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EIG HTH A N N U A L REPORT OF THE DEPARTMENT OF BANKING SHOWING THE CONDITION OF THE IN C O R P O R A T E D , PRIVATE, AND B A N K S OF N E B R A S K A SAVINGS FOR THE YEAR 1899. SUBMITTED TO THE STATE BANKING BOARD FEBRUARY 1st, 1900 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis BY P. L. HALL, Secretary. FR EM O N T, N E B R A SK A P R IN T E D B T T H E F R E M O N T T R IB U N E 1900 DEPARTMENT OF BANKING OF THE STATE OF NEBRASKA.. BOARD. H o n . J. F. Co r n e l l .....................Auditor of Public Accounts and President. H o n . J. B. M e s e r v e ....................................................................State TreasurerH o n . C. J. S m y t h .........................................................................Attorney General P. L. H a l l ...................................................................................................... Secretary H e n r y M a t h i e s e n ............................................................................................... C lerk E X A M IN E R S. R e u b e n L i p p , Pawnee City. E. H. L u ik a r t , Norfolk. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J. F. Co a d , J r ., Omaha. V. E. W il s o n , Omaha. S t a t e of N e b r a sk a , D epa r t m en t L , N e b r a sk a in c o l n , of B a n k in g , February i, 1900. To the Honorables J . F . Cornell\ Auditor o f Public Accounts; y . B . Mcscrvc, State Treasurer; and C. y . Smyth, Attorney General, Members o f the State Banking Board o f the State o f Nebraska: G e n t l e m e n :— I have the honor to submit herewith the Eighth Annual Report of the Department of Banking, embracing the period beginning with December 1, 1898, and ending with De cember 2, 1899. During the period covered by this report, twenty-three new banks have been authorized and chartered, of which twenty were incorporated with a total paid up capital of $206,250.00, and three private with a total paid up capital of $16,000.00. Five banks have been changed from private to incorporated, and one changed from incorporated to private. Four incorporated banks have been reincorporated and reorganized. Ten banks went into voluntary liquidation, paying all creditors in full. Only one bank was closed and placed in the hands of a receiver—the Farmers and Merchants Bank of Butte, Boyd County. The following statement shows the condition of this bank as near as could be determined pending the appointment of a receiver: STATEMENT. RESO U RCES. Bills receivable............................................................................................. $11,027 Overdrafts ................................................................................................... 3,968 Due from banks........................................................................................... 561 Bank building, furniture and fixtures................................................... 2,400 Other a ssets................................................................................................. 3,582 Cash .............................................................................................................. 716 91 54 28 00 06 50 Total ....................................................................................................... $22,256 29 L IA B IL IT IE S . Capital stock................................................................... .........................$ 7,000 00 Undivided profits....................................................................................... 826 33 Deposits ....................................................................................................... 13,829 96 B ills payable ............................................................................................... 600 (X) Total .......................................... . .................................................: • • $22,256 29 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis i 4 E IG H T H ANNUAL REPO RT OF TH E Comparing the condition of the banks under your jurisdiction at the close of business December 2, 1899, with the condition at the close of business December 1, 1898, a material increase is shown in business, expressed most clearly in an increase of $3,440,930.98 in the item of deposits, and $3,593>538-io in the item of loans and discounts. Full and detailed information rela tive to the banks under supervision of this Department is set forth in succeeding pages, a study of which cannot but be a source of gratification to your Honorable Board. Abstract of the condition of the Incorporated State, Private, and Savings Banks of the State of Nebraska at the close of business, March 6, 1899. Total member of Banks reporting, 395. , R ESOURCES. Loans and discounts..............................................................................$18,365,635 51 O verd rafts................................................................... 237,969 47 Stocks, securities, judgments, e tc ............................................ •• 267,740 20 Due from national, state andprivate banks and bankers............ 5,211,278 47 Banking house, furniture and fixtures............................................ 1,218,175 63 Other real estate................................................................................. 911,695 85 Current expenses and taxes paid.................................................... 341,141 24 U. S. bonds..................................... ....................................................... 75,900 00 Premium on bonds, e tc ....................................................................... 3,253 98 Other assets ......................................................................................... 143,581 53 Cash ite m s .............................................................................................. 63,824 28 Cash reserve in banks......................................................................... 1,955,401 66 T o t a l..................................................... ......................................... $28,795,597 82 L IA B IL IT IE S. Capital stock paid in .......................................................................... $ 7,407,273 Surplus fund...................................................... 899,777 Undivided profits.................................................................................. 927,262 Dividends unpaid............... 6,610 General deposits.................................................................................... 19,253,050 Other liab ilities................................................................................... 8,070 Notes and bills re-discounted............................................................. 69,469 Bills payable......................................................................................... 224,082 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 70 34 15 90 74 85 24 90 $28,795,597 82 SEC RETA RY OF T H E STA TE B A N K IN G BOARD. 5 Abstract of report of the State and Private Banks (including Savings Banks), of the State of Nebraska, at the close of business, June 19, 1899, Total number of Banks, 398. R ESOURCES. Loans and discounts..................................................................... - ... .$17,898,386 82 O v e r d r a fts .......................................................................................... 206,308 29 Stocks, securities, judgments, claims, e tc......... ....................... 317,129 00 Due from national, state and private banks and bankers.......... 7,377,776 45 Banking house, furniture and fixtures ......... 1,185,984 19 Other real e s ta te ....... ...................................................................... 844,998 95 Current expenses and taxes paid..................................................... 400,046 15 Premiums on bonds, e t c ............................................. 4,999 56 Other assets not otherwise enumerated........................................ 134,859 48 Cash ite m s ............................................................................................. 63,662 47 Cash reserve in banks, viz: G o ld ..................................................................................$691,394 00 Silver dollars . . . . ............................................. 225,76900 Currency.......................................................................... 900,34300 Fractional currency, nickels and cents, and frac tional silver................................................................. 202,065 91 2,019,57191 T o ta l....................................... $30,453,723 27 L IA B IL IT IE S . Capital stock paid in ............................................................................$ 7,232.485 00 Surplus fund................................................................................................. 905,30584 Undivided profits............................................................................... 1,108,767 58 Dividends unpaid.................................................................................. 6 546 18 General deposits.................................................................................... 21,025J66 37 Other liab ilities............. ..................................................................... 5 344 pi Notes and bills rediscounted................................................................ 42,56694 Bills payable............................................................................................... 126,94435 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $30,453,723 27 6 E IG H T H ANNUAL REPO RT OF TH E Abstract of condition of State and Private Banks (including Savings Banks), of the State of Nebraska, at the close of business, September 11, 1899. Total number of Banks, 403; an increase of 5 Banks. RESO U R C ES. Loans and d iscou n ts........... ................................................................$18,853,269 04 Overdrafts........................................... 272,491 79 Stocks, securities, judgments, claims,e t c ....................................... 313,638 51 Due from national, state and private banks and bankers............ 8,137,883 91 Banking house, furniture and fix tu re s........................................... 1,192,522 76 Other real e s ta te ................................................................................... 841,501 54 Current expenses and taxes p a id ...................................................... 378,302 36 Premiums on bonds, e t c ................................... 5,521 96 Assets not otherwise enum erated............................................ . . . 130,303 18 Cash it e m s ....... ......................................................................... 64,607 72 Cash reserve in b ank s......................................................................... 2,111,926 86 T otal...................................................................................................$32,301,969 63 L IA B IL IT IE S . Capital stock paid in .......................................................................... $ 7,284,185 00 Surplus fu n d ........................................................................................... 940,580 58 Undivided profits................................................................................... 1,019,247 92 Dividends u npaid............................................................. 5.465 31 General deposits..................................................................................... 22,908,511 19 Other liabilities .................................................................................... 2,559 85 Notes and bills rediscounted................................................................ 36,176 43 Bills p a y a b le.......................................................................................... 105,243 35 Total ............................................................................................. $32,301,969 63 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY OF T H E STA TE B A N K IN G BOARD. 7 .Abstract of condition of State and Private Banks, (including Savings Banks), of the State of Nebraska, at the close of business, December 2, 1899. Total number of Banks, 405. R ESO U R C ES. Loans and discounts................................................................... .$21,202,752 67 Overdrafts.............................................................. 284,590 07 Stocks, securities, judgments, claims, e tc ...................................... 279, 479 66 U. S. bonds.............................................................................................. 28,700 00 Due from national, state and private banks and bankers........... 5,211,556 60 Banking house, furniture and fixtures........................................... 1,193,877 03 Other real esta te.................................................................................... 816,971 70 Ourrent expenses and taxes p a id .................................................... 460,875 68 Premiums on bonds, e t c ..................................................................... 2,456 46 Assets not otherwise enumerated.................................................... 124,185 61 •Cash item s.............................................................................................. 56,573 00 Cash reserve, viz: G o ld .................................................................................. $698,238 00 S ilv e r .............................................................................. 112,831 00 Currency......... ............................................... 846,530 00 Fractional currency, nickels and cents and frac tional silver.............................................................. 251,847 99 1,909,44699 T otal...........................................................................................$31,571,465 47 L IA B IL IT E S . Capital stock paid in .............................................................................$ 7,180,485 00 Surplus fund............................................................................................ 940,835 00 Undivided profits.................................................................................. 1,311,815 35 Dividends unpaid.................................................................................. 10,319 69 General deposits.................................................................................... 21,666,111 12 Other lia b ilities................................................. 1,855 54 Notes and bills rediscounted.............................................................. 191,283 73 Bills p ayab le............................................................................. 268,760 04 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $31,571,465 47 8 E IG H T H ANNUAL REPO R T OF TH E SAVINGS BANKS. Abstract of report of the condition of Savings Banks (eight in number)r of the State of Nebraska, at the close of business December 2 1899. , RESO U R C ES. Loans and discounts..................................................................................$546,083 24 O verdrafts...................................... ......................................................... Stocks, securities, judgments, claims,etc ......................................... 12,346 24 Due from national, state and private banks and bankers............... 175,551 98 Banking house, furniture and fixtures .............................................. 2,128 90 Other real estate..................................................................................... 89,446 83Current expenses and taxes paid......................................................... 5,440 22 Assets not otherwise enumerated......................................................... 64 77 Cash item s................................................................................................... 1,443 16 v Cash on hand............................................................................................... 20.511 74 Total..............................................................................................................$853,01708L IA B IL IT IE S . Capital stock paid in .................................................................................$150,500 00 Surplus fund.................................................................................................... 47,56000 Undivided profits.............................................................................................. 26,37883Dividends unpaid....................................................................................... General deposits................................................. 628,578 25Other liab ilities......................................................................................... Notes and bills rediscounted.................................................................. Bills payable............................................................................................... T o ta l.............................................................................................................$853,01708- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY OF T H E STA TE B A N K IN G BO ARD. 9 INCORPORATED BANKS. Abstract of report of the condition of Incorporated Banks (331 in number of the State of Nebraska, at the close of business December 2,1899. ), RESOURCES. Loans and d iscou nts..............................................................................$17,975,837 87 Overdrafts.................................... 250,192 90 Stocks, securities, judgments, claims, e tc ..................................... 245,078 38 Due from national, state and pi'ivate banks and bankers........... 4,260,926 01 Banking house, furniture and fixtures......................., .................. 1,032,782 92 Other real e s ta t e .................................................................................. 659,978 93 Current expenses and taxes p a id ...................................................... 374,716 98 Premiums on bonds, e tc ....................................................................... 1,919 39 Assets not otherwise enum erated.................................................... 100,042 26 Cash it e m s .............................................................................................. 40,611 14 Cash on hand s................... 1,622,446 42 U. S. Bonds on h a n d ............................................................................ 16,300 00 T otal.................................................................................................. $26,580,833 20 L IA B IL IT IE S. Capital stock paid in .................................... .................................. $ 6,166,785 00 Surplus..................................................................................................... 799,118 09 Undivided profits.................................................................................. 1,085,689 35 Dividends unpaid.................................................................................. 9,565 01 General deposits.................................................................................... 18,112,176 66 Other lia b ilitie s.................................................................................... 1,855 54 Notes and bills rediscounted............................................................. 158,883 51 Bills p ayab le.......................................................................................... 246.760 04 T otal..................... •.......................................................................... $26,580,833 20 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10 E IG H T H ANNUAL REPO RT OF TH E PRIVATE BANKS. Abstract of report of condition of Private Banks {66 in number), of the State of Nebraska, at the close of business December 2, 1899. RESO U R C ES. Loans and d iscou n ts............................................................................$ 2,680,831 56 Overdrafts............................................................................................... 34,397 17 Stocks, securities, judgments, claims, e t c ........................ 22,055 04 775,078 61 Due from national, state and private banks and bankers......... Banking house, furniture and fixtures.................................... ; . 158,965 21 Other real e s ta t e .................................................................................. 67,545 94 Current expenses and taxes p a id .................................. 80,718 48 Premiums on bonds, e tc ...................................................................... 537 07 24.078 58 Assets not otherwise enum erated................................................... Cash it e m s ............................................................................................. 14,518 70 Cash on hand ....................................................................................... 266,488 83 U. S. Bonds on hand............................................................................ 12,400 00 Total.................................................................................................$ 4,137,615 19 L IA B IL IT IE S . Capital stock paid in ............................................................................