, Ala Huntsville, Tex Hurley, W i s Huron, Ohio Huron, S. Dak Hustonville, Ky Hutchinson, Kans Hyannis, Mass Hyde Park, 111. (See Chicago.) Hyde Park, Vt Hyndman, P a 651 051 392 99 1131 359 556 713 847 1131 189 499 556 627 947 1085 71 135 947 1192 322 48 596 241 596 438 1132 499 528 596 948 135 438 714 393 241 286 948 1132 597 15 578 714 1132 322 1133 135 897 \ 286 714 286 323 848 1133 792 792 651 136 628 803 848 898 1133 499 440 715 652 598 949 441 242 287 j 441 340 715 , Page. 949 950 950 1135 136 716 1045 652 323 443 1206 716 287 15 500 360 1135 287 1137 - 443 717 1238 950 288 598 951 951 189 1222 7 1137 849 1072 323 288 443 1178 952 I. Idaho Springs, Colo Ilion,N.Y Independence, Iowa Independence, Kans Independence, Mo Independence, Oreg Indiana, P a Indianapolis, I n d Indianola, Iowa Ionia, Mich Iowa City, Iowa Iowa Falls, Iowa Ipswich, Mass Iron Mountain, Mich Ironton, Ohio Ironwood, Mich Irwin, P a Ishpeming, Mich Island City, Oreg Island P o n d , V t . Itasca, Tex Ithaca, Mich Ithaca, N . Y 36 718 242 289 556 898 952 189 243 500 243 243 444 500 849 501 952 501 899 1178 1138 501 718 J. Jacksboro, Tex Jackson, Mich Jackson, Miss Jackson, Ohio Jackson, Tenn Jacksonville, Ala Jacksonville, Fla Jacksonville, 111 Jamesburg, N. J Jamestown, N . Y Jamestown, ]ST. Dak Janesville, Wis Jeannette, P a Jefferson, Ohio Jefferson, Tex Jefferson City, Mo Jeffersonville, Ind Jenkintown, Pa Jersey City, N. J Jerseyville, 1 1 1 . . . . . . . . . . . . . . . . . . . . , r . . . . r . . . , 1138 502 547 850 1085 8 83 136 653 719 804 1238 953 850 1139 557 190 953 653 137 1267 INDEX OF TOWNS. Page. 290 953 954 137 1086 557 290 Jewell City, Kans Johnsonburg, P a Johnstown, Pa Joliet,IH Jonesboro, Tenn Joplin, Mo Junction City, Kans K. Kalamazoo. Mich Kalispell, Mont Kankakee, 111 Kansas, 111 Kansas City, Kans Kansas City, Mo Kasson, Minn Kaufman, Tex Kaukauna, Wis Kearney, Nebr Keene, N". H Keeseville, N. Y Kendrick, Idaho Kennebunk, Me Kennett Square, Pa Kenosha, Wis Kent, Ohio Kenton, Ohio Keokuk, Iowa Kewanee, 111 Keyport, N. J Key West, Fla Killingly, Conn, (See Danielsonville.) Kinderhook, 1 T Y S. King City, Mo Kingman, Kans Kingston, N . Y Kingston, R . I Kinsman, Ohio Kirkwood, 111 Kirwin, Kans Kittanning, P a Knight stown, I n d Knoxville, 111 Knoxville, Iowa Knoxville, Tenn Kokomo, I n d 502 579 138 139 291 558 529 1139 1239 599 628 720 99 361 954 1239 851 851 244 139 654 84 720 560 291 721 1045 852 140 292 955 191 141 244 1086 191 L. La Crosse, Kans La Crosse, Wis LaFayette, Ind La Grande, Oreg La Grange,Ind La Grange, Tex La J u n t a , Colo La Porte, Ind La Porte City, Iowa LaSalle, 111 Lacon, 111 Laconia, N. H Ladonia, Tex Lake Bent on, Minn Lake Charles, La Lake City, Iowa Lake Geneva, Wis Lake Linden, Mich Lakeport, N. H Lamar, Colo Lamar, Mo Lambertville, N. J Lampasas, Tex Lanark, 111 Lancaster, Ky Lancaster, N. H Lancaster, Ohio Lancaster, Pa Lander, Wyo Langdon, J S . Dak LT Langhorne, Pa Lansdale, Pa Lansing, Mich Lapeer, Mich Laramie, Wyo Laredo, Tex Larimore, N. Dak Larned, Kans Las Vegas, N. Mex , , , 292 1240 192 899 193 1140 37 194 245 142 141 629 1140 529 341 245 1240 503 630 37 561 655 1141 141 324 630 852 