$ 863,200 00 Surplus..................................................................................................... 94,156 91 Undivided profits.................................................................................. 199,747 17 Dividends unpaid.................................................................................. 754 68 General deposits.................................................................................... 2,925,356 21 Other lia b ilitie s.................................................................................... Notes and bills rediscounted............................................................. 32,400 22 Bills p a y a b le............................................. 22,000 00 Total.................................................................................................$ 4,137,615 19 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY OF T H E STA TE B A N K IN G BOARD. 11 BANKS CLOSED, DISCONTINUED, AND IN WHICH CHANGES TOOK PLACE DURING THE YEAR BEGINNING DECEMBER 1, 1898, AND ENDING DECEMBER 2, 1899. B A N K S CLOSED. 1. .2. 3. 4. -5. G. 7. 8. 9. 10. 11. Aurora. Hamilton County Bank, consolidated with First N ation al........................................................................................... Oct., Bennett, Bank of, voluntary liquidation ...................................Nov., Butte, Farmers and Merchants, receiver (Wilford Standiford. ré ce iv e r)............................................................................... Nov., Columbus, Commercial Bank, nationalized.............................. Mch., Filley, Bank of, voluntary liquidation........................................ Nov., Genoa, Commercial State Bank, nationalized........................... May, Lincoln. Union Savings Bank, voluntary liquidation........... Mch., Rogers, Farmers Bank, voluntary liquidation, succeeded by Bank of R og ers.............................................................................. duly, South Bend, South Bend Bank, voluntary liquidation..........Jan., South Omaha, Packers Savings Bank, voluntary liquidation. Nov., Wallace, Wallace Security Bank, voluntary liquidation. .. .Dec., BANKS C H ANGED FROM PR IV A T E TO INC OR POR A TED . 1. 2. 3. 4. 5. Arapahoe, Arapahoe State Bank. Burwell, First Bank of. Cedar Rapids, Cedar Valley Bank. Hooper, State Bank of. Valparaiso, Oak Creek Valley Bank. 1. 2. 3. 4. Ansley, Ansley Banking Company. Elmwood, State Bank of. Shelton, Shelton Bank. Stromsburg, Farmers and Merchants Bank. B A N K S REINCO R PO R A TED A N D REO R G A NIZED . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1899 1899 1899 1899 1899 1899 1899 1899 1899 1899 1898 12 E IG H T H ANNUAL REPO RT OF TH E BANKS THAT HAVE COMMENCED BUSINESS DURING THE YEAR BEGINNING DECEMBER 1, 1898, AND ENDING DECEM BER 2, 1899. 1. 2. 3. 4. 5. . 9. 7. 8. 9. 10. 11. 12. 13. 14. 15. 16. 17. 18. 19. 20. 21. 22. 23. Beaver City, First State Bank...................................................... .Jan., 1899 Beemer, Farmers State B a n k ............................................... Oct.,1899 Bloomiield, The Citizens State Bank............................... Aug-.,1899 Broken Bow, Broken Bow State Bank.......................................Oct., 1899 Cody, The Bank of Cody ...............................................................Sept., 1899 Colon, State Bank of C o lo n .................................................... May,1899 Crawford, Bank of Crawford......................................................... Aug-., 1899 Elm Creek, The First Bank o f ......... ............................................ May, 1899 Firth, Citizens B a n k .............................................................’. '.«..O ct., 1899 Geneva, Geneva State B a n k ......................................................... Meh., 1899 Genoa, Nance County State Bank................................................Aug., 1899 Glenville, Bank of G len ville......................................................... April, 1899 Holstein, Bank of Holstein..............................................................Sept., 1899 Howe, The Bank of H o w e .............................................................. .Tan., 1899 Lynch, Bank of L y n c h ................................................................... Sept., 1899 Newport, The Rock County State B ank..................................... Jan., 1899 Osmond, Security State Bank........................................................Aue., 1899 Palmer, Palmer State B a n k ..................................................... ,Jan.,1899 Platte Center, Platte County B a n k .............................................Jan., 1899 Riverton, Riverton State B a n k .................................................... Nov., 1899 Rogers, Bank of R o g ers.................................................................. July, 1899 Valley, Valley State Bank............................................................. April, 1899 Verdigre, Bank of V erdigre..........................................................Sept., 1899 RECAPITULATION. Number Number Number Number Number of banks in force December 1, 1898................................................... 393. of banks discontinued since December 1, 1898.............................. 11 23 of banks organized since December 1, 1898............ of banks reorganized since December 1, 1898................................ 4 of banks in force December 2, 1899 ................................................. 405 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY OF T H E STA TE B A N K IN G BOARD. I 3 Abstract of reports made to the Comptroller of the Currency, showing the condition of the National Banks in the State of Nebraska, at the close of business on Saturday the 2d day of December, 1899. (Number of Banks, 99 ) , RESO U R C ES. Loans and discounts............................................................................ $32,001,250 Overdrafts............................................................................................... 493,473 U. S. bonds to secure circulation................................................... 2,928,170 U. S. bonds to secure U. S. deposits............................................... 960,000 U. S. bonds on hand............................................................................ 113,970 Premiums on U. S. bonds.................................................................. 144,118 Stocks, securities, etc ...................................................................... 2,438,873 Banking house, furniture and fixtures.......................................... 1,795,999 Other real estate and mortgages owned........................................ 1,397,649 Due from national banks (not reserve agents)......................... I 1,618,140 Due from state banks and b an k ers................................................. 982,344 Due from approved reserve agents................................................. 5,725,114 Checks and other cash it e m s ........................................................... 442,298 Exchanges for clearing house........................................................... 785,804 Bills of other national b a n k s............................................................. 233,149 Fractional paper currency, nickels and cents............................. 15.616 Lawful money reserve in bank, viz: Gold coin...................................................................... $1,396,534 85 Gold treasury certificates...................................... 275,500 00 Gold clearing house certificates.......................... Silver d o lla r s............................... 213,194 00 Silver treasury certificates.................................. 238,646 00 Silver fractional coin............................................. 101,353 54 41 33 00 00 00 77 61 56 46 90 35 89 12 78 00 40 Total specie................................................... $2,225,228 39 / ^ 39 ’ Legal tender n o te s ............................................... 1,105,052 00 ' U. S. certificates of deposit for legal tender notes........................................................................ 0 F ive per cent redemption fund with treasurer............................ 130,970 25 Due from U. S. treasurer.................................................................. 16,806 10 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $55,554,036 32 I4 E IG H T H ANNUAL REPO RT OF T H E L IA B IL IT IE S . Capital stock paid in .......................................................................... $ 9,645,000 00 Surplus 'fund............................................................................ .......... 1,531,877 95 Undivided profits, less expenses and taxes paid........................... 959,846 70 National bank notes issued........................................$2,635,325 00 Less amount on hand................................................... 142,842 50 Amount outstanding..................................................................... 2,492,482 50 State bank notes outstanding........................................................... Due to other national banks............................................................. 5,413,400 56 Due to state banks and bankers....................................................... 5,394,949 28 Dividends unpaid.................................................................................. 1,227 00 Individual d ep osits................... 28,859,660 38 United States deposits................................ 571,082 91 Deposits of U. S. disbursing officers................................................ 357,886 36 Notes and bills rediscounted............................................................. 53,964 04 262,500 00 Bills payable......................................................................................... Liabilities other than those above stated...................................... 10,158 64 T o t a l............................................................................................... $55,554,036 32 Reserve held, 29.38 per cent. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY OF T H E STA TE B A N K IN G BO ARD. IS H IS T O R Y O F B A N K IN G L A W S . The first act applying to banks took effect June 1, 1877, and provided that such institutions should annually report to Auditor of Public Accounts in December of each year, showing condi tion, resources and liabilities and providing a penalty for makingfalse reports. This act also provided for the recovery of public funds de posited in, or loaned to banks, and legalized actions then pending for the recovery of such funds. The act of 1877 remained the law' without change until the year 1889, when Sections 1, 2, 3, of the act of 1877 were re pealed and amendments were added providing for supervision of affairs of banks by the Auditor of Public Accounts, State Treas urer and Attorney General. This act also provided for not less than three reports during each year to be made, undor oath, to the above named officers and to be published in a newspaper. It also empowered said officers to call for special reports and to appoint a clerk and examiners, prescribing the duties and com pensation of such officers. Also penalty for failure to report and making false report; for a reserve fund; fixed the maximum liabilities; fixed a penalty for receiving deposits when insolvent, and provided for appointment of receivers in case of insolvency. Savings banks were also recognized, and distinguished from commercial banks. The act of 1889 remained unchanged until April 5, 1895. The Legislature of that year amended the act of 1.889 several im portant particulars and no change has been made since. The Banking Act of 1895 for the first time established a State Banking Board, designating it as such, and constituting the Auditor of Public Accounts, State Treasurer and Attorney Gen eral as such Board. It also provided for a Secretary of the Board and a seal. Many other minor but important changes were made, and for the first time in its history, the State of Nebraska had a law that gave an organized department super- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 16 E IG H T H ANNUAL REPO RT OF T H E vision over its banks and clearly defined the duties and powers of both department and banks. For the first time the machinery of supervision was thoroughly provided and set in motion, which was to give the people of the State promise of protection against a repetition of such frequent disasters as marked previous years. I am of the opinion that had the restrictions of the law of 1895 been provided and enforced prior to the year 1893, many of the failures that occurred during the period of panic, a depression beginning with that year would have been avoided. Many insti tutions that went down Under the strain of that time, would have survived had they been placed under proper restraint during the boom period preceding. While bank supervision by state authority is often criticized, sometimes justly, sometimes unjustly, yet the fact remains that it has come to be recognized as a necessity under the present ex panded credit system and will, with wider experience, become more and more a protection to all interests. It will always be, that while failures of supervision will be known of all men, the good resulting therefrom must from necessity remain to a large extent, untold. The present Banking Act, while productive of much benefit to the banks and the people, experience shows needs amending in several particulars. D E F IN IT IO N OF B A N K . There is a special need of an amendment which will provide a statutory definition of a bank. In the course of business, the Department is frequently embarrassed by the absence of a clear concise statutory definition of the term. This fact has been made evident in various instances by persons or corporations assuming the privilege to do some of the things which should be clearly prerogatives of banks exclusively. In a recent matter referred to this Department by one of the banks under its juris diction, an opinion was requested from the Attorney General as to what constituted a banking business. In response to the re quest of the Department, the following opinion was received from https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY OF T H E STA TE that officer, which clearly referred to: BOARD. 1 7 demonstrates the defect above S O B A N K IN G f f ic e of t a t e A of t to r n ey N e b r a sk a G e n e r a l , \ , j January 12, 1900. Hon. P . L . H all, Secretary State Banking B o a rd : L in c o l n , N e b ., D e a r S i r : —Your favor of recent date asking for an opinion from this office on the question of “ What constitutes a banking business as contemplated by the statutes of the State of N e braska, and especially whether or not in your opinion the buying and selling of exchange is exclusively the privilege of a bank?” has been duly received. In reply thereto, would say that Section 2 of Chapter 8, of the Compiled Statutes of Nebraska, which provides that “ Every corporation, partnership, firm or individual transacting a banking business, under the laws, and within the State, shall be subject to the provisions of this Act and regulated by the State Banking Board,” does not pretend to define what the banking business is, within the meaning of this Chapter, but leaves that question to be determined by the general application of the term “ banking business, ’ as defined by the courts and law writers of the country. Nor does Section 182, 3b, of Article 1, Chapter 77 of the Statutes, give a definition of “ banking” which is intended to de fine the business for the purpose of determining the control of your board over the banking business. This Section, if you will notice, is for the purpose of directing the method of assessing certain classes of property for taxation. Its sub-head includes, bank, banking, broker, and stock jobber, and does not pretend to divide the lines of duties of each of those branches of business and separate the functions of one from the functions of another. Consequently, we are left without the aid of a legislative defini tion of “ banking,” and are compelled to look to the text writers, commentators and courts for a definition applicable to the ques tion which you have propounded to us. Looking first to our standard lexicographer, Webster, for a 2 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis i8 E IG H T H ANNUAL REPO RT OF TH E definition, we find the following: “ Bank.— A collection or stock of money deposited by a number of persons for a particular use,, that is an aggregate of particulars, or a fund; as to establish a bank, that is a joint fund.” “ Banker.— One who keeps a bank;, one who traffics in money, receives and remits money; negotiates bills of exchange, etc.” “ Banking—The business or employ ment of a banker; the business of establishing a common fund for lending money, discounting notes, issuing bills, receiving de posits, collecting money on notes deposited, negotiating bills of exchange, etc.” Turning from Webster’s Dictionary to Bouvier’s Law Dic tionary, we find the following definition of a bank: “ An institu tion authorized to receive deposits of money, to lend money and to issue promissory notes.” This is a definition which has been commented on favorably in the case of the First National Bank vs. Ocean National Bank, 60 N. Y ., 278, and has also been com mented on with approval in a leading case by the Supreme Court of Minnesota—the case of Farmers and Merchants Bank vs. Baldwin, 23 Minn., 198. In the case of Oulton vs. Savings Institution, 17 Wallace, 109,. Judge Clifford of the United States Supreme Court says, “ Banks in the commercial sense are of three kinds— of deposit, of dis count, and of circulation. Originally the banking business con sisted in receiving deposits, such as bullion, plate and the like,, for safe keeping until the depositor should see fit to withdraw. Later banks began to loan by discounting bills and notes, or on mortgage, bond or other security; and at a still later period, toissue notes of their own, intended to circulate as money instead of gold and silver.” “ Modern banks frequently exercise any two or even three of those functions, but it is still true that an insti tution prohibited from exercising any more than one of them, is a bank in the strictest sense.” This decision has been criticized by some of the law writers as too broad, and as giving the term “ banking” a too wide signifi cance, as the only question before the Court determined by this decision was, as to whether an institution engaged in the business https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY OF TH E ST A T E B A N K IN G BO ARD. 19 of receiving deposits from the public in general, was a bank, and his holding was in the affirmative. There are numerous other cases which have been determined by the various courts, in which the question was involved for the purpose of the construction of a revenue statute, but these would be of little assistance to us in the solution of the question that you have propounded. Guided by the light of the authori ties above commented on, I am of the opinion that a banking business is one which is primarily kept at a place where deposits are received; and where the money of various depositors is comingled into a common fund for the purpose of loans or dis counts or the purchase of negotiable instruments, and that simply the buying and selling of exchange, unless it was conducted at a place kept for the deposit of money, would not alone constitute the banking business; but if deposits were received, and drafts or checks issued against the deposits so received, then, in my opinion, such a business would be a banking business, as con templated by Chapter 8 of the Statutes of the State of Nebraska, and would be subject to the control of your Board. Very truly yours, C. J. S M Y T H , B y W. D. O LD H A M , Attorney General. Deputy. O F F IC E R S A N D E M P L O Y E S . An amendment prohibiting the officers and employes of a bank from borrowing or in any way converting to their personal use any of the funds thereof, would be a protection both to the stockholders and depositors. Such an amendment was intro duced in the House by Representative Evans, of Adams County, in the last Legislature, but failed to become a law. Such an amendment is almost a necessity. R E C E IV E R S . In former reports I have called attention to the unsatisfactory results obtained by the present methods of winding up the affairs of banks when placed in the hands of receivers. While https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 20 E IG H T H ANNUAL REPO RT OF TH E there are many instances where receivers have discharged their duties with care and fidelity, yet all too often the appointment to the position of a receivership has been considered by the appointee as a personal snap and the assets of the bank legiti mate prey. The history of receiverships of both state and national banks in the State, has been a fruitful source of com plaint, and with reason. An attempt was made to remedy the evils arising under the present system applying to banks under State supervision, at the last session of the Legislature. A bill was introduced by Senator Fowler, of Fillmore County, Senate File No. 61', which would have done much in that direction, but it also failed to