955 1257 804 958 958 504 504 1257 1141 805 292 674 Page. Latrobe, P a Laurel, Md Laurens, Iowa Laurens, S. C Lawrence, Kans Lawrence, Mass Lawrenceburg, I n d Lead, S. Dak Leadville, Colo Leavenworth, K a n s Lebanon, I n d Lebanon, Ky Lebanon, N. H. Lebanon, Ohio Lebanon, P a Lee, Mass Leesburg, Va Leetonia, Ohio Lehighton, Pa Leicester, Mass Le Mars, Iowa Lenox, Mass Leominster, Mass Lewisburg, P a Lewiston, Idaho Lewiston, Me Lewistown, 111 Lewistown, P a Lexington, Ky Lexington, Nebr Lexington, Va Liberty, I n d Liberty, Mo Liberty, Nebr Li berty, N. Y Lima, Ohio Limerick, Me Lincoln, 111 Lincoln, Nebr Lincoln, P a Lindsborg, Kans Lisbon, N. Dak Litchiield, Conn Litchfield, 111 Lititz, P a Little Falls, Minn Little Falls, N. Y Little Hock, A r k Littleton, N. H Livingston, Mont Llano, Tex Lock Haven, Pa Lockhart, Tex Lockland, Ohio. Lockport, N. Y Logan, Utah Logansport, Ind London, K y London, Ohio Long Branch, N. J Longmont, Colo Longview, T e x . Los Angeles, Cal Louisville, Ky Lowell, Mass Lowville, N. Y Ludington, Mich Luverne, Minn Lynchburg, Va Lyndon, Vt Lyndonville, Vt Lynn, Mass Lyons, Iowa Lyons, N. Y 958 393 246 1065 293 444 194 1073 37 294 195 324 631 852 959 446 1193 853 961 446 246 446 447 961 99 361 142 962 325 599 1193 195 561 600 722 853 362 142 600 962 295 805 51 143 962 529 722 16 631 580 1142 963 1142 854 723 1168 196 328 854 655 38 1142 18 328 447 724 504 530 1194 1178 1179 450 247 724 M. Macomb, 111 Macon, Ga Macon, Mo Madison, Ind Madison, Me Madison, Nebr Madison, N. -I Madison, S. Dak Madison, Wis „ Mahanoy City, Pa Maiden, Mass 144 93 561 196 362 601 656 1073 1240 963 452 1268 Malone, N . T Malta, Ohio Malvern, Iowa Malvern, P a Manasquan, N. J Manchester. Iowa Manchester, N . H Manchester Center, V t Mandan, N . D a k Manhattan, Kans Manheira, P a Manistee, Mich Manitowoc, W i s M a n k a t o , Minn Manning, I o w a Mannington, W . V a Mansfield, Ohio Maquoketa, I o w a Marathon, I o w a Marathon, N . Y Marhle Falls, T e x . Marblehead, Mass Marengo, 111 Marengo, I o w a Marietta, Ga Marietta, Ohio Marietta, P a Marinette, W i s Marion, 111 Marion, I n d Marion, Iowa Marlboro, Mass Marlin, Tex Marquette, Mich Marseilles, 111 Marshall, 111 Marshall, Mich Marshall, Minn Marshall, Tex Marshalltown, I o w a Marshfield, W i s Martinsburg, \V. Va Martinsville, I n d Marysviile, Kans M a r y viJle, Mo Mason, Tex Mason City, 111 Mason City, Iowa Massillon,'Ohio Matteawan, N . Y Mattoon, 111 M a u c h Chunk, P a Mayfield,Ky Maysville, K y May ville, N . Dak M c A r t h u r , Ohio McConnellsville, Ohio McCook, Nebr McDonald, P a McGregor, Iowa McGregor, Tex McKeesport, P a McKinney, T e x McMinnville, Oreg McMinnville, Tenn McPherson, K a n s Meadville,Pa Mechanicsburg, P a Mechanic ville, N. Y Medford, K J Media, P a Medina, Ohio Medina, N. Y Melrose, Mass Memphis, Mo Memphis, Tenn Menasha, W i s Mendota, III Menominee, Mich Meriomonie, Wis Mercer, P a Meriden, Conn Meridian, Miss Meridian, Tex Merrill, Wis Merrimac, Mass Methuen, Mass INDEX OF TOWNS. .' - - Page. 725 855 247 964 656 248 631 1179 805 295 964 505 1241 530 248 1223 855 249 249 725 114!$ 452 144 249 94 856 965 1241 144 197 250 453 1143 505 145 145 506 531 1143 250 1242 1223 197 296 562 1144 145 251 856 726 146 965 330 331 806 857 858 602 966 251 1144 966 1145 900 1088 296 967 968 726 656 969 858 726 453 562 1089 1242 146 506 1242 969 51 548 1145 1243 454 454 Metropolis, 111 Mexia, Tex Mexico, Mo M i i b, Miamisburg, Ohio. -ity, Michigan City, I n Middleboro, Mass d Mddl Middleburg,M Y N. Middleburg, Pa Middlebury, Vt Middleport, Ohio Middletown, Conn Middletown, Del Middletown, N. Y Middletown, Ohio Midland, Tex Miflflintown, Pa Milan, Mo Miles City, Mont Milford, Del Milford, Mass Milford, N. H Milford, Ohio Millbury, Mass Millersburg, Pa Millerton, N. Y Mill ville, N. J M ilton, Mass Milton, Pa Milwaukee, Wis Minden, Nebr Mineral Point, Wis Miners ville, Pa. Minneapolis, Kans Minneapolis, Minn Minot,N.Dak Missoula, Mont Missouri Valley, Iowa Mitchell, S. Dak Mobile, Ala Modesto, Cal Mohawk, N. Y Moline.Ill Monmouth, 111 Monroe, La Monroe, Mich Monroe, Wis Monroe ville, Ohio Monrovia, Cal Monson, Mass Montague, Tex Montezuma, Iowa Montgomery, Ala Monticello, 111 Monticello, N. Y Montpelier, Vt Montrose, Colo Montrose, Pa Moorefield, W. Va Moorestown, N. J * Moorhead, Minn Moravia, Is1". Y Morgantown, W. Va Morris, 111 Morris, Minn Morris, N. Y Morrison, 111 Morristown, N. J Morristown, Tenn. Morrisville, N. Y Moscow, Idaho Mount Airy, N. C Mount Carmel, 111 Mount Carmel, Pa Mount Carroll, 111 Mount Gilead, Ohio Mount Holly, N. J Mount Jackson, Va Mount Joy, Pa Mount Morris, N. Y Mount Pleasant, Iowa Mount Pleasant, Mich Mount Pleasant, Ohio M ount Pleasant, Pa Mount Pleasant, Tex Mount Pulaski, 111 Mount Sterling, 111 Mount Sterling, Ky , Pajge. 147 1146 563 858 198 454 727 970 1179 859 52 72 727 859 1146 971 563 580 72 455 633 860 455 971 728 657 456 971 1243 602 1245 972 296 532 806 581 252 1073 8 19 728 147 148 341 507 1245 860 19 456 1146 252 9 149 728 1180 39 972 1224 657 535 729 1224 149 535 729 150 657 1090 730 100 793 150 973 150 861 658 1195 973 730 252 507 861 974 1147 151 151 331 1269 INDEX OF TOWNS, Page. 19s 862 I2O7 975 19y 199 97s 109Q 15^ 263 2I5 50y 64 Mount Vernon, I n d Mount Vernon, Ohio Mount Vernon, W a s h Mountville, P a Mulberry, I n d Muncie, Ind Muncy, P a Murfreesboro, Tenn Murphy sboro, 111 Muscatine, Iowa Muscogee, Ind. T Muskegon, Mich Mystic, Conn Nacogdoches, Tex Nanticoke, P a Nantucket, Mass Naperville, 111 Nashua, N. H N ashville, Tenn Natick, Mass Naugatuck, Conn Navasota, Tex Nebraska City, N e b r Neenah, W i s Negaunee, Mich Neligh, Nebr Nelson, Nebr Nephi, Utah Ness City, Kans Nevada, Iowa Nevada, Mo New Albany, I n d New Bedford, Mass New Berlin, N. Y New Bethlehem, P a New Braunfels, Tex New Brighton, N. Y New Brighton, P a New Britain, Conn New Brunswick, N. J New Canaan, Conn New Castle, I n d New Castle, Me Newcastle, Pa New Duluth, Minn New Hampton, Iowa New Haven, Conn New Holland, Pa New Iberia, La New Kensington, P a New Lisbon, Ohio New London, Conn New London, Ohio New London, Wis New Market, N. H New Milford, Conn New Orleans, La New Paltz, N. Y New Philadelphia, Ohio New Richmond, Ohio New Whatcom, Wash New Windsor, Md New York, N. Y Newark, Del Newark, N . J Newark, N . Y Newark, Ohio Newbern, N. C Ne