be come a law. This matter should be called to the attention of the next Legislature. P R O T E C T IO N O F D E P O S IT O R S . Efforts were made at the last two- sessions of the Legislature to amend the Banking-Act by providing for a reserve fund, to be collected from the banks for the protection of depositors. While protection to the depositors of a failed bank is a matter of the greatest importance, and protection along the lines attempted, as above indicated, meets the approval of many experienced bankers whose opinions I highly prize, yet I have never been able to bring myself to see that such a plan would be equitable. There is, however, opportunity for difference of opinion and, to use a common expression, two good sides to the question. A s some of the members of your Board have taken a deep interest in the matter, I give herewith a statement of total deposits shown in incorporated, private and savings banks reported placed in the hands of receivers in the respective years given, also total deposits in all banks under State supervision, as shown by annual reports of such years: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY YEAR OF T H E STA TE T o ta l d ep o sits in banks placed in hands of receivers 1892 1893 1894 1895 1896 1897 1898 1899 $ 71,997 652,175 197,283 584,655 1,156,888 144,507 35,730 13,829 18 79 25 80 81 34 06 96 B A N K IN G 21 BO ARD. T otal d ep osits in a ll banks $24,891,113 17,208,476 18,074,832 14,200,775 10,227,537 13,902,940 18,225,180 21,666,111 29 14 43 62 93 36 14 12 The amount given for the years 1892 and 1893 are only approximately correct, as they have been from necessity made up from the last quarterly report to the department previous to the closing of the banks, and not from the report at the time of closing, as was done in the years that followed. The records of this office for the first two years given, contain little or no data of the deposits held at the time of closing. Under the present system of receiverships, it is impossible to form an estimate as to the probable per cent of loss of the total deposits given. It should not be forgotten that the years 1893 to 1896, inclusive, were years of extraordinary hardship for the banks. Disastrous crop failures added to a period of panic and general depression, swelled the totals involved enormously; perhaps beyond what might ever occur again. And then, too, it is well to remember that the period referred to was marked by a weeding out pro cess under such influences and by State supervision. The State was for the first time in its history, as to its banks, cleaning house. E X A M IN E R S . The present fee system by which State bank examiners re ceive compensation should be changed, so that a fixed salary and necessary expenses would be paid them. The fee system in any public position is objectionable for many reasons. Provision should be made for banks to pay an examination fee direct to the State Treasurer, by him to be dis bursed through warrants regularly drawn by the Auditor of Public Accounts. Such a provision would be a benefit to the https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 22 E IG H T H ANNUAL REPO RT OF T H E service and more agreeable to the examiner. Care should be taken in fixing the compensation that it be not so low as to pre vent competent men from desiring the position. There should also be provision for at least two examinations each year. * • < IM P O R T A N T D E C IS IO N S O F T H E S U P R E M E C O U R T O F T H E S T A T E O F N E B R A S K A A F F E C T IN G BAN KS, 1 899. Longfellow vs. Barnard.— {^Supreme Court o f Nebraska, May 77, 1899.) Northzuestern Reporter 79, page 255. Paragraphs 1 and 2 of the syllabus clearly set forth that part of the decision which is of material interest to private banks owned by an individual as well as to your honorable Board. Paragraphs referred to are as follows: 1. An unincorporated bank, exclusively owned by a private individual, is not a legal entity, even though its business be con ducted by a President and Cashier. 2. In such case the assets of the bank represent merely the portion of the owner’s capital invested in banking, and he may lawfully dispose of them to pay or secure the just claims of any of his creditors. This was a case primarily brought to test the validity of a mortgage, but which involved questions of grave importance and far reaching consequences to the class of banks described. The decision denies to an individual engaged in the banking business as a private banker, the right to set aside any portion of his capital, as bank capital upon which depositors or other credi tors of his bank would be entitled to a prior lien, and makes the capital of his bank subject to all of his debts, bank and other wise, and makes all of his property, bank capital and other, liable for any of his debts. Thus absolutely placing a private bank, owned by an individual, as a part of any other business in which he may be engaged. If this decision is to stand as the law of this State, then should private banks owned by indi viduals be prohibited by law? https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY OF TH E STA TE B A N K IN G BOARD. 23 August Schmelling vs. Stale o f Nebraska, et al.—Nebraska R e fo rts Vol. 57, -page 562. Paragraph 4 of Syllabus is as follows: 4. Banks: Insolvency: Preferred claims. The owner of a sum of money on a general deposit in a bank at the time of its failure is not entitled to a preferred claim against the assets in the hands of its receiver. Error from the District Court of Nuckolls County. Tried below before Hastings, Judge. Affirmed. This was a case wherein plaintiff claimed to have placed a sum of money in bank, not generally, but to be held to await the arrival of a time for the performance of a specific contract for the sale or purchase of some real estate in which he was named as purchaser, and which the bank was to pay on said contract. Before the arrival of the time for the payment of the money on the contract, the bank failed and was placed in the hands of a receiver. It appeared that the money was by the bank placed on general deposit, and effort was made by plaintiff to have the amount determined a preferred claim. This was denied by the District Court and the case was appealed to the Supreme Court, where decision of lower court was sustained. The point of interest in this case is the effect upon a deposit intended as a special deposit, if treated on the books of a bank .as a general deposit. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E IG H T H 24 ANNUAL REPO RT OF TH E A P P R O P R IA T IO N S F O R P R E S E N T B IE N N IU M . D E P A R T M E N T O F B A N K IN G . Apropriation for postage, telegraph, telephone, express and other necessary expenses......................................................................................$1,200 00* Salary of secretary......................................................................................... 3,000 00Salary of clerk ................................................................................................ 2,000 00Salary of stenographer................................................................................. 1,600 00 T otal...........................................................................................................$7,800 00 In conclusion permit me to say that the State banking system of Nebraska, is second to that of no other State in efficiency and safety. Already over thirty-one million dollars of assets are held by the banks under your supervision, and there is every promise that these institutions will keep pace with the growth of the State. They are Nebraska institutions, created and con trolled by Nebraska laws, and deserve the confidence and pationage of the people of Nebraska. I am, respectfully, P. L . H A L L , Secretary. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY OF T H E STA TE B A N K IN G BOARD, 2$ STATEMENTS. SHOWING THE FINANCIAL CONDITION OF 405 INCORPORATED, PRIVATE, AND SAVINGS BANKS DOING BUSINESS IN THE, STATE OF NEBRASKA AT THE CLOSE OF BUSINESS ON THE 2d DAY OF DECEMBER, 1899, MADE IN RESPONSE TO A CALL BY THE SECRETARY OF THE STATE BANKING BOARD. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E IG H T H 26 Adams. ANNUAL REPO RT OF T H E The State Bank of Adams. C harter N o. 1. W . P . N o r c r o s s ....................... P resid en t I H. H. N o r c r o s s .................... Cashier J . W. M cK ibhin......................V ice-P resid en t | E arl N o rcro ss....................... A ssista n t C ashier ST A T E M E N T , D ECEM BER 2. 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d is c o u n t s ...................... 149,958 97 O verdrafts, secured and u n se cured ................................................. 331 78 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 160 00 B o n d s........................................................................... O th er a s s e t s ....................................... 49 26 B ankin g house, fu rn iture and fix 2,720 52 tu r e s .......................... ..................... O ther real e s t a t e .................................................... •Current ex p en ses and ta x e s paid 1,254 15 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash i t e m s __ 918 89 D u e from national, sta te and p ri v a te banks and b a n k e r s............. 14,489 81 T o ta l cash on h a n d .......................... 4,27101 T o ta l............................................... 874,154 39 Ainsworth. C apital stock paid in .................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends u n p a id __ , .................... Individual d ep osits subject to check ................................................. D em and certificates of d e p o s it.. T im e certificates of d e p o s i t ....... Certified check s .............................. C ashier’s ch eck s o u tsta n d in g __ D ue to national b a n k s ................. D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... 810.000 00 3,500 00 3,223 24 T o t a l ............................................. 874,154 39 40.955 19 10,270 96 6.205 00 The Bank of Ainsworth. C harter No. 2. R. S. R is in g .. .P resid en t J. M. H a n n a .. .V ice -P re sid e n t C. A. B a r n e s ... A ctin g C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L o a n s and d isc o u n ts........................ 859,958 14 O verdrafts, secured and u n se cured ................................................... 638 48 S tock s, securities, judgm ents, claim s, e t c ....................................... 3,002 12 Bonds ....................................................................... 154 00 O ther a s s e t s ....................................... B ankin g house, furniture and fixtu res ........................................... 11,000 00 O th er real e s t a t e ............................... 604 64 Current ex p en ses and ta x e s paid ................. P rem iu m on U . S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s ....... 48 75 D ue from national, sta te and p ri v a te ban ks and b a n k e r s............. 5,839 81 T o ta l cash on h a n d ........... ........... 3,683 78 C apital sto ck paid in ...................... $35,000 00 Surplus fu n d ..................................... 2,100 00 1,780 98 U ndivided p r o fits............................ D ividends unpaid .................................................. Individ ual d ep osits subject to c h e c k ................................................. 38,555 87 Demand certificates of d e p o s it.......................... T im e certificates of d e p o sit......... 5,066 35 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g .... 1,926 52 D ue to n ational b a n k s......... ................................. D ue to sta te and p rivate banks and b a n k e r s.................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ...................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $84,429 72 T otal ,$84,429 72 SECRETARY Allen. OF THE STATE B A N K IN G BOARD 27 The A llen State Bank. Charter No. 3. D. T . G ilm a n __ P resid en t YV. L. M o te____V ic e-P r e sid en t Z. H. D e L a n o .. .C ashier ST A T EM E N T, D ECEM BER 2, 1899 R E SO U R C E S. Alexandria. C apital sto ck paid i n , .................... Surplus f u n d .......................... . . U ndivided p r o f it s ............................ D ividends u n p a id .................... ....... Individual d ep osits subject to check ................................................. D em and certificates of dep osit .. T im e certificates of d e p o s it ........ Certified c h e c k s ............................... C ashier's check s o u tsta n d in g __ Due to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e rs........... ................ ....... N o tes and b ills r e d isc o u n te d __ B ills payable .................................... $15,000 2,700 1,862 £<88 L IA B IL IT IE S . L oans and d isc o u n ts...................... $37,343 08 O verdrafts, secured and u n se cured ................................................ 164 17 S to ck s, secu rities, judgm ents, claim s, e t c ................................. 100 00 B o n d s.......................................................................... O th er a s s e t s ..... ....................... 93 58 B ankin g house, fu rn iture and fix tu r e s ...................... 2,224 97 Other real e s t a t e ......... .................... 948 03 C urrent ex p en ses and ta x es paid 810 37 P rem iu m on U. S. and other bonds and s e c u r it ie s ............. ........................... C hecks and other cash i t e m s __ 158 28 D ue from n ation al, sta te and p ri va te banks and b a n k e r s ........... 4.073 97 T o ta l cash on h a n d ........................ 3.948 03 T o t a l ............................................. $49,870 48 18,893 40 11,414 24 $149,870 48 T otal The State Bank. C harter No. 4. .M S. K n o x ......... P resid en t C. W. R o ss ........ V ic e-P r e sid en t R. F. J. K nox Cashier ST A T E M E N T , D E CEM BER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $28,332 08 O verdrafts, secured and u n se c u red .................................................. 271 97 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 172 05 B o n d s ......... ................................................................. O ther a s se ts ...................................................... .. B ankin g house, furniture and fix tu r e s ......................................................................... Other real e s t a t e .............................. 2.532 60 Current ex p en ses and ta x e s paid 261 33 Prem ium on U . S. and other bonds and s e c u r it i e s ......................................... ■Checks and other cash i t e m s __ 1,131 30 D ue from n ation al, sta te and p rivate banks and b a n k e r s ___ 8,464 37 T o ta l cash on hand ......................... 2,850 45 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $44,016 15 C apital stock paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ........................... D ividends un p aid .............................. Individ ual dep osits su b ject to check ................................................. D em and certificates of d e p o s it.. T im e certificates of d e p o s it ....... Certified c h e c k s............................ C ashier’s check s o u tsta n d in g __ D ue to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscoun ted ... B ills p a y a b le...................................... i T otal $ 10,000 00 70 00 235 62 12.105 87 2,525 50 15.079 16 4,000 00 $44,016 15 28 E IG H T H Alliance. ANNUAL REPO RT OF TH E The Bank of Alliance. Charter No. 5. F. M. K n ig h t. . P resid en t H. B o h n ..V ic e -P r e sid e n t H. A. L o tsp e ich .. A ssista n t C ashier ST A T E M E N T , D E C E M B E R 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $56,983 82 O verdrafts, secured and u n se cured ................................................. 1,467 26 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... O ther a s s e t s ....................................... 5,000 00 B ankin g hou se, fu rn iture and fixtures ............................................. O ther real e s t a te .............................. Current ex p en ses and ta x e s paid 985 94 P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash ite m s ....... 149 00 D ue from national, sta te and pri va te banks and b a n k ers............. 74.708 28 T o ta l cash on h a n d .......................... 6,918 67 C apital sto ck paid i n ...................... $19,000 00 1,350 00 Surplus fu n d ....................................... U ndivided p r o fits.............................. 2,767 38 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e ck .................................................. 88,779 79 Demand certificates of d e p o s it ... 9.026 23 T im e certificates of d e p o s it......... 24,047 08 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to n ational b a n k s..................... 658 84 D ue to sta te and p rivate banks and b a n k e rs................................... 583 65 N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... T otal ............................................. $146,212 97 T otal ................................................$146,212 9T Alma. The Bank of Alma. C harter No. 7. J. M. R a g a n ....... P resid en t A. C. Shallenberger, C ashier « A. A. B illin g s, A ss't C ashier ST A T E M E N T , D E C E M B ER % 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $68,453 95 O verdrafts, secured and u n se cured ................................................. 4,624 22 S tock s, sec u r ities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e ts .............................................................. B ankin g house, furniture and fix tu r e s .................................................. 7,000 00 O ther real e s t a t e .............................. 4,125 40 Current ex p en ses and ta x e s paid 2,783 23 P rem iu m on U. S. and oth er bonds and s e c u r it ie s ......................................... Checks and oth er cash ite m s __ 443 10 D ue from national, sta te and 5,230 93 p rivate banks and b a n k e rs__ T o ta l cash on h a n d .......................... 6,029 31 T o ta l............................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $98,690 14 C apital sto ck paid in ...................... $30,000 Ofi Su rp lus f u n d ..................................... 1,200 00 U ndivided p r o fit s ............................ 5,625 92 D ividends u n p a id ................................................... Individ ual d ep osits subject to c h e c k ................................................. 43.931 36 D em and certificates of d ep o sits. 13,838 74 T im e certificates of d e p o s it......... 3,338 48 Certified c h e c k s ..... ................................................ C ashier’s ch eck s o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s .................................... 755 64 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal ............................................... $98,690 14 SECRETA RY Ansley. OF TH E STA TE B A N K IN G BO ARD , 29 The Ansley B anking Company. C harter N o. 533. C. J. S t e v e n s ... .P r esid e n t F. M. R u b lee ...V ice-P resid en t T. C. G ib so n ........ C ashier ST A T E M E N T , D EC E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... O verdrafts, secured and u n se cu red .................................................. S to ck s, s e c u r itie s ,! judgm ents, claim s, e tc ....................................... B onds ...................... ' ......................... O ther a s s e ts ....................................... B anking hou se, fu rn iture and f ix t u r e s ............................................. O ther real e s t a t e .............................. C urrent ex p en ses and ta x e s paid. P rem iu m on U. S. and other bonds and s e c u r itie s ................... C hecks and other cash ite m s __ D ue from national, sta te and pri va te banks and b a n k e rs............. T o ta l cash on h a n d .......................... $22,237 33 T otal ............................................. $38,075 32 Arapahoe. 333 34 4,000 00 3’888 00 445 31 C apital stock paid i n ...................... $12,000 00 Surplus fund .................................. 729 83 U ndivided p r o fits.............................. D ividends u n p a id ............... .................................. Individual d ep osits su b ject to 13,763 44 c h e ck .................................................. Dem and certificates of d ep osit .. T im e certificates of d e p o s it__ _ 7,553 00 Certified c h e ck s...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s..................... 29 05 Due to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ...................................... 4,000 00 1,614 73 5,556 61 T otal ............................................. $38,075 32 The A rapahoe State Bank. Charter No. 545. Chas. C. P a r m e le ......................P resid en t I E. E. E m m e tt......................Cashier S a m u el P a tterso n ..................V ice-P resid en t | S. M. P a tte r s o n .................. A ssista n t C ashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts .................... $70,572 37 Overdrafts, secured and u n se c u r ed .................................................. 556 01 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... O ther a s s e t s ___: ..................................................... B anking house, furniture and f ix t u r e s ............................................. 5,000 00 O ther real e s t a te ...................................................... C urrent ex p en ses and ta x e s paid 1,306 64 Prem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and oth er cash ite m s ............................ D ue from national, sta te and pri va te banks and b a n k ers............. 20,40720 T o ta l cash on han d .......................... 8,072 60 Capital stock paid in ...................... $15,000 00 Surplus fu n d .............................................................. U ndivided p r o fits.............................. 1,654 78 D ividends u n p a id ................................................... Individ ual d ep osits subject to check ......... 72,584 58 D em and certificates of d e p o sit.. 16,675 46 T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers................................ ............... ......... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $105,914 82 T otal $105,914 82 30 E IG H T H Arcadia. ANNUAL REPORT OF T H E The State B ank of Arcadia. • C harter No. 11. Chas. N ic o la i........... ................ P resid en t M. L. F r ie s ...............................V ic e-P r e sid en t i G. H. K in se y ....................... C ashier | R. J, K in se y .......................... A ssista n t Cashier ST A T E M E N T , DECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S L oans and d isc o u n ts...................... $28,377 65 O verdrafts, secured and u n se cu red ................................................... 128 38 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. Bonds .................................................. 100 00 Other a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 2.000 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 5 15 Prem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash i t e m s ............................ D ue from national, sta te and pri v a te banks and b a n k ers............. 5,956 97 T o ta l cash on h a n d .......................... 4,426 70 T otal ............................................. Arlington. $40,994 85 C apital sto ck paid in ....................... Surplus fu n d ....................................... U ndivided p r o fits......... v................... D ividends u n p a id ......... .................... Individ ual d ep osits subject to c h e c k ................................. ............... Dem and certificates of d e p o s it ... T im e certificates of d e p o s it......... Certified c h e c k s .......................... . C ashier’s check s o u tsta n d in g __ Due to national b a n k s..................... Due to sta te and p rivate banks and b a n k e rs................................... N o tes and bills red iscou n ted ........ B ills p a y a b le ..................................... $ 10,000 00 2,000 00 T o t a l............................................... $40,994 85. 1,943 39 300 00 15,846 57 10,904 89 The A rlington State Bank. Charter No. 12. T. E. S te v e n s ..P r e sid e n t T hos. F in n e ll..V ic e -P r e sid e n t H. W. S c h o e ttg er ..C a sh ie r ST A T E M E N T . D EC E M B ER 2. 1899. RESO U RCES. L oans and d isc o u n ts...................... $97,055 23 O verdrafts, secured and u n se cu red ......................., .......................... 2,713 86 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 10,877 25 B o n d s .................................................... 122 23 O ther a s s e t s .............................................................. B ankin g house, furniture and fixtui’e s ............................................. 4,372 08 O ther real e s t a t e ................................ 4,000 70 Current ex p en ses and ta x e s paid 1,254 28 Prem ium on U . S. and other bonds and se c u r itie s ........................................... C hecks ond oth er cash ite m s. . . 159 12 D ue from national, sta te and pri va te banks and b a n k ers............. 16,221 79 T ota l cash on h a n d .......................... 9.920 99 T o ta l.............................. ................ $146,697 53 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital sto ck paid in ...................... $28,000 00Surplus fu n d ............................................................ U ndivided p r o fits.............................. 649 84 D ividends u n p a id .............................. 2,672 54 Individ ual d ep osits subject to c h e c k ...........................................;. . . 51,31150 Dem and certificates of d e p o s it ... 1,890 00 T im e certificates of d e p o s it......... 45,415 96 Certified c h e e k s ...................................................... C ashier's ch eck s o u tsta n d in g ............................ D ue to national banks ................. 263 16 D ue to sta te and private banks and b a n k e rs..................................... 6,494 53 N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ 10,00000 T o ta l ................................................. *146,697 53 SEC R ET A R Y Ashland. OF THE STATE B A N K IN G BOARD 3* The Farmers and M erchants Bank. Charter No. 14. E. A. W iggenhorn. P resid en t H. A. W iggenhorn, C ashier E. A. W iggenhorn, Jr., A ssista n t C ashier ST A T EM E N T, D E CEM BER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oan s and d isc o u n ts....................... $183,323 58 O verdrafts, secured and u n se cu red .................................................. 1,251 00 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s .................................................... 6,400 00 O ther a s s e ts .............................................................. B ankin g house, fu rn iture and f ix t u r e s ............................................. 10,000 00 O ther real e s t a te .................................................... Current ex p en ses and ta x es paid 267 40 P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and other cash ite m s ....... 119 18 D ue from national, sta te and pri 18,679 61 v a te banks and b a n k e rs............. T o ta l cash on h a n d .......................... 10,403 58 T o ta l............................................... $230,444 35 Ashton. Capital stock paid in ...................... $65,000 06 Surplus fu n d ....................................... 11,000 OO U ndivided p r o fits.................... 350 86 D ividends u n p aid .................................................... Individual d ep osits subject to c h e c k ................................................. 81,412 72 D em and certificates of d e p o s it... 17,217 61 T im e certificates of d e p o s it......... 55,463 16 Certified c h e c k s ................................ C ashier’s ch eck s o u tsta n d in g __ Due to n ational b a n k s..................... D ue to sta te and p rivate banks and b a n k e r s ................................... N otes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l ............................................. $230,444 35 The B ank of A shton. C harter No. 15. A. P . C u lle y ................................P resid en t I H. S m else r ............................. C ashier G eorgia M. L o v e .......................V ic e-P r e sid en t | W. M. S m e lse r .....................A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $8,729 06 O verdrafts, secured and u n se cured ......................................................................... S tock s, secu rities, judgm ents, claim s, e t c ....................................... 605 70 B o n d s........................................................................... Other a s s e ts .............................................................. B ankin g house, furniture and fix tu r es............................................. 1,400 00 O ther real e s t a te .................................................... Current ex p en ses and ta x es paid 1,302 68 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s __ 324 71 D ue from national, sta te and pri v a te banks and b a n k e r s ............ 4,076 53 T o ta l cash on h a n d .......................... 4,924 12 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $21,362 80 $6,000 06 C apital sto ck paid i n ...................... Su rp lus fu n d ..................................... 1200 00 U ndivided p ro fits........ 1,657 16 D ividends u n p aid .................................................. Individ ual d ep osits subject to c h e c k ................................................. 8,033 64 Dem and certificates of d e p o s it. . . 800 00 T im e certificates of d e p o s it......... 3,672 OO Certified c h e c k s ................................ 12,505 64 C ashier’s ch eck s ou tsta n d in g __ Due to national b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal $21,362 80 32 E IG H T H Atkinson. ANNUAL REPO RT OF T H E G allagher and Co. Bankers. C harter No. 483. Ed. F . G a lla g h er....................P resid en t T. F. B er m in g h a m ................V ice-P resid en t I F red H. S w in g le y .............. Cashier | M. M. S w in g le y ..................A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899. BESO U BC ES. L IA B IL IT IE S . L o a n s and d isc o u n ts...................... $33,207 74 O verdrafts, secured and u n se cured ................................................. 431 65 S to ck s, secu rities, judgm ents, claim s, e t c ............................. 1,620 61 B onds ......................................................................... O ther a s s e t s ............................................................ . B ankin g house, furniture and fix tu r e s ............................................. 1,500 00 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 776 48 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and oth er cash ite m s __ 163 37 D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 17,290 83 T o ta l cash on h a n d .......................... 7d31 08 $6,500 00 C apital sto ck paid i n ...................... Surplus f u n d ..................................... 3,500 00 U ndivided p r o fits............................ 2,428 82 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k ................................................ 39,149 30 Dem and certificates of d e p o sit.. 10,516 00 T im e certificates of d e p o s it.............................. Certified c h e c k s .....................................................' C ashier’s check s ou tsta n d in g ...... ................. Due to national b a n k s ....................................... . Due to sta te and p rivate banks and b a n k e r s ................................... 27 64 N o tes and b ills rediscounted . . . . ............. B ills p a y a b le .......................................................... T o t a l ............................................. Aurora. $62,121 76 T o t a l ............................................. $62,121 76 The A urora State Bank. C harter No. 17. D. E. T h o m p so n ..P r esid e n t V. O. E n g lish . .V ice -P re sid e n t A. G. P e te r so n ..C a sh ie r ST A T E M E N T , D E C E M B ER 2, 1899. BESO U BC ES. L oans and d is c o u n t s ...................... $ 85,309 88 O verdrafts, secured and u n se cured ................................................. 122 90 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s.............................................................. O ther a s s e t s ....................................... ¿52 29 Banking hou se, fu rn iture and fix tu r e s ............................................. 22,351 82 Other real e s t a t e ................................... 7,27367 Current ex p en ses and ta x e s paid 1,456 33 P rem ium on U. S. and other bonds and s e c u r itie s............................... ’........ C hecks and oth er cash ite m s . . 267 21 D ue from national, sta te and pri v a te banks and bankei-s ........... 44.149 20 T otal cash on h a n d .......................... 10,043 85 T otal $171,127 15 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital sto ck paid i n ...................... $75,000 00 Surplus fu n d ..................................... 1,725 00 U ndivided p r o fits............................ 10,889 18 D ividend s u n p a id ................................................... Individ ual d ep osits subject to c h e c k ................................................. 49,068 01 D em and certificates of d e p o sit.. 4,745 99 T im e certificates of d e p o s it........ 29,698 97 C ertified c h e c k s ................................ C ashier’s check s ou tsta n d in g ___ D ue to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T otal $171,127 15 SECRETA RY Avoca. OF T H E ST A T E B A N K IN G BO ARD , 33 The B ank of Avoca. Charter No. 494. W . M. R o w la n d ...................... P resid en t I Geo. R o w la n d .............. .........C ashier B . C. M arquardt......................V ice-P resid en t | Jno. O. R o w la n d .................. A ssista n t C ashier STA TEM EN T, D E C E M B ER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 33,691 30 Overdrafts, secured and u n se cured ......................... , ..................... 2,579 27 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... Other a s s e ts ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 1,931 69 O ther real e sta te ............................ 2,000 00 Current ex p en ses and ta x e s paid 999 07 P rem iu m on U S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash ite m s .. . 290 71 D ue from national, sta te and private banks and b a n k e r s __ 30,214 32 C a s h ...................................................... 1,653 15 C apital stock paid in ...................... 8 10,000 00 Surplus f u n d ..................................... 50 00 U ndivided p r o f it s ............................ 1,404 49 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ........... .................................. 28,064 93 Demand certificates of deposit .. 8,574 89 T im e certificates of d e p o s it......... 25,265 20 Certified c h e c k s ..... ................................................ C ashier’s check s ou tsta n d in g ............................ Due to n ational b a n k s.......................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red isco u ted ......... B ills p a y a b le ................................. .. T o ta l............................................... 8 73,359 51 T o ta l............................................... 8 73,359 51 Axtell. The B ank of A xtell. C harter N o. 21. J . M. S e w e ll__ P re sid e n t J. M. S tew a r t___ V ic e-P r e sid en t S. C. S t e w a r t... C ashier ST A T EM E N T, D E CEM BER 2, 1899. R E SO U R C E S. L oans and d is c o u n ts ...................... 8 45,865 87 Overdrafts, secured and u n se cured ......................................... . 999 86 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds .................................................. ................. O ther a s s e t s .............................................................. B ankin g house, furniture and f ix t u r e s ............................................. 5,000 00 O ther real e s t a t e .......................... ... 1,700 00 Current exp en ses and ta x e s paid 848 49 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash ite m s ............................. D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 6,925 58 T otal cash on h a n d .......................... 4,319 59 T o ta l............................................... 8 65,659 39 3 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital sto ck paid i n ...................... 8 15,000 00 Surplus f u n d ..................................... 1,325 00 U ndivided p r o f it s ............................ 1,983 55 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ........................................... 23,11439 Dem and certificates of dep osit .. 21,236 45 T im e certificates of d e p o s it............................... Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ D ue to national b a n k s ....................................... D ue to sta te and private banks " and b a n k e r s .......................................................... N o tes and b ills red iscoun ted.............................. B ills p a y a b le ..................................... 3,000 00 T o ta l..................................... ......... 8 65,659 39 E IG H T H 34 Bancroft. ANNUAL REPO RT OF TH E The Bancroft Bank. Charter No. 22. J . E . T urner___Owner ST A T E M E N T , D E CE M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts........................ $ 75,220 73 Overdrafts, secured and u n se cu red .................................................. 5,032 57 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ................................................................ O ther a s s e t s ................................. ................. B anking house, furniture and f ix t u r e s ............................................. 2,000 00 Other real e s t a te .............................. 8,000 00 Current ex p en ses and ta x e s paid 2,192 41 P rem iu m on U . S. and other bonds and s e c u r it ie s ................... C hecks and other cash ite m s ....... D ue from national, sta te and p ri v a te banks and b a n k e rs............. 3,295 31 T o ta l cash on h a n d ........... ........... 2,292 94 C apital stock paid i n ...................... 8 30,000 00 Surplus fu n d .......................... ........... U ndivided p r o fits............................ ' ”3,533' 02 D ividends unpaid ............................ Individual d ep osits subject to 35,067 68 c h e c k ....................................... ._.... D em and certificates of d e p o s it... T im e certificates of d e p o sit......... ' 24,433' 29 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g .... D ue to national b a n k s ..................... D ue to sta te and private banks and b a n k e r s................................... N o tes and b ills red iscoun ted — 5,000 00 B ills p a y a b le ..................................... T otal ............................................8 98,033 99 Bancroft. $ 98,033 99 T otal The Citizens Bank. Charter No. 23. W illia m W a r d ......................... P resid en t I E . T. R ic e ............................ C ashier J. E . B le n k ir o n ....................... V ic e-P r e sid en t | John L . B a rb er ................... A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U RCES. L oans and d isc o u n ts...................... 8 87,310 34 O verdrafts, secured and u n se 3,407 26 cured ................................................. S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. 188 00 O ther a s s e ts ....................................... B ankin g house, fu rn iture and 7,000 00 fixtures ............................................. Other real e s t a t e .............................. 550 00 Current exp en ses and ta x e s paid P rem iu m on U. S. and other bonds and s e c u r it ie s ................... C hecks and other cash item s — D ue from national, sta te and p ri 13,028 04 va te banks and b a n k ers............. 4,607 57 T o ta l cash on h a n d .......................... 8116,091 21 T o ta l......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... 8 30,000 00 Surplus f u n d ......................................... 2,20000 U ndivided p r o fit s ... ..................... 2,259 14 D ividends u n p a id ..................................... ........... Individ ual dep osits subject to 47,969 86 c h e c k ................................................ Dem and certificates of d e p o s it ........................ T im e certificates of d e p o s it......... 33,662 21 Certified c h e c k s ...................................................... C ashier’s checks o u tstan d in g............................ D ue to nation al b a n k s........................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ................................ .. T otal 8116,091 21 SEC R ET A R Y Barneston. OF T H E ST A T E B A N K IN G 35 BOARD, The Bank of Barneston. Charter No. 24. E. R. S p en cer.. .P resid en t E . G. S p en cer.. .V ice-P resid en t A . D . S p en cer.. .C ashier ST A T E M E N T , DECEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 5,094 67 O verdrafts, secured and u n se cu red .................................................. 21 67 S to ck s, secu rities, judgm ents, claim s, e tc ............................................................ B o n d s.......................................................................... Other a s s e ts ............................................................. B anking house, furniture and f ix t u r e s ............................................. 1,270 00 Other real e s t a te .................................................... Current exp en ses and ta x es paid 325 25 P rem iu m on U. S. and other bonds and secu rities ................. Checks and oth er cash ite m s ....... D ue from national, sta te and p ri v a te banks and b a n k e rs............. 11,865 46 T o ta l cash on h a n d .......................... 