wberry, S. C Newburg, N . Y Newburyport, Mass Newnan, Ga Newport, Del Newport, K y Newport, N. H Newport, N. Y Newport, Pa iNewport, Pv.1 Newport, Vt Newport News, Va Newton, Iowa Newton, Kans Newton, Mass Newton, N. J Newtown, Pa , 1147 975 456 152 633 1091 457 54 1147 602 1246 509 603 604 1168 297 253 563 200 457 731 976 1148 731 976 54 662 55 202 362 977 536 254 55 978 342 978 863 58 863 1246 634 59 342 732 864 864 1207 393 733 73 659 730 862 793 1066 731 459 94 73 332 635 733 978 1045 1180 1195 254 297 460 663 979 Page. 979 750 333 509 864 202 1148 152 254 604 1196 153 979 461 462 865 605 1181 363 980 463 750 202 605 203 981 1208 461 463 536 1181 298 59 865 363 60 750 751 Newville, P a Niagara Falls, N . Y Nicholasville, K y Niles, Mich Niles, Ohio Noblesville, Ind Nocona, Tex Nokomis, 111 Nora Springs, Iowa Norfolk, Nebr Norfolk, Va Normal, 111 Norristown, P a North Adams, Mass North Attleboro, Mass North Baltimore, Ohio North Bend, Nebr North Bennington, Vt North Berwick. Me North East, Pa North Easton, Mass North Gran ville, N . Y North Manchester, Ind North Platte, Nebr North Vernon, I n d North Wales, Pa North Yakima, Wash Northampton, Mass Northboro, Mass Northfield, Minn Northfield, V t Norton, Kans Norwalk, Conn Norwalk, Ohio Norway, Me Norwich, Conn Norwich, N . Y Nyack,N.Y O. Oakesdale, Wash Oakland, Cal Oakland, 111 Oakland, Me Oakland,Nebr Oberlin, Kans Oberlin,Ohio . . . . . * . Ocala,Fla Oconto, Wis x Odebolt, Iowa Odessa, Del Odessa, Mo Ogden, Utah Ogdensburg, N. Y Oil City, P a Oklahoma, Okla Olathe, Kans Olean, N . Y Olney, 111 Olympia, Wash Omaha, Nebr Onancock, Va Oneida, N. Y O'Neill, Nebr Oneonta, N. Y Opelika, Ala Orange, Mass Orange, N. J Orange, Tex Ord,Nebr Oregon, 111 Orlando, Fla Orleans, Nebr Orwell, Vt Orwigsburg, P a Osage, Iowa Osage City, Kans Osborne, Kans Oshkosh, Wis Oskaloosa, Iowa Oswego, N.Y Ottawa, 111 Ottawa, Kans Ottumwa, Iowa Ovid, Mich Owatonna, Minn Owego,N.Y , 1208 20 153 363 605 298 866 84 1247 255 73 564 1168 751 981 893 299 752 153 1209 606 1196 752 609 753 10 463 663 1148 609 154 85 609 1181 981 255 299 300 1247 256 754 154 300 256 510 536 754 1270 INDEX OF TOWNS. Page. 333 334 464 755 866 982 Owensboro, Ky Owentbn, Ky Oxford, Mass Oxford, N . Y Oxford, Ohio Oxford,Pa P. Paducah, Ky Painesville, Ohio Palatka, Fla Palestine, Tex Palmer, Mass Palmyra, Mo Palmyra, N. Y Pana,IU Panora, Iowa Paola, Kans Paris, 111 Paris, Mo Paris, Tex P a r k City, Utah P a r k River, N. Dak Parker, S. Dak Parkersburg, W. Va Parkesburg, P a Parsons, Kans Pasadena, Cal Pascoag, R. I Passaic.N. J Paterson, N. J Patton, P a Pawcatuck, Conn Pawling, N. Y Pawnee City, Nebr Paw Paw, Mich Pawtucket, R. I Paxton, 111 Peabody, Kans Peabody, Mass Peeksk'ill, N. Y Pekin, 111 , Pella, Iowa Pembina, N. Dak Pen Argyl, P a Pender, Nebr Pendleton, Oreg Pennsburg, Pa Penn Yan, N . Y Pensacola, Fla Peoria, 111 Perry, Iowa Perry, 1ST. Y Pern,Ill Peru, Ind Peterboro, N. H Petersburg, 111 Petersburg, Ya Peterson, Iowa Phenix, R. 1 Philadelphia, Pa Philipsburg, Pa Phillips, Me Phillipsburg, Kans Phillipsburg, Mont Phillipsburg, N. J Phoenix, Ariz Phoenixville, Pa Piedmont, W. Va Pierce, Nebr Pierce City, Mo Pierre, S. Dak Pilot Point, Tex Pine Plains, N. Y Pineville, K y Pipescone, Minn Piqua, Ohio Pittsburg, Kans Pittsburg, Pa Pittsburg, Tex Pittsfield, 111 Pittsfield, Me Pittsfield, Mass Pi 11sfi eld, N. H Pittston, Pa Plainfield, N. J Piano, Tex , t .