2.014 08 T o ta l....................................... .... $ 20,591 13 Bartley. Capital sto ck paid in ...................... $ 5,000 00 Surplus fu n d ....... ................................................ U ndivided p r o fits............................. 434 22 D ividends u n p aid .................................................... Individ ual dep osits subject to c h e c k ................................................ 12,516 51 Demand certificates of d e p o sit. .. 740 40 1,900 00 T im e certificates of d e p o sit......... Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ Due to national b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscoun ted....... B ills p a y a b le..................................... T o t a l ............................................. $ 20,591 13 The State Bank of Bartley. Charter No. 479. J . E . H a th o rn ...........................P resid en t I W . V . V ic k e r y ....................Cashier E . E . S m ith ............................... V ice-P resid en t | A. L . C ochran..................... A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 15,877 03 O verdrafts, secured and u n se cured .......................... ...................... 59 37 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 602 72 B o n d s.......................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fix tu r es............................................. 2,375 29 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 63 75 P rem ium on TT. S. and other bonds and s e c u r it i e s ....................................... C hecks and other cash ite m s __ 195 30 Due from national, sta te and pri va te banks and b a n k e r s ........... 487 77 T otal cash on h a n d .......................... 1,757 31 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 21,418 54 Capital sto ck paid i n ...................... Surplus fund .................................. U ndivided p ro fits.......................... D ividends u n p a id ............................ Individ ual dep osits subject to check ............................ Demand certificates of d e p o s it ... Tim e certificates of d e p o sit......... Certified c h e c k s ................................ C ashier’s checks ou tsta n d in g ___ Due to national b a n k s ................... Due to sta te and private banks and b a n k e r s ............. ............. N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T otal 5.000 00 2.000 00 396 66 12,426 38 115 00 1,480 50 & 21,418 54 36 E IG H T H Bassett. ANNUAL REPO RT OF T H E The State B ack of Bassett. C harter No. 26. J. D . Bray to n P resid en t E. L . B ra y to n V ice-P resid en t H. E. A r tu s C ashier ST A T E M E N T . D E CE M B ER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 24,610 36 O verdrafts, secured and . u n se c u r e d ..................., ........................... 1,754 47 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................... B o n d s........................................................................... Other a s s e t s .............................................................. B anking house, furniture and fix tu r e s ............................................. 1,489 21 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 566 97 P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash i t e m s __ D ue from national, sta te and p ri v a te banks and b a n k e rs............. 23,074 09 T o ta l cash on h a n d .......................... 3,743 76 C apital stock paid in ................ $ 5,000 00 Surplus f u n d .......................... 325 52 U ndivided p r o f it s ................. 3,169 23 D ividends u n p a id ............................ ........... Individual dep osits subject to c h e c k ......................................... . . . 43,720 46 Dem and certificates of d e p o s it.. 2,979 40 T im e certificates of d e p o s it ....... 44 25 Certified c h e c k s ................................................... C ashier’s ch eck s ou tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e rs................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o ta l.............................................. $ 55,238 86 T o t a l ............................................. $ 55,238 86 Battle Creek. The B attle Creek V alley Bank. C harter No. 27. Herm an H o g refe......................P resid en t I S. K . W a r rick ..................... C ashier F. H . L . W illis ................... V ice-P resid en t | H. B arnes .............................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $126,379 49 O verdrafts, secured and u n se cured ................................................ 1,792 07 S tock s, secu rities, judgm ents, claim s, e tc .............................................................. B o n d s........................................................................... Other a s s e t s ....................................... 140 00 B ankin g house, fu rn iture and fixtures ........................................... 6,804 66 O ther real e s t a t e ............................. 6,427 36 Current ex p en ses and ta x es paid 1,642 97 Prem iu m on U. S. and other bonds and s e c u r itie s ................... ............... Checks and other cash i t e m s __ 664 54 D ue from national, sta te and pri va te banks and b a n k ers................................... T o ta l cash on h a n d .......................... 19,210 45 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $163,061 54 Capital stock paid in ...................... $ 40,000 00 Surplus fu n d ..... ..................................... 10,00000 U ndivided p ro fits........................ 4,004 15 D ividends unpaid ................................................ Individ ual dep osits subject to c h e c k .................................................... 57,16227 D em and certificates of d e p o sit.. 3,840 69 45,054 43 T im e certificates of d e p o s it....... Certified c h e c k s ...................................................... C ashier's check s ou tsta n d in g ............................ D ue to na tion al b a n k s......................................... Due to sta te and private banks and b a n k ers................................... ■ 106,057 39 N o tes and b ills red iscou n ted ............................ B ills p a y a b le ..................................... 3,000 00 T otal *163,061 54 SECRETA RY Bayard. OF TH E ST A T E B A N K IN G BOARD. 37 The B ank of Bayard. C harter No. 28. A . O. T a y lo r.........................................P resid en t I J . E . T a y lo r ..............................................C ashier ST A T E M E N T . D ECEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... 8 5,717 25 Overdrafts, secured and u n se cu red .................................................. 2 85 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ........................................................................ Other a s s e t s ............................................................. B anking house, furniture and fix t u r e s ............................................. 1,654 69 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 100 50 Prem ium on U. S. and other bonds and se c u r itie s ........................................... Checks and other cash ite m s ....... 663 40 Due from national, sta te and pri v a te banks and b a n k ers............. 746 20 T o ta l cash on h a n d .......................... 345 25 Capital sto ck paid i n ...................... $ 5.000 00 Surplus f u n d ..................................... 100 00 Undivided p r o fits............................ 120 00 .Dividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k ................................................ 3,565 14 D em and certificates of d e p o s it......................... Tim e certificates of d e p o sit......... 445 00 Certified c h e c k s ............................... C ashier’s checks ou tsta n d in g __ D ue to n ational b a n k s ................... D ue to sta te and private banks and b a n k e r s .................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l ............................................ 8 9,230 14 T o ta l.............................................. ? 9,230 14 Bazile Mills. The Bank of Bazile Mills. Charter No. 29. G eo. A . B ro o k s..P re sid e n t S. N. S a u n d e r s..V ic e -P r e sid en t Ed. L. B ro o k s. . C ashier ST A T E M E N T , D E CEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d iscounts ...................... $ 15,098 68 O verdrafts, secured and u n se 431 49 cured ................................... ............. S tock s, secu rities, judgm ents, claim s, e t c ....................................... 240 52 B o n d s........................................................................... Other a sse ts .................... ....................................... B anking house, furniture and fixtures ................................................................. Other real e s t a t e .................................................... Current expenses and ta x es paid 829 02 P rem ium on U. S. and other bonds and sec u r ities......................................... Checks and other cash item s . .. ................. D ue from national, sta te and pri v a te banks and b a n k ers............. 1,583 57 T otal cash on h a n d .......................... 717 57 C apital sto ck paid i n ...................... I 5,000 00 Surplus fu n d ..................................... 1,000 00 U ndivided p r o f it s .......................... 981 90 D ividends u n p aid .............................. Individual dep osits subject to check ................................................. 7,211 95 D em and certificates of d e p o sit.. 330 00 T im e certificates of d e p o sit......... 4,377 00 Certified c h e ck s................................ C ashier’s checks ou tsta n d in g __ D ue to national b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s .................................. N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le..................................... T o ta l............................................... $ 18,900 85 T o ta l............................................... $ 18.900 85 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 38 E IG H T H Beatrice. ANNUAL REPORT OF THE The Union Savings Bank. Charter No. 31. M. V . N ich o ls. ..P r e sid e n t C. B . D em pster. ..V ic e -P r e sid e n t J. H. P e n n e r ... C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts.......................$ 28,784 99 Overdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c ....................................... 2,867 66 B onds ......... ............................................................ O ther assets, i ................................... 500 00 B ankin g house, fu rn iture and 1,217 50 fixtures ......................................... Other real esta te .............. 17,230 35 Current ex p en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash it e m s ....... 1,298 02 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 6,356 23 T o ta l cash on h a n d ........................ 314 67 C apital stock paid in ...................... $ 15,000 00 Surplus fu n d ............................................................ U ndivided p r o fits ............................ 1,700 24 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 28,188 19 D em and certificates of d e p o sit. .. 1,639 12 T im e certificates of d e p o s it......... 12,141 87 Certified c h e c k s...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le....................................... T o ta l............................................... $ 58,669 42 T o ta l ............................................. $ 58,669 42 Beaver City. The F irst State Bank. C harter No. 516. T . M. D a v is ........................................... P resid en t | C. E . V . S m it h ........................................Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L oans and d isc o u n ts...................... $ 78,490 33 Overdrafts, secured and u n se 2,166 29 cu r ed ................................................ S to ck s, secu rities, judgm ents, claim s, e t c ...................................... B o n d s................... .............................. "¿94 'TO Other a s s e t s ..................................... B anking house, fu rn iture and 6,000 00 fixtures ........................................... Other real esta te ............................ Current ex p en ses and ta x es paid 1,083 71 P rem iu m on IT. S. and other bonds and s e c u r itie s ......... .......... C hecks and oth er cash item s . . D ue from national, sta te and pri 14,861 01 va te banks and b a n k e rs........... 7,038 15 C a s h ........ ........... ............................ $110,534 19 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid in ...................... $ 20,000 00 Surplus fu n d ....................................... 200 00 U ndivided p r o fits............................ 2,963 41 D ividends u n p a id ................................................... Individ ual d ep osits subject to check ........................................... 65,157 23 D em and certificates of d e p o sit.. 11,154 40 T im e certificates of d e p o sit......... 11,018 77 Certified c h e c k s...................................................... C ashier’s checks ou tsta n d in g ........................ D ue to n ational banks'......................................... D ue to sta te and private banks and b a n k e r s ..... ............................. 40 38 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal $110,534 19 SEC R ET A R Y Beaver Crossing. OF THE STATE B A N K IN G BOARD. 39 The State Bank. C harter No. 33. L. E. S o u th w ic k .. P resid en t M. W. W a rn er. .Cashier Jennie E. D im ery. .A s s ’t C ashier ST A T EM E N T, DECEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 47,105 24 Overdrafts, secured and u n se cured ........................................................................ S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a s s e t s ..................................... B anking hou se furniture and 1.850 00 fixtu res ........................................... 9,354 55 Other real e s t a te .............................. 1,964 35 Current ex p en ses and ta x e s paid P rem ium on U . S. and other bonds and s e c u r itie s ................... C hecks and other cash item s — D ue from national, sta te and pri 14,524 74 va te banks and b a n k ers............. 1,294 83 T otal cash on h a n d .......................... T o ta l.............................................. $ 76,093 71 Beemer. Capital stock paid i n ...................... $ 25,000 00 400 00 Surplus f u n d .................... '............... U ndivided p r o f it s ............................ 4,326 16 D ividends u n p a id ................................................... Individual d ep osits subject to c h e c k .................................................... 19,15167 D em and certificates of d e p o sit.. 27,215 88 Tim e certificates of d e p o sit........ Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ D ue to n ational b a n k s ................... Due to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o t a l ............................................. 8 76,093 71 The Beemer State Bank. C harter No. 34. J. C. B r ig g s..P r e s id e n t C. G eo. B ow lus. .V ice -P re sid e n t I r a E . W illiam s — C ashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . R ESO U RCES. L oans and d is c o u n ts ...................... $ 69,222 30 Overdrafts, secured and u n se cured ................................................ 214 98 Stock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s......................................................................... Other a s s e t s ...................................... 89 98 B anking house, fu rn iture and fix t u r e s ............................................. 3,050 00 O ther real e s t a t e .............................. 400 00 Current ex p en ses and ta x es paid 2,665 37 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s __ 240 00 D ue from national, sta te and private banks and b a n k e r s __ 5,560 55 T o ta l cash on h a n d .......................... 5,626 08 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis * 87,069 26 C apital sto ck paid in ...................... 8 15,000 00 Surplus f u n d ............................. 1,650 00 U ndivided p r o f it s .................... 6,937 90 D ividends unpaid . .. ....................................— Individual dep osits subject to c h e c k ........................................ 19,911 59 D em and certificates of dep osit .. 3,84935 T im e certificates of deposit . . . . 39,72042 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ Due to n ational banks . . . . : .............................. D ue to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal S 87,069 26 40 E IG H T H Beemer. ANNUAL REPO RT OF T H E The Farm ers State Bank. Charter No. 544. G ottf K a r le n ...P r e s id e n t F e lix G iv e n s ...V ic e -P r e sid e n t W m . A . S m ith ...C a sh ier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 12,725 27 Overdrafts, secured and u n se cured................................................... 215 00 S tock s, secu rities, judgm ents, claim s, e t c ........................................................ B o n d s........................................................................... Other a s s e ts ............. .......................... 35 00 B ankin g house, furniture and fix t u r e s ............................................. 1,579 50 Other real e s t a t e .................................... ............. Current ex p en ses and ta x e s paid 244 65 P rem iu m on U. S. and oth er bonds and s e c u r it ie s ......................................... C hecks and other cash item s . . . 76 28 D ue from national, sta te and private hanks and h a n k e r s ___ 3,353 80 T o ta l cash on h a n d .......................... 2,816 32 C apital sto ck paid in ....................... $ 15.000 00 Surplus f u n d ........................................................... U ndivided p r o f it s ............................ 464 46 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 3,067 09 D em and certificates of deposit .. 65 00 T im e certificates of deposit ........ 1,549 27 Certified checks C a sh ie i’s checks o u ts ta n d in g .......................... Due to national b a n k s ......................................... D ue to sta te and p rivate banks and bankers ..................................................... N o te s and b ills red iscou n ted .............................. B ills p a y a b le ............................................................. T o ta l............................................... $ 21,045 82 T o ta l............................................... 8 21,045 82 Beiden. The Beiden Bank. Charter No. 498, T . F . C la rk .................................P r e sid e n t I C has. E C rew .................... C ashier C. S tim s o n ................................. V ic e-P r e sid en t | W . E . R ey n o ld s................. A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n t s ....................... $ 26,108 95 Overdrafts, secured and u n se cured ........................................... 685 08 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... Other a sse ts .......................................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 1,080 74 Other real e s t a te ................................................... Current ex p en ses and ta x e s paid 734 40 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... Checks and other cash ite m s __ 30 10 D ue from national, sta te and pri v a te banks and b a n k ers............. 3,585 91 T o ta l ca sh on h a n d ........................ 1,008 03 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 33,233 21 Capital stock paid in ...................... 8 10,000 00 Surplus f u n d ..................................... 200 00 U ndivided p r o f it s ....................... 1,062 76 D ividends u n p a id .................................................. Individual dep osits su b ject to c h e c k ................................................. 8,969 32 Dem and certificates of d e p o s it........................ T im e certificates of d e p o sit......... 10,438 53 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s......................................... D ue to sta te and private banks and bankers ...................................................... N o tes and b ills rediscounted 2,562 60 B ills p a y a b le ............................................................ T otal 8 33,233 21 SE C R ET A R Y Bellwood. OF TH E STATE B A N K IN G BOARD, 41 The P latte V alley State Bank. Charter No. 35. H . R. G ould. ..P r e sid e n t A . H. G o u ld . . . . C ashier R. C. G o u ld ... .A ssista n t Cashier ST A T EM E N T. D ECEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... i 41,304 33 O verdrafts, secured and u n se cured .......................................................... .............. S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds .......................................................................... Other a s s e t s ....................................... 353 75 B ankin g house, furniture and fixtures ............................................ 1,188 53 Other real e s t a t e ................................... ................ Current ex p en ses and ta x es paid ................. P rem iu m s on U. S. and other bonds and secu rities ................................. C hecks and other cash i t e m s ............................ D ue from national, sta te and pri va te banks and b a n k e rs............. 2,966 50 T o ta l cash on han d .......................... 4,369 63 T o ta l.............................................. $ 50,082 73 Capital stock paid in ...................... $ 15.000 00 Surplus f u n d ..................................... 600 00 U ndivided profits .......................... 955 83 D ividends unpaid ................................................ Individual dep osits subject to c h e c k ................................................ 11,609 02 D em and certificates of deposit .. 5,930 73 T im e certificates of d e p o s it ........ 8,300 93 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills rediscounted . . . . 6,486 22 B ills p a y a b le ..................................... 1,200 00 Belvidere. T o ta l.............................................. $ 50,082 73 The State B ank of Belvidere. Charter No. 36. Geo. W. W illia m s.. .P r esid e n t Otto S p er lin g .. .V ice-P res. F rank E. S m ith . ..C ash ier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... <6 31,881 90 Overdrafts, secured and u n se cured ................................................. 1,844 48 S to ck s, secu rities judgm ents, claim s, e t c ....................................... 42 00 B o n d s .......................................................................... O ther a s s e t s ............................................................. B annin g house, furniture and fixtures ....................................... 4,150 00 Other real e s t a t e .............................. 2.321 90 Current exp en ses and ta x es paid 727 25 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... Checks and other cash ite m s .............................. Due from national, sta te and pri va te banks and bankers ........... 7,365 91 T o ta l cash on h a n d .......................... 2.244 28 if 50,577 72 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital stock paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individual dep osits subject to check ................................................ D em and certificates of d e p o sit.. T im e certificates of d e p o s it ....... Certified checks ........................ C ashier’s checks ou tsta n d in g ___ Due to national banks ......... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills payable ...................................... T otal 12.500 00 12.500 00 2,274 05 9.271 02 8,862 65 5,170 00 $ 50,577 72 42 E IG H T H Benedict. ANNUAL REPO RT OF TH E The Bank of Benedict. C harter No. 37. Geo. W. P o s t P resid en t | W . A . Taylor Cashier ST A T E M E N T , DECEM BER 2, 1899. R ESO U RCES. L IA B IL IT IE S L oans and d isc o u n ts...................... $ 28,074 44 Overdrafts, secured and u n se cu red .................................................. 52 11 S tock s, secu rities, judgm ents, cla im s e t c ..................................... . ................. B o n d s .................................................... 40 14 Other a s s e t s .............................................................. B ankin g house, fu rn iture and fixtures ................................................................... Other real e s t a te ................... . . . . 65 00 Current exp en ses and ta x e s paid 669 00 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and pri v a te hanks and b a n k ers................................... T otal cash on h a n d .......................... 11,508 69 C apital stock paid i n ...................... $ 10,000 00 Surplus fu n d ....................................... | ................. U ndivided p r o fits..............................) 4,199 39 D ividends u n p aid .................................................... Individual d ep osits subject to 12,723 58 c h e c k .................................................. Dem and certificates of d e p o s it... | ................. T im e certificates of d e p o sit......... f 13,486 41 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and p rivate banks and b a n k e rs.......................................................... N o tes and bills red iscou n ted .............................. B ills p a y a b le ............................ ............................... T otal .. ........................................ $ 40,409 38 T o t a l............................................... $ 40,409 38 Benkelman. The Bank of Benkelman. Charter N o. 38. V . Franklin P resid en t | W . B . W olfe A cting C ashier ST A T E M E N T , D E CEM BER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 29,393 88 Overdrafts, secured and u n se cu red .................................................. 231 68 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 2,416 68 B onds ........................................................................... Other a s s e t s .............................................................. B anking house, furniture and f ix t u r e s ............................................. 2,500 00 Other real e s t a t e ............................... 6,504 70 Current exp en ses and ta x e s paid 254 01 P rem ium on U S. and other bonds and s e c u r itie s ................................... ,t... C hecks and oth er cash ite m s ....... 79 33 D ue from national, sta te and pri v a te banks and b a n k ers............. 12,54192 T otal cash on h a n d .......................... 2.318 90 T otal, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 56,241 10 C apital sto ck paid in ...................... $ 25,000 00 Surplus fu n d ........................................................... U ndivided p r o fits............................. 591 18 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k .................................................. 24,147 63 Dem and certificates of d e p o s it.......................... T im e certificates of d e p o sit......... 5,906 45 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g __ 595 84 D ue to national banks ..................................... D ue to sta te and p rivate banks and b a n k ers........................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T otal * 56,241 10 SEC RETA RY Bennett. OF T H E STA TE B A N K IN G BO ARD, 43 The Citizens Bank of Bennett. Charter No. 40. G. W . E g g le sto n ...P r e s id e n t E . A. V a n d e r lip ...V ic e -P r e s. Jno. P . B r a tt...C a s h ie r ST A T EM E N T. D E CEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 51,543 27 O verdrafts, secured and unse cured ....................................................................... S to ck s, secu rities, judgm ents, claim s, e t c ..................................... 70 00 B o n d s..............................................................i . . . . . . Other a sse ts ............................................................ B ankin g house, furniture and fix tu r e s............................................. 4.998 00 O ther real e s t a te .............................. 9,000 00 Current exp en ses and ta x es paid 1,005 83 Prem ium on U. S. and oth er bonds and secu rities ..................................... C hecks and other cash ite m s ___ 1,893 65 D ue from national, sta te and pri vate banks and b a n k e r s ........... 21,907 57 T ota l cash on h a n d .......................... 3.330 56 T o t a l .............................. ............. * 93,748 88 Capital sto ck paid in ...................... $ 25,000 00 Surplus f u n d ..................................... 200 00 U ndivided p r o fits............................ 2,060 53 D ividends unpaid .................................................. Individ ual deposits subject to c h e c k ..... 29,309 66 D em and certificates of d e p o s it.. 37,178 69 Tim e certificates of d e p o s it....... Certified c h e c k s ................................ C ashier’s checks ou tsta n d in g ___ Due to national banks ................... Due to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r ed isc o u n te d ___ B ills p a y a b le ..................................... T o t a l ............................................. $ 93,748 88 Bennington. The M angold and G landt Bank. C harter N o. 41. P e te r G la n d t................... ....... P resid en t I P e te r M angold......................Cashier G. D a tism a n ..............................V ice-P resid en t | H . B . W a ld ro n .................... A ssista n t C ashier ST A T EM E N T, D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d is c o u n t s ...................... $ 56,595 01 Overdrafts, secured and u n se cured ................................................ 133 35 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a s s e t s ....... ............................... Banking house, fu rn iture and fixtures ........................................... 2,082 77 Other real e s t a te .............................. 1,400 00 Current exp en ses and ta x e s paid 3,578 06 P rem ium on U . S. and other bonds and s e c u r itie s ................... C hecks and other cash item s . . D ue from national, sta te and pri 12,849 38 v a te banks and bankers ........... 4,983 22 T otal cash on h a n d .......................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 81,621 79 Capital stock paid in ...................... $ 10,000 00 1,5"0 00 Surplus fu n d ..................................... U ndivided p r o fits............................ 4,192 60 D ividends u n p a id ............................ 600 00 Individual d ep osits subject to c h e c k ................................................. 40,488 79 Dem and certificates of d e p o sit........................ T im e certificates of d e p o sit........ 21,520 85 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ___ 3,303 00 D ue to national b a n k s ................... 16 55 D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills red iscoun ted............................ B ills p a y a b le............................................................ Total S 81,621 79 44 E IG H T H Berlin. AN N U A L R E PO R T OF TH E The B ank of Berlin. Charter N o. 42. F red Shrader ..P r e sid e n t R oht. S a tte r ly ..V ic e -P r e s. S. H. B u c k .. A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 35,582 83 Overdrafts, secured and u n se cu red .................................................. 1,380 03 Stock s, secu rities, judgm ents. claim s, e t c .. .................................... 61 50 Bonds ..... ......... ......................................................... O ther a s s e ts ........... ........................... . . . . . . . . . . Banking house, fu rn iture and fixtures ............................. 2,250 00 Other real e s t a te ............................. 200 *0 Current ex p en ses and ta x e s paid. 8835 P rem ium on U. S. and other bonds and s e c u r itie s .................................... 55 12 Checks and other cash ite m s __ D ue from national, sta te and pri v a te banks and b a n k e rs............. 13,401 13 T otal cash on h a n d .......................... 2,427 25 T otal ............................................. 8 55,446 21 Bertrand. Capital stock paid i n ...................... $ 10,000 00 Surplus fu n d ....................................... 100 00 156 89 U ndivided p r o fits.............................. D ividends u n p a id .................................................... Individ ual d ep osits subject to 27,254 93 c h e ck .................................................. D em and certificates of d ep osit .. 5,415 94 T im e certificates of d e p o s i t __ 12,518 45 Certified c h e ck s.......................... ........................ C ashier’s check s o u tsta n d in g .......................... Due to n ational b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s ........................................................ N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ......................................................... T o ta l ............................................. $ 55,446 2 The F irst State Bank. Charter No. 43. W . A . S m y th ....... P resid en t R. T. M cG rew ........ V ic e-P r e s. W . T. D ob b in ........ C ashier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts.................... $ 39,336 41 Overdrafts, secured and u n se c u red .................................................. 231 68 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s................................................. ....................... Other a s s e t s .................................... 162 30 B anking house, furniture and f ix t u r e s ............................................. 2.500 00 Other real e s t a te ................................ 5,734 42 Current ex p en ses and ta x es paid 942 44 Prem iu m on U. S. and other bonds and s e c u r itie s .......................................... C hecks and other cash ite m s __ 149 47 D ue from national, sta te and p ri v a te banks and b a n k ers............. 3.453 25 T otal cash on h a n d .......................... 3,045 63 Capital stock paid i n ...................... 8 18,000 00 Surplus fu n d ....................................... 3,600 00 U ndivided p r o fits.............................. 2,585 46 D ividends u n p a id ............................ ................. Individ ual dep osits subject to check ................................................. 22,026 85 Dem and certificates of d e p o sit.. 6,821 89 T im e certificates of d e p o sit......... ................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers................................... 21 40 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le..................................... 2,500 00 T otal ............................................. $ 55,555 60 T o ta l............................................... 8 55,555 60 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SE C R ET A R Y Blair. OF T H E STA T E B A N K IN G BOARD, 45 The B anking House of A. Castetter. Charter No. 510. A. C a stette r __ P resid en t F . M. C a stetter. .. V ice-P resid en t F. H. C laridge___ C ashier ST A T EM E N T, D E CEM BER 2. 1899 RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $340,000 71 Overdrafts, secured and u n se cured ................................................ 3,079 55 S to ck s, secu rities, judgm ents, claim s, e tc ....................................... 27,965 00 B onds ........................................................................ Other a s s e t s ............................................................ Banking house, fu rn iture and fix tu r e s ................................................. 7,82150 Other real e s t a t e .............................. 29,311 21 Current ex p en ses and ta x es paid ................ P rem iu m on U. S. and other bonds and s e c u r it ie s ............. ........................ Checks and other cash i t e m s __ 474 24 D ue from national, sta te and pri v a te banks and bankers ............ 15.046 38 T otal cash on h a n d ........................ 16,288 06 T o t a l ............................................. $439,989 65 Capital stock paid in ...................... $100,000 00 Surplus fu n d ............................................................ U ndivided p r o fits ............................ 8,163 90 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 133,084 81 Demand certificates of d ep osit .. 15,474 92 T im e certificates of d e p o s it ....... 135,198 16 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ........................ D ue to n ational b a n k s .................. 1,532 86 Due to sta te and private banks and b a n k e rs.................................. 12,885 00 N o tes and b ills r e d isc o u n te d __ 33,650 00 B ills payable .......................................................... Blair. T o ta l............................................... $439,989 65 The B lair State Bank. C harter No. 47. F . W . K enny, S r ..P r e sid e n t A. P . H o w e s..V ic e -P r e sid e n t T . E . S te v e n s __ C ashier ST A T EM E N T, DECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $247,201 70 Overdrafts, secured and u n se cu red ........ ....................................... 5,564 26 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 22,891 84 4,500 00 B o n d s.................................................... O ther a s s e t s .............................................................. B anking house, furniture and fix t u r e s .................................................. 10,892,15 Other real e s t a t e .............................. 22,831 15 Current ex p en ses and ta x e s paid ................. Prem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s __ 1,843 68 D ue from national, sta te and private banks and b a n k e r s ___ 28,190 36 T ota l cash on hand ......................... 13.935 00 C apital stock paid in ...................... $ 75,000 00 Surplus f u n d ..................................... 1,500 00 U ndivided p r o f it s ............................ 5,527 46 D ividends un p aid .................................................... Individ ual dep osits subject to c h e c k ......... 136,580 42 Dem and certificates of d e p o sit.. 2,578 00 T im e certificates of d e p o s it ....... 107,696 13 Certified c h e ck s...................................................... C ashier’s checks o u tsta n d in g ..... .................... D ue to n ational b a n k s ................... 293 82 D ue to sta te and p rivate banks and b a n k e r s ................................... 3,674 31 N o tes and b ills rediscounted . .. 25,000 00 B ills p a y a b le............................................................. T o t a l ...................... ...................... $357,850 14 T o t a l ............................................. $357,850 14 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis \6 E IG H T H Bloomfield. ANNUAL REPO RT OF TH E The Farm ers & Merchants State Bank. Charter N o. 48. C. V a le n tin e ..............................P resid en t I S . Sau n d ers............................C ashier C. B .B u r r o w s .................... V ic e-P r e sid en t | E . H . M ason..........................A ssista n t Cashier ST A T EM E N T, D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts..................... $ 85,259 26 Overdrafts, secured and u n se cu red .................................................. 5,261 35 S tock s, secu rities, judgm ents, claim s, e t c ............................ ......................... B onds ................................................................. Other a s s e t s ................................................ B ankin g house, furniture and fix tu r e s ............................................. 2,433 41 Other real e s t a te ...................................................... Current ex p en ses and ta x es paid 2,322 98 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash i t e m s ............................ Due from national, sta te and p ri va te banks and b a n k e rs............. 15,021 97 T o ta l cash on h a n d .......................... 2,994 42 T otal $113,293 39 Bloomfield. C apital stock paid i n .................... $ 15,000 00 Surplus fu n d ............................................................ U ndivided p r o fits............................ 11,017 51 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 48,004 26 Dem and certificates of d e p o sit.. 16,367 46 T im e certificates of d e p o sit.......... 22,904 16 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ Due to n ational b a n k s ......................................... D ue to sta te and private ban k s and b a n k e r s .......................................................... N o tes and b ills red iscou n ted ..... ........................ B ills p a y a b le ............................................................ T o ta l.............................................. *113,293 39 The Citizens State Bank. Charter No. 538. M. D. C h illso n ... .P r esid e n t C harles F. C h illso n __ V ice-P res. W . D. D a y ___ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 15,332 83 Overdrafts, secured and u n se cured .................................................. 37 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s ....................................... 39 63 B ankin g house, furniture and fixtures ........................................... 676 05 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 690 66 P rem iu m on U . S. and other bonds and secu rities .. ................................ C hecks and other cash i t e m s ............................ D ue from national, sta te and private banks and b a n k e r s 2,971 17 T o ta l cash on h a n d .......................... 1,26155 Capital stock paid in ...................... * 10,000 00 Surplus fund ....................................................... U ndivided p r o f it s ............................ 