• 334 867 85 1149 464 564 756 155 257 301 155 564 1149 1169 806 1074 1225 982 302 20 1047 664 664 983 62 756 610 510 1048 156 302 464 756 156 257 807 983 610 901 983 757 85 157 258 757 159 203 635 159 1197 258 1049 984 997 364 303 581 665 12 998 1226 611 565 1074 1150 758 335 537 867 303 998 1150 159 364 465 636 1009 666 1151 D Platteville, Wis Plattsburg, Mo Plattsburg, N. Y Plattsmouth, Nebr Plymouth, I n d Plymouth, Mass Plymouth, Mich Plymouth, N . H Plymouth, Ohio Plymouth, Pa Pocatello, Idaho Pocomoke City, Md Point Pleasant, W. Va Poland, N. Y Polo, 111 Pomeroy, Ohio Pomeroy, W ash Pomona, Cal Pontiac, 111 Pontiac, Mich Port A llegany, P a Port Chester, N . Y Port Deposit, Md Port Henry, N. Y Port Huron, Mich Port Jervis, N. Y Port Townsend, Wash Portage, Wis Portland, Conn Portland, Me Portland, Oreg Portsmouth, N. H . Portsmouth, Ohio Potsdam, N . Y Pottstown, P a Pottsville, P a Poughkeepsie, N . Y Poultney, V t Pratt, Kans Prescott, Ariz Presqne Isle, Me Primghar, Iowa Princeton, 111 Princeton, Ind Princeton, Ky Princeton, N . J Prineville, Oreg Proctorsville, Vt Providence, R. I Provincetown, Mass. Provo City, Utah Pueblo, Colo Pulaski, N . Y Pulaski, Tenn Pulaski, Va Pullman, Wash Punxsutawney, P a . . . Purcell,Ind. T Putnam, Com; Puyallup, Wash age. 1248 565 758 611 204 466 510 636 868 1009 101 394 1227 759 160 868 1209 21 160 511 1009 760 394 760 511 761 1210 1248 62 364 901 636 869 761. 1010 1011 762 1182 304 12 367 258 161 204 336 666 903 1182 1049 467 1170 39 764 1092 1197 1210 1012 215 62 1210 Q. Quaker City, Ohio Quakertown, P a Quarryville, P a Quincy, 111 „ Quincy, Mass Quincy, Mich 870 1012 .*. 1012 162 467 511 R. Racine, Wis Raleigh,N.C Randolph, V t Rapid City, S. Dak Raton, N. Mex Ravenna, Ohio Rawlins.Wyo Reading, Mass Reading, Pa Red Bank, N . J Red Hook, N . Y Red Jacket, Mich. Red Oak, Iowa Red Wing, Minn Redfield, S. Dak Redlands,Cal Reed City, Mich (See Calumet.) : 1249 794 1182 1075 675 870 1258 468 1013 667 764 259 537 1076 22 512 INDEX OF TOWNS. Reedsville, P a Reno.Nev Renova, P a Reynoldsville, P a Rhinebeek, N . Y Rhinelander, Wis Richfield Springs, N. Y Richmond, In<i Richmond, K y Richmond, Me Richmond; Va Ridgway.Pa Eipley, Ohio Ripon, Wis Rising Sun, I n d Rising Sun, Md : Riverhead, N. Y Riverside, Cal Roanoke, Va Rochelle, III Rochester, Minn Rochester, N. H Rochester, N. Y Rochester, P a Rock Hill. S. C Rock Island, 111 Rock Rapids, Iowa Rock Springs, Wyo Rockdale, Tex Rockford, 111 Rockford, Iowa Rockland, Me Rockland, Mass Rockport, Mass Rockport, Tex Rockville, Conn Rockville, I n d Rockville, Md Rockwall, Tex Rockwood, Tenn Rogersville, Tenn Rolfe, Iowa Rolla,Mo Rome, Ga Rome, N. Y Romeo, Mich Rondout, N.Y Roseburg, Oreg Royersford, P a Rushville, Ind Rusk, Tex Russell, Kans Russellville. A r k Rutherford, N. J Rutland, Vt 1 Page. 1015 622 1015 1016 764 1250 765 204 336 367 1197 1016 871 1250 205 394 765 22 1199 163 538 638 .. 