760 06 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................. 9,212 20 Demand certificates of d e p o s it ......................... T im e certificates of d e p o sit.......... 1,000 00 C ertified c h e c k s ......... ........................................... C ashier's checks o u tsta n d in g ............................ D ue to n ational b a n k s ........................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... T o ta l............................................... $ 20,972 26 T o ta l............................................... $ 20,972 26 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY OF TH E ST A T E B A N K IN G BO ARD , 47 Bloomington. The F ranklin County Bank. C harter No. 50. J. P . A. B la c k .. .P r esid e n t C. W. Black.. .V ice-P resid en t Chas. K. H a r t....C a s h ie r ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 68 915 96 Overdrafts, secured and u n se cured ........................................................................ Stock s, secu rities, judgm ents, claim s, e t c . . . . ........................ ..................... B onds ....................................... 2,000 00 Other a s s e t s . . . ................................. 142 32 B ankin g house, furniture and fix t u r e s ............................................. 3,333 00 O ther real e s t a t e .................................................. Current exp en ses and ta x es paid 538 08 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s ............................ D ue from national, sta te and p ri v a te hanks and h a n k e rs........... 4,296 82 T o ta l cash on h a n d .......................... 3,804 92 Capital sto ck paid in ...................... $ 10,000 00 Surplus fu n d ....................................... 2,000 00 U ndivided p r o fits............................ 3,127 52 D ividends u n p aid .................................................... Individual d ep osits su b ject to c h e c k ................................................ 31,979 89 Dem and certificates of d e p o sit.. '26,296 90 T im e certificates of d e p o s it....... 6,171 98 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and p rivate hanks and b a n k ers................................... 3,054 81 N oteg and b ills red iscou n ted .......................... B ills p a y a b le .......................................................... . T o ta l.............................................. $ 82,631 10 T o ta l............................................... 8 82,631 10 Bloomington. The Bloomington State B ank C harter N o. 51. J . B . M cG rew ............................P resid en t I E . P . M cG re w ... ................ C ashier H. L . M cG rew ..........................V ice-P resid en t | R. V . M cG rew ..................... A ssista n t C ashier ST A T EM E N T, D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 50,076 55 Overdrafts, secured and u n se cu red .................................................. 800 53 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 2,041 61 B o n d s.......................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fixtures ........................................... 3,333 00 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 56 31 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s ... 17 40 D ue from national, sta te and pri v a te banks and b a n k e r s ........... 8.923 77 T otal cash on h a n d .......................... 2.641 49 Capital sto ck paid i n ...................... 8 10,000 00 Surplus f u n d ..................................... 600 00 U ndivided p r o f it s ............................ 393 21 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to c h e c k ..... 25,414 06 Dem and certificates of d e p o sit.. 5,779 15 T im e certificates of d e p o s it.......... 15,147 66 Certified check s .................................................. C ashier’s checks o u tsta n d in g ---1,503 11 Due to national b a n k s ........................................... D ue to sta te and p rivate banks and bankers .............................. 9,053 47 N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l............................................... * 67,890 66 T o t a l ............................................. 8 67,890 66 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 48 E IG H T H Blue Springs. ANNUAL REPO RT OF TH E The Farm ers and M endiants Bank. C harter No. 469. Chas. A . V an P e lt, Owner H ubert V an P e lt, Cashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts .......... .......... $ 11,047 96 Overdrafts, secured and u n se cured ................................................. 1,193 69 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s.......................................................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 1,100 00 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... Checks and other cash ite m s ........ 308 97 D ue from national, sta te and pri v a te banks and b a n k ers............. 835 72 T otal cash on h a n d .......................... 2,764 96 C apital stock paid i n ...................... $ 5,000 06 Surplus fu n d ........................... 58 95 498 21 U ndivided p r o fits........... .................. D ividends u n p aid .................................................... Individ ual d ep osits su b ject to 9 ,7 8 3 89 c h e c k .................................................. Demand certificates of d e p o s it... ' 555 00 T im e certificates of d e p o sit......... 355 25 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ Due to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers.......................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ..................................... i,oOO 00 T o ta l ............................................. $ 17,251 30 Boelus. T o ta l............................................... $ 17,251 30 The H ow ard Bank. C harter N o. 54. M. F . P a u l......... P resid en t A ugust A rriens, V ice-P resid en t S . A. R o b in so n .. .Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 25,383 58 O verdrafts, secured and u n se cured ................................................. 398 38 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 1,235 06 B o n d s............................................................... ........... Other a s s e t s ...................................... 66 70 B ankin g house, furniture and fixtures ........................................... 962 10 Other real e s t a t e .............................. 3 6 4 04 Current exp en ses and ta x es paid 2,621 29 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... Checks and oth er cash ite m s __ 137 50 D ue from national, sta te and private banks and b a n k e rs__ 2,379 37 T o ta l cash on h a n d .......................... 3,562 25 T otal. 9 37,110 27 Capital stock paid in ...................... $ 10,000 00 Surplus f u n d ..................................... 650 00 U ndivided p r o fit s ............................ 3,559 52 D ividends unpaid ................................................. Individual d ep osits su b ject to 15.426 36 c h e c k ................................................ Demand certificates of d ep osits. 1,826 7 0 T im e certificates of d e p o s it......... 5,232 00 Certified c h e c k s ..................................................... C ashier’s ch eck s ou tsta n d in g ............................ Due to national b a n k s .................................. D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ...................................... 415 69 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 9 37,110 27 SECRETA RY Bradshaw. OF TH E STA TE B A N K IN G BOARD, 49 The State Bank of Bradshaw. Charter No. 482. •Geo. W. P o s t . . P resid en t E. J. W ig h tm a n ..V ic e -P r e sid e n t J. F. H ou sem an ..C ash ier ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . Goans and d isc o u n ts...................... $ 50,512 77 ■Overdrafts, secured and u n se cured ................................................ 141 41 S to ck s, secu rities, judgm ents, claim s, e t c ........................ ..................................... B onds ..... .............. i .................... .............. ' ....... O th er a s s e t s ....................................... 228 00 B anking house, fu rn iture and fixtures ......................................... 1,300 00 O ther real esta te .......................... 1,578 00 C urrent exp en ses and ta x e s paid 933 59 Prem ium on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s .............................. D ue from national, sta te and pri 1,813 99 vate banks and b a n k e rs............. T o ta l cash on h a n d ........................ 2.875 44 T o ta l.............................................. Brainard. $ 59,413 20 C apital stock paid i n ...................... Surplus fu n d ..................................... U ndivided p r o fits ,.......................... D ividends u n p a id ............................ Individual d ep osits su b ject to check ................................................ Demand certificates of d e p o s it... T im e certificates of d e p o s it......... Certified c h e c k s................................ C ashier’s check s o u tsta n d in g __ Due to national b a n k s ................... D ue to sta te and private banks and b a n k e rs................................... N otes and b ills red iscou n ted ....... B ills p a y a b le ..................................... if 5.000 00 300 00 2,452 56 14,533 12 21,922 64 15,231 88 T otal ............................................. I 59,413 20 Thè B ank of Brainard. Charter No. 56. ■J. T. M cK n ig h t. . P resid en t H enry S c h u lz __ V ice-P resid en t A. K . S m ith ___C ashier ST A T E M E N T . D E C E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 71,361 09 •Overdrafts, secured and u n se cu red ........................................... .. 1,437 09 S to c k s, secu rities, judgm ents, claim s, e t c ........... .................................................. B o n d s............ ............................................................ O ther a s s e t s ............................................................. B ankin g house, fu rn iture and fixtures ........................................... 130 00 O ther real esta te ... ........................................... O urrent ex p en ses and ta x es paid ................. P rem iu m on IT. S. and otiher bonds and s e c u r itie s .................... ................ •Checks and oth er cash item s . . 50 78 D ue from national, sta te and p ri va te banks and b a n k e rs........... II ,065 99 T o ta l cash on h a n d .......................... 5,108 31 C apital stock paid i n ...................... $10,000 00 Surplus fu n d ..................................... 10,000 00 U ndivided p r o fits........................... 8,727 95 D ividends u n p a id ................................................... Individ ual d ep osits subject to 36,276 25 check ............................'.............. D em and certificates of d e p o sit.. 14,911 09 T im e certificates of d e p o s it......... 9,240 97 C ertified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due. to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o tal.......................................... 8 89,156 26 T o t a l ............................................. $ 89,156 26 4 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis \ E IG H T H 5o Brewster. ANNUAL REPO RT OF T H E The International State Bank. C harter N o. 58. N. E r ic k so n ......... P resid en t M. L. E rick so n . .V ice -P re sid e n t P . C. E rick so n ..C a sh ie r ST A T EM E N T. D E C E M B ER 2. 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 9,304 81 O verdrafts, secured and u n se cured ........... 373 72 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... 474 60 Other a s s e t s ........... ........................ B ankin g hou se, fu rn itu re and fixtures . . . ».................................... 950 00 Other real e s t a t e .............................. 1,450 00 Current ex p en ses and ta x es paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s __ 979 00 D ue from national, sta te and pri v a te banks and b a n k e rs................................... T o ta l cash on h a n d .......................... 2,133 00 T o t a l ............................................. $ 15,665 13 Brock. Capital stock paid i n ...................... $ 5,000 00 Surplus fu n d ...................................... 200 00 U ndivided p r o fits............................ 198 07 D ividend s unpaid ................................................ Individ ual d ep osits su b ject to c h e c k ................................................ 8,043 39 Dem and certificates of d e p o s it.. 829 75 T im e certificates of d e p o s it........ 1,226 00 Certified c h e c k s .................................................... . C ashier's checks ou tsta n d in g ............................ D ue to n a tion al b a n k s ................... , 167 92 D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted __ B ills p a y a b le ..................................... T o t a l ............................................. $ 15,665 13; The B ank of Brock. C harter N o. 59. E m ile B e r le t......... P resid en t John Y o n t___ V ice-P resid en t E. C. Y o n t..............Cashier- ST A T E M E N T . D E C E M B ER 2. 1899. R E SO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 44,359 18 O verdrafts, secured and u n se cured .......................... ................... 118 77 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. O ther a sse ts .................................... B anking house, fu rn iture and fix t u r e s ............................................. 3,359 90 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 727 30 P rem iu m on U. S. and oth er bonds and s e c u r it i e s ................... C hecks and oth er cash item s D ue from national, sta te and p ri v a te banks and b a n k ers............. 8,568 95 T o ta l cash on h a n d .......................... 6,110 80 C apital stock paid i n ...................... $15,000 00 Surplus f u n d ..................................... 1,350 00' U ndivided p r o fits ............................ 1,638 85 D ividends u n p a id ................................................. Individ ual d ep osits subject to c h e c k ................................................ 39,836 05 Dem and certificates of dep osit .. 2,220 00 T im e certificates of d e p o s it......... 3,200 00 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to na tion al b a n k s ........................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T o ta l............................................... $ 63,244 90 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l....................................... . / $ 63,244 90. . SECRETARY Broken Bow. OF THE ST A T E B A N K IN G SI BOARD 1 he B ank of Commerce. C harter No. 60. F. M. R u b le e ... .P r esid e n t S. B. T h o m p so n .. V ice-P resid en t C. J. S t e v e n s ... C ashier ST A T E M E N T . D E CE M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 12,171 95 O verdrafts, secured and u n se cu r ed .................................................. 253 30 S to ck s, secu rities, judgm ents, • claim s, e t c ....................................... 786 53 Bonds ......................................................................... 321 65 Other a s s e t s ....................................... B ankin g house, furniture and fix t u r e s ............................................. 1.500 00 Other real e s t a t e ............................ 5.325 00 Current exp en ses and ta x e s paid f,308 08 P rem iu m on U. S. and other bonds and se c u r itie s ........................................... C hecks and other cash it e m s __ _ 125 17 D ue from national, sta te and p ri 3,812 10 v a te banks and b a n k ers............. T ota l cash on h a n d ...................... 1,880 13 T o ta l............................................... $ .33,513 91 Capital stock paid in ...................... $ 15,000 OO Surplus f u n d ............................................................ U ndivided p r o fits............................ 4,943 91 Broken Bow. . D i v i d e n d s u n p a i d .................................................................. Individ ual d ep osits subject to c h e c k ................................................. 8,547 17 D em and certificates of d e p o s it... 319 22 T im e certificates of d e p o s it......... 2,190 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s .......................... .•............. Due to sta te and private banks 513 61 and bankers . . . ............................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 2,000 00 T o ta l.............................................. $ 33,513 91 The Farm ers B ank of Custer County. Charter No. 61. P resid en t V ice-P resid en t F. C. W o r n a li.. A. J. R obertson J. A. H a r r is........ W. D. B la ck w ell . C ashier A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d iscounts ...................... $ 58,843 38 O verdrafts, secured and u n se 2,422 37 cured ................................................ S tock s, secu rities, judgm ents, 1.192 65 claim s, e t c ....................................... B onds ....................................1............. Other a s s e t s ....................................... " "¿85 00 B ankin g house, fu rn iture and 3,000 00 fixtu res ........................................... 673 05 O ther real e s t a t e .............................. Current ex p en ses and ta x e s paid P rem iu m on U . S. and other bonds and s e c u r itie s ................... C hecks and oth er cash ite m s ... D ue from national, sta te ana p r i 11,508 34 va te banks and b a n k e rs............. 6,296 95 T ota l cash on h a n d .......................... $ 84,221 74 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital sto ck paid i n .................*... $ 15,000 00 Surplus fu n d ..................................... 5,000 00 913 32 U ndivided p r o f it s .......................... D ividends u n p a id .............................. Individ ual dep osits su b ject to check ................................................. 39,024 30 23,002 43 Dem and certificates of d e p o s it.. T im e certificates of d e p o s it......... Certified c h e c k s................................ C ashier’s checks o u tsta n d in g __ D ue to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s .................................... 1,281 69 N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ...................................... T otal * 84,221 74 E IG H T H 5 Broken Bow. ANNUAL REPO RT OF T H F The Broken Bow State Bank. C harter No. 540. S. H. B u rn h a m ........................P resid en t J. M. K im b e rlin g .................... V ice-P resid en t | H. G. R o g e rs....................... Cashier I is. H. H o y t............................. A ssista n t C ashier ST A T EM E N T, D EC E M B ER 2, U99. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts................. if 53.101 84 O verdrafts, secured and u n se c u r e d . . . ........................................... 820 38 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 357 25 B onds ........................................................................ Other a s s e t s ................................... ................. B ankin g house, fu rn iture and fix t u r e s ............................................. 5,000 00 O ther real e s t a t e ...................................................... Current ex p en ses and ta x es paid 679 26 P rem ium on U. !S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash ite m s __ 613 24 D ue from national, .state and p ri va te banks and b a n k e rs........... . 13,636 31 T o ta l cash on h a n d .......................... 10.097 74 T o ta l........... ................................. ? 84,336 02 Bromfield. C apital stock paid i n .................... 8 20,000 00 Surplus fu n d .................................................... U ndivided p r o fits ............................ 905 00 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 53,591 33 Dem and certificates of deposit . 3,423 00 T im e certificates of d e p o s it......... 4,830 06 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and private ban k s and b a n k e r s ........................................ 1,58564 N o tes and b ills r ed isc o u n te d ... . ................. B ills p a y a b le ...................................... ................. T o ta l.............................................. 8 84,336 02 The B ank of Bromfield. Charter No. 62. Wm. G lo v e r ............................... P resid en t I Chas. O. G lo v e r ....................C ashier E liza b eth A. G lo v e r ...............V ice-P resid en t I B elv a M. G lo v e r .................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . Loans and d is c o u n ts ...................... 8 48,976 17 O verdrafts, secured and u n se cu red .................................................. 2,618 27 S tock s, securities, judgm ents, cla im s, e t c ....................................... 149 00 B o n d s........................................................................... Other a s s e t s ................................... 