765 1016 1066 165 260 1258 1151 163 259 368 468 468 1151 63 206 395 1152 1093 1093 260 565 95 766 512 767 903 1017 206 1152 304 16 668 1183 S. Sabetha, Kans Sac City, Iowa Saco, Me Sacramento, Cal Saginaw, Mich Saint Albans, Vt Saint Augustine, Fla Saint Charles, Mo Saint Clairsville, Ohio Saint Cloud, Minn Saint Helena, Cal Saint Ignace, Mich Saint James, Minn Saint John, Kans Saint Johns, Mich Saint Johnsbury, Vt Saint Johnsville, JST. Y Saint Joseph. Mo Saint Louis, Mich Saint Louis, Mo Saint Marys, Kans Saint Marys, Ohio Saint Paris, Ohio Saint Paul, Minn Saint Paul, Nebr Saint Peter, Minn Saint Thomas, N. Dak Salamanca, K". Y Salem, 111 Salem, Mass 305 260 369 22 513 1184 86 566 871 539 23 514 540 305 515 1185 767 566 515 567 305 872 872 540 611 542 807 768 166 469 1271 Salem, K J Salem, N . Y Salem, Ohio Salem, Oreg Salem, Va Salida, Colo Salina, Kans Salisbury, Md Salisbury, N. C Salt Lake City, Utah Saltsburg, P a San Angelo, Tex San Antonio, Tex San Bernardino, Cal San Diego, Cal San Francisco, Cal San Jose, Cal San Marcos, Tex Sanborn, Iowa Sandusky, Ohio Sandy Hill, N. Y Sanford, Fla Santa Ana, Cal Santa Barbara. Cal S a n t a F e , N . Mex ". Santa Paula, Cal Santa Rosa, Cal ... Saratoga Springs, 1 T Y S. Saugerties, N . Y Sauk Center, Minn Sault de Sainte Marie, Mich Savannah, Ga Schenectady, N . Y Schenevus, N. Y Schuyler, Xebr Schuylerville, N. Y Schwenkville, P a Scottdale, Pa Scranton, P a Seaford, Del Searsport, Me Seattle, W a s h Sedalia, Mo Sedan, Kans Selins Grove, Pa Sellersville, P a Selma, Ala Seneca, K a n s Seneca Falls, IS. Y Seward, DSfebr Sewickley, Pa Seymour,' I n d Seymour, Tex Shakopee, Minn Shamokin, P a Sharon, P a Shawneetown, 111 Shelburne Falls, Mass Shelby, Ohio Shelby ville, 111 Shelbyville, I n d Shelbyville, Tenn Sheldon, Iowa Shenandoah, Iowa Shenandoah, P a Sherburne, N. Y Sheridan, Wyo Sherman, Tex Shippensburg, Pa Shreveport, La Shullsburg, Wis Sibley, Iowa Sidney, K Y Sigourney, Iowa Silver City, N. Mex Silverton,Colo Sing Sing, N. Y Sioux City, Iowa Sioux Falls, S. Dak Skowhegan, Me '... Slatersville, R. 1 Slatington, P a Smith Center, Kans Smithneld, Ohio Smyrna, Del Snohoraish, W a s h , Snow Hill,Md . . . _ . , . . . . . . , . . . . , . . . . , . . . . . . . Page. 668 768 873 904 1200 41 306 395 794 1170 1017 1152 1153 23 23 24 25 1154 261 873 769 86 25 25 675 26 26 770 770 542 515 96 771 771 612 772 1018 1018 1018 74 370 1211 570 307 1019 1020 10 307 772 613 1020 207 1155 542 1020 1021 166 471 875 166 207 1093 261 261 1021 772 1259 1155 1022 345 1251 262 773 262 676 41 773 263 1076 370 1057 1022 307 875 74 1213 395 1272 INDEX OF TOWNS. Socorro, N. Mex Somers,N.T Somerset, X y Somerset, Pa Somersworth, N. H Somerville, Mass Somerville, N. J Souderton, Pa South Amboy, !N". J South Bend, Ind South Berwick, Me South Bethlehem, P a South Chicago, 111. (See Chicago.) South Framingham, Mass South Milwaukee, Wis South Norwalk, Conn South Omaha, Nebr South Pittsburg, Tenn South Weymouth, Mass Southbridge, Mass Southington, Conn Southport, Conn Sparta, Tenn Spartanburg, S. C Spencer, Iowa . . . . ' Spencer, Mass Spirit Lake, Iowa Spokane, Wash Sprague, Wash Spring Citj, Pa Spring Valley, 111 Springfield, 111 Springfield, Ky Springfield, Mass Springfield, Mo Springfield, Ohio Springfield, Tenn Springfield, Vt Springville, N. Y StaiFord Springs, Conn Stamford, Conn Stamford, X. Y Stanford, Ky Stanton, Nebr Statesville, N. C Staunton, Va Steelton, P a Stephenville, Tex Sterling, 111 Sterling, Kans Steubenville, Ohio Stevens Point, Wis Stewartstown, Pa Stewartsville, Mo S*tillwater, Minn Stockbridge, Mass Stockton, Cal Stoneham, Mass Stonington, Conn Storm Lake, Iowa Strasburg, Pa Streator,Ill Stroudsburg, Pa Stuart, Iowa Sturgis, Mich Sturgis, S.Dak Suffield, Conn Sulphur Springs, Tex Sumter, S. C Sunbury, Pa Superior, Nebr Superior, Wis Susquehanna, Pa Sutherland, Iowa Sutton, Nebr Swanton, Vt Sycamore, 111 Syracuse, Nebr Syracuse, N. Y Sweden, Ohio. (See Ashtabula.) Swedesboro, ~H. J T. Tabor, Iowa Tacoma, Wash Talladega, Ala Tallahassee, Fla Tama, Iowa Tamaqua, P a . . . , Page. 676 773 337 1023 638 471 669 1023 669 208 371 1024 472 1251 64 614 1094 472 472 64 65 1094 1066 265 473 265 1213 1214 1024 168 167 338 473 571 875 1094 1185 774 65 65 774 338 615 795 1200 1024 1156 169 308 877 1251 1025 571 543 476 27 477 66 265 1025 169 1025 266 516 1077 66 3156 1067 1026 615 1252 1026 266 615 1186 170 616 774 Tampa, Fla Tarentum, P a Tarkio, Mo Tarrytown, N. Y Taunton, Mass Taylor, Tex Taylorville, 111 Tecumseh, Nebr Tekamah, Nebr Telluride, Colo Temple, Tex Terre Haute, Ind Terrell, Tex Texarkana, Tex The Dalles, Greg Thomaston, Conn Thomaston, Me Thomasville, (la Three Rivers, Mich Ticonderoga, N. Y Tifiin,Ohio Tilton, N . H Tippecanoe City, Ohio Tipton, Iowa ..' '. Titusville, Pa Tobias, Nebr Toledo, Ohio Toluca,Ill TomsKiver, N. J Tonawanda, N.Y Topeka, Kans Towanda, P a . . . Tower, Minn Townsend. Mass Towson, Md Tracy, Minn Traverse City, Mich Trenton, Mo Trenton, N. J Trinidad, Colo Troy, N . Y Troy, Ohio Troy, P a Tucson, Ariz Tullahoma, Tenn Tunkhannock, Pa Tupelo, Miss Turners Falls, Mass Tuscaloosa, Ala Tuscola, 111 Tyler, Tex Tyrone, P a Page. 87 1027 571 776 477 1157 171 616 617 42 1157 209 1158 1159 904 67 371 96 '»16 776 878 639 878 267 1028 617 878 171 670 776 308 1028 543 478 396 544 517 572 670 42 777 880 : . 1029 13 1095 1029 548 478 11 171 1159 1029 .*. U. Union, Oreg Union, S. C Union City, Mich Union City, Tenn Uniontown, P a Unionville, Mo Upper Sandusky, Ohio Urbana, 111 Urbana, Ohio Utica, N. Y Uvalde, Tex Uxbridge, Mass Valdosta,Ga Valley C i t y , N . D a k Valparaiso, Ind Vancouver, Wash Vandalia, 111 Van Alstyne, Tex Van Wert, Ohio Vassar, Mich Velasco, Tex Vergennes, Vt Vermillion, S.Dak Vernon, I n d 670 Vernon, N. Y Verona, P a Vevay, Ind 266 Vicksburg, Miss 1215 Victoria, Tex 10 Vienna, 111 87 Villisca, Iowa 267 Vincennes, Ind 1027 Vincentown, N. * T 905 1067 517 1095 1030 572 881 172 881 779 1160 479 V. ,. . 97 807 210 1216 172 1161 882 518 ] 161 1186 1078 211 781 1030 211 549 1161 172 267 211 . 671 1273 INDEX OF TOWNS. Vineland,N.J Vinita, Ind. T Virginia, 111 W. Wabash, I n d Wabasha, Minn Waco, Tex Wadena, Minn Wadesboro, N. C W ahoo, Nebr Wahpeton, N. Dak Waitsburg, Wash Wakefield, Mass Walden.N.Y Waldoboro, Me Wallace, Idaho Walla Walla, Wash Wallingford, Conn Waltham, Mass Walton, N. Y Wamego, Kans Wapakoneta, Ohio Ware, Mass Wareham, Mass Warren, Ohio Warren, P a Warren, £ . I Warsaw, N. Y Warwick, N. Y Washington, D. C Washington, Ind Washington, Iowa Washington, Kans Washington, N. J Washington, N. C Washington, Pa Washington C. H., Ohio Waterbury, Conn Waterbury, Vt „ Waterloo, Iowa Waterloo, N. Y Watertown, Mass Watertown, N Y Watertown, S. Dak Watertown, Wis Waterville, Me Waterville, N. Y Waterviile, Wash Watseka, 111 Watsontown, P a Waukegan,Ill Waukesha, Wis Waukon, Iowa Waupaca, Wis Waupun, Wis Wausau, Wis Waverly, Iowa Waverly, N. Y Waxahachie, Tex Waycross, Ga Wayne, Nebr Waynesboro, P a Waynesburg, Pa Waynesville, Ohio Weatherford, Tex Webb City, Mo Webster, Mass Webster City, Iowa AVeeping Water, Nebr Wellington, Kans Wellington, Ohio Wells, Minn Wells River, Vt Wellsboro, Pa Wellsburg, W. Va Wellston, Ohio Wellsville, N. Y Wellsville, Ohio Wenona, 111 West Chester, Pa West Grove, Pa West Newton, Pa W e s t Point, Miss West Point, Nebr West Randolph, Vt. (See Randolph.) West Superior, Wis. (See Superior.) Page. 672 216 173 212 544 1162 544 795 617 808 1216 479 781 372 101 1216 67 479 781 309 883 480 480 884 1031 1058 782 782 77 213 268 310 672 795 1032 885 67 1187 268 782 480 783 1078 1253 372 784 1217 173 1033 174 1253 269 1254 1254 1255 269 785 1163 97 618 1033 1034 885 1164 573 481 270 619 310 885 545 1187 1034 1227 886 785 886 174 1035 1036 1036 549 619 j West Troy, N. Y West Union, Iowa West Wintield, N. Y West Winsted, Conn Westboro, Mass W e s t e r l y , Pv. I Westfield, M a s s Westfield, N . J Westfield, N . Y Westminster, Md W e s t m i n s t e r , M a s s . (See Gardner.) Westmoreland, Kans Weston, W. Va W estport. Conn Weymouth, Mass W h a t Cheer, I o w a W h e e l i n g , W . Va W h i t e P i g e o n , Mich White River Junction, Vt W h i t e Sulphur Springs, Mont Whitehall, N. Y Whitewater, W i s Whitewiight, Tex Whitinsvillc, Mass Whitman, Mass Wichita. Kans Wichita Falls, Tex Wickford, R . I Wilkes Barre, P a Wilkinsburg, P a Williamsport, Md William sport, P a Williamstown, Mass Willimautic, Conn Wilmerding. P a Wills Point, Tex Wilmington, Del Wilmington, 111 Wilmington, N . C Wilmington, Ohio Wilson, X. C Winchendon, Mass Winchester, K y Winchester, N*. H Winchester, Va Winiield, Kans Winnemucca, Nev Winnsboro, S. C Winona, Minn Winsted, Conn Winston, N . C Winterset, Iowa Winthrop, Me Wiscasset, Me Wisner, Nebr Woburn, Mass Wolfe City, Tex Wood River, Nebr Woodbine, Iowa Woodbury, K. J Woodstock, V t Woodstown, N. J Woonsocket, R . I Wooster, Ohio Worcester, Mass Wrentham, Mass Wrightsville, P a Wymore, Nebr Wyoming, Iowa Page. 786 270 786 C9 481 1059 481 672 786 396 311 1227 69 482 271 1228 518 1187 582 7S7 1255 1165 482 483 312 1165 1060 1037 1038 397 1038 483 69 1040 1166 75 174 796 886 796 483 338 639 1201 312 622 1068 545 70 797 271 373 373 620 484 1166 620 273 673 1188 673 1060 887 484 486 1040 620 272 X. Xenia, Ohio 888 Y. Yardley, P a Yankton, S. Dak Yarmouth Port, Mass Yazoo City, Miss Yoakum, Tex Yonkers.N.Y York, Nebr York, P a York Village, Me Youngstown, Ohio Ypsilimti, Mich 1040 1079 487 550 1167 787 621 1041 374 888 519 Z. Zanesville, Ohio 890