765 00 B ankin g house, fu rn iture and fixtui-es ........................................... 2.236 43 O ther real e s t a t e ................., ........... 9,500 00 Current ex p en ses and ta x e s paid 3,225 32 P rem iu m on U. S . and other bonds and s e c u r itie s .......................................... C hecks and oth er cash item s . . . . 240 35 Due from national, sta te and p riv a te banks and b a n k e r s __ 1,888 24 T o ta l cash on h a n d .......................... 2,281 25 Capital stock paid in ...................... 8 20,000 00 Surplus fund ................................ 5,748 37 U ndivided profi ts ............................ 5,758 99 D ividends unpaid ................................................. Individ ual d ep osits subject to c h e c k .................................................... 13,27574 D em and certificates of deposit .. 10,233 78 T im e certificates of d e p o sit.......... 16,790,00 C ertified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to n ational b a n k s .................... 73 15 Due to sta te and private banks and bankers ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 71,880 03 T otal 8 71.880 03 SECRETA RY Bruning. OF T H E STA TE B A N K IN G 53 BOARD, The German Bank. C harter No. 63. Frank B r u n in g ........................ P resid en t I J. A. B o th w e ll.................. C ashier Sam u el F itz sim o n s ................ V ice-P resid en t | S tella M, B o th w e ll......... ..A s s is ta n t C ashier ST A T EM E N T, DECEM BER 2. 1899. L IA B IL IT IE S . RESO U RCES. $ 33,541 10 E oans and d is c o u n ts ................. O verdrafts, secured and u n se cu red .................................................. 92 89 S to ck s, secu rities, judgm ents, claim s, etc ..................................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, furniture and fix t u r e s .......................................... 800 00 O ther real e s t a t e .............................. 4,000 00 Current ex p en ses and ta x es paid 641 50 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash item s 379 41 D ue from national, sta te and 853 37 private banks and b a n k e r s __ T ota l cash on h a n d .......................... 2.061 71 T o ta l.............................................. $ 42,369 S8 Bruno. C apital sto ck paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individual dep osits su b ject to check ................................................ Demand certificates of deposit .. T im e certificates of deposit ....... Certified check s ........................ C ashier’s checks outstan ding ... Due to national b a n k s ................... Due to sta te and private banks and bankers .................................. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l.............................................. $ 10,000 00 2,500 00 1,531 15 9,568 01 8,426 24 9,344 58 1.000 00 $ 42,369 98 The Bruno State Bank. Charter No. 64. M. W. M ahony, P resid en t ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. E oans and d is c o u n t s ...................... $ 59,676 62 O verdrafts, secured and u n se cu red .................................................. 1,742 25 S to ck s, secu rities, judgm ents. claim s, e t c ............................................................. B onds ......................................................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and lix t u r e s ............................................. I,9s9 12 O ther real e s t a te .................................................. Current ex p en ses and ta x e s paid 84 61 P rem iu m on U. S. and oth er bonds and s e c u r itie s ........................................... C hecks and other cash ite m s .............................. D ue from national, sta te and pri v a te banks and b a n k e rs....... . 10,270 50 T ota l cash on h a n d .......................... 6.638 58 $ 80.401 68 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital stock paid in ...................... $ 6,000 00 Surplus f u n d ..................................... 300 00 U ndivided p r o f it s ............................ 37 00 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................... ............., ............ 4,660 95 D em and certificates ofd e p o sit.. 12,361 26 T im e certificates of d e p o s it......... 57,042 47 Certified c h e c k s ................................ C ashier's check s o u tsta n d in g __ D ue to n ational b a n k s ................... Due to sta te and private banks and bankers ................................. N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T otal $ 80,401 68 54 E IG H T H Burchard. ANNUAL REPORT OF THE The B ank of Burchard. Charter No. 65. D avid R e m ic k ............................ P r esid en t 1 W. J. H ald erm an ................ C ashier J. H. E ckm an ............................V ice-P resid en t | E. H. L lo y d ............................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 88,974 38 O verdrafts, secured and u n se cu red ......................................... 356 17 Stock s, secu rities, judgm ents, c l a i m s ,e t c ................. >00 00 B onds ..................................... ................................... Other a s s e t s ............................................................. B ankin g house, furniture and f ix t u r e s ................................... 1,200 00 Other real e s t a t e ................... 1.500 On Current ex p en ses and ta x es paid 731 59 P rem iu m on U . S. and oth er bonds and s e c u r it i e s ............................ ........... C hecks and other cash item s ..... 1.398 87 D ue from national, sta te and p ri v a te banks and b a n k e rs.......... 16,f>86 23 T o ta l cash on h a n d ........... . ............ 4,678 62 C apital stock paid i n ...................... $ 50,000 00 Surplus fund .................................... 750 00 U ndivided p r o fits............................ 5,415 47 T o ta l.................................. Burr. $1(5,625 86 D i v i d e n d s u n p a i d ................................................................... Individ ual d ep osits subject to c h e c k ................... , ........................ 36,043 45 D em and certificates of d e p o s it.. 22,863 00 T im e certificates of d e p o s it.............................. Certified ch eck s .................................................... C ashier’s check s o u tsta n d in g ............................ Due to n ational banks ................. 553 94 D u e to s ta t e a n d p r iv a te b a n k s a n d b a n k e r s ............................................. N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o ta l.............................................. $115,625 86 The G er niaii -Amer ica 11 Bank. Charter No. 66. H enry K la u s ............................ P resid en t I W. B. W ard............................ C ashier W. C. W o lf..................................V ice-P resid en t | D. K. W a rd ............................ A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 18,520 61 O verdrafts, secured and u n seJ c u red ........................ .......................... 1 54 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... O ther a s s e t s ....................................... 66 00 B ankin g house, fu rn iture and fixtures ........................................... 2.260 16 Other real e s t a t e .................... ............................... ( lurrent ex p en ses and ta x es paid 22 80 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er ca sh ite m s ... 755 63 D ue from national, sta te and p ri va te ban ks and b a n k e r s ............. 16,8'6 00 T o ta l cash on h a n d .......................... 2 ,0 8 04 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 40,560 78 C apital sto ck paid i n ...................... $ 10.000 00 Surplus f u n d ..................................... 2,000 0 0 U ndivided p r o f it s .................................................. D ividends u n p a id ............................ 261 30 Individ ual d ep osits subject to c h e c k ..... ............. .................... 21.028 58 Dem and certificates of d e p o sit.. 6.824 90 T im e certificates of d e p o s it......... 443 00 Certified check s ................................................. C ashier’s check s o u tsta n d in g ............................ ..................... h u c to u u unational tm u n c ti b u uai ix v ns.. » .. Due ntk .................................... D ue to sta te and p rivate banks and bankers ................................. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal $ 40,560 78 SECRETARY Burwell. OF THE ST A T E B A N K IN G BOARD 55 The F irst Bank of Burwell. Charter No. 523. T . II. D o ra n . . P resid en t A. U . D a n n ..C a sh ier Guy D ann and S. S. D an n .. A ss’t C ashiers ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. G oans and d isc o u n ts...................... $21,315 19 •Overdrafts, secured and u n se c u red .................................................. 422 92 S to ck s, secu rities, judgm ents, 3,178 32 claim s, e t c ....................................... Bonds ......................................................................... O ther a s s e t s ....................................... 622 09 B ankin g house, fu rn iture and fixtu res ........................................... 2,000 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,121 49 P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... •Checks and oth er cash ite m s __ 918 27 D ue from national, sta te and pri v a te banks and b a n k ers............. 7,195 25 'T otal cash on h a n d .......................... 6,670 71 T o ta l............................................... $ 43,444 24 C apital sto ck paid i n ...................... $ 6,000 00 su r p lu s f u n d .......................................................... U ndivided p r o f it s ................................ 2,51297 D ividends u n p a id ..... .................................. Individ ual d ep osits subject to c h e c k ................................................ 29.658 04 Dem and certificates of d e p o sit.. 5,273 23 T im e certificates of d e p o s it.............................. Certified check s .................................................. C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s ......................................... Due to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r ed isco u n ted __ B ills p a y a b le ..................................... T o t a l ............................................. $ 43,444 24 T1 îe Citizens1 State Bank. Butte. Charter No. 69. W ill D. F o r b e s ........................P resid en t I D. W. F orbes ....................C ashier -J a m e sF o r b e s............................V ice-P resid en t | S. A. R ichardson................ A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. .Loans and d is c o u n ts ...................... $ l l\679 19 O verdrafts, secured and u n se cured ....... 804 37 S to ck s, secu rities, judgm em s, 2.915 02 claim s, e t c ....................................... B o n d s ........................................................................... O ther a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 2,000 00 O ther real e s t a t e .............................. 352 85 Current exp en ses and ta x e s ..... 4,075 95 P rem iu m on U- S and other bonds and s e c u r it i e s ......................................... •Checks and oth er cash it e m s ............................ D ue from national, sta te and p riv a te banks and b a n k e r s __ 2.612 92 T o ta l cash on h a n d .......................... 1.554 38 $ 33.994 68 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital sto ck paid in ...................... $ 10,000 00 Surplus fund ................................... 1,20000 U ndivided profits ............................ 4,935 08 D ividend s u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................. 16.189 40 Dem and certificates of deposit .. T im e certificates of deposit . .. . 1,670 20 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills rediscounted — B ills p a y a b le ..................................... T otal $ 33.994 68 56 E IG H T H Callaway. ANNUAL R EPO RT OF TH E The Seven Valleys Bank. Charter No. 71. A. L. M athew s — P resid en t R. W . W e lc h ..V ic e-P r esid e n t Thos. N orb u ry Cashier- ST A T EM E N T, D E CE M B ER 2, 1899. R E SO U R C E S. T. I A B I L I T I E S . L oans and d isc o u n ts...................... $ 17,228 83 O verdrafts, secured and u n se 339 84 cured ...................... S tock s, sec u r ities, judgm ents. claim s, e t c ....................................... 600 45 B o n d s........................................................................... i 'ther a s s e ts .............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 2.000 00 3.704 85 O ther real esta te ............................ Current ex p en ses and ta x e s paid 2.202 33 P rem ium on U S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash ite m s . 131 00 D ue from national, sta te and private banks and b a n k e r s __ 3.303 25 T o ta l cash on h a n d .......................... 4.411 65 C apital sto ck paid in ...................... $ 11.200 00Surplus f u n d ..................................... 1,600 00 U ndivided p r o f it s ............................ 3,785 61 D ividends u n p a id .................................................. Individ ual d ep osits subject to 17,286 59 c h e c k ................................................ D em and certificates of deposit .. 50 00 T im e certificates of d e p o s it............................... Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................. Due to n ational b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ........................ .. T o ta l............................................... ? 33,922 20 T o ta l............................................... $ 33,922 20* Cambridge. The Citizens State Bank. C harter No. 72. Frank B a g w ill..........................P resid en t 1 S. O. S im o n d s.................... Cashier G. W. T u r n e r ............................V ic e-P r e sid en t | C. W. B a g w ill....................... A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2. 1899. R ESO U RCES. L oans and d is c o u n ts ...................... $ 40,118 51 o v erd ra fts, secured and u n se cured ................................................. 793 43 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a sse ts ................................ 2.997 05 B ankin g house, furniture and fix t u r e s ............................................. 1,240 90 O ther real e s t a t e .............................. 4.848 01 Current ex p en ses and ta x es paid 8,941 25 P rem iu m on U. S. and other bonds and s e c u r it ie s ....................................... C hecks and other cash ite m s ....... 716 29 D ue from national, sta te and pri v a te banks and b a n k e r s ........... 3,111 75 T otal cash on hand ........................ 4,220 57 T o ta l............................................... $ 66.987 76 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C a p ita l.................................................. $ 12,500 00 Surplus f u n d ........... .............................. 3,00000 U ndivided p r o f it s ................................ 9,09206 D ividends unpaid..................................................... Individ ual d ep osits subject to c h e c k ................................................. 29,939 03 Dem and certificates of dep osit .. 1,300 00 T im e certificates of d e p o sit......... 7,912 32 Certified c h e c k s ................................ C ashier's check s o u tsta n d in g __ D ue to national b a n k s ................... D ue to sta te and private banks and h a n k e r s ........................ .............. ................ N o tes and b ills red iscoun ted........ 3,244 35 B ills p a y a b le ............................................................ T o ta l............................................... $ 66,987 7 6 SECRETARY Cambridge. OF THE STA T E B A N K IN G BOARD, 57 The State Bank of Cambridge. C harter No. 73. \ E. E. B ro w n ................................P resid en t I C. M. B ro w n ........................... Cashier E. B ro w n .....................................V ice-P resid en t | Jam es K e l l y ..........................A ssista n t C ashier ST A T E M E N T , D E CEM BER 2, 1899. B ESO U B C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... i l l 1.046 53 O verdrafts, secured and u n se c u red .................................................. 386 16 S to ck s, secu rities, judgm ents, claim s, e t c ..................................... ....................... B o n d s........................................................................... Other a s s e ts .......................................................... B ankin g house, furniture and f ix t u r e s ........................................... 4,000 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,254 41 P rem iu m s on D. S. and other bonds and secu rities ................................. C hecks and other cash item s 1.574 83 D ue from national, sta te and p ri va te banks and bankers ......... 33,419 84 T otal cash on h a n d .......................... 9,788 10 T o ta l.............................................. $161,469 87 C apital stock paid i n ...................... $ 17,500 00 Surplus f u n d ..................................... . 3,500 00 U ndivided p r o f it s ............................ 8,112 04 D ividends unpaid ................................................ Individual dep osits subject to c h e c k ..................................'.............. 87,087 10Demand certificates of deposit .. 21.276 89 23,939 34 T im e certificates of d e p o s it ....... Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s ................... 54 50Due to sta te and private banks and b a n k e r s .................................. ................. N o tes and b ills r e d isc o u n te d ...... ................. B ills p a y a b le ............................................................ Campbell. T otal ........................................... $161,469 87 The Bank of Campbell. Charter No. 74. C. L. Catudal P resid en t M. C a tu d a l.............V ic e-P r e s M. C atu d al............C ashiei- ST A T EM E N T. D E CE M B ER 2, 1899. L IA B IL IT IE S . BESO UBCES L oans and d isc o u n ts...................... $ 20.523 37 Overdrafts, secured and u n se cured ....................................................................... S to ck s, secu rities judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... O ther a sse ts ..................................... 2,000 00 B ankin g house, fu rn iture and fixtures ........................................... 375 00 O ther real e s t a t e ................................................ Current ex p en ses and ta x es paid 96 60 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s .............................. Due from national, sta te and p ri v a te banks and bankers ........... 3.012 21 T o ta l cash on h a n d .......................... 2.862 17 $ 28,869 35 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid in ...................... $ 10,000 00 Surplus fund .................................. 1.000 ObU ndivided p r o f it s ............................ 894 59 D ividend s u n p a id ............................ Individual d ep osits subject to c h e c k ................................................. 4.758 79 Demand certificates of dep osit . 7.438 87 4,777 10T im e certificates of d e p o s it ....... Certified c h e c k s ............................... C ashier's check s o u tsta n d in g __ Due to national banks Due to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal $ 28,869 35. 58 E IG H T H Carleton, ANIN U A L REPORT OF THE The Citizens1 State Bank. C harter No. 75. H. M. L ic h ty .............................. P resid en t I J. B. W h ip k e y .....................C ashier F. P. B e a c h y ..............................V ic e-P r e sid en t ¡ A. L. W h ip k e y ................... A ssista n t Cashier ST A T E M E N T , D ECEM BER 2. 1899. BESO URCES. L IA B IL IT IE S . L oans and d is c o u n t s ........... ........... $33,636 49 O verdrafts, secured and u n se cured . . . ....................................... 74 34 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e t s ...................... ....................................... B ankin g house, furniture and lixtu r e s .................................................. 2.500 00 O ther real e s t a t e .................................................... •Current ex p en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and oth er cash i t e m s __ 1,093 12 D ue from national, sta te and pri v a te banks and b a n k e rs............. 8.150 48 T o ta l cash on h a n d .......................... 2.260 60 C apital sto ck paid in .............— $10.000 00 Surplus f u n d ..................................... ( 2,000 00 U ndivided p r o f it s .......................... j 1,563 85 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ..................................'.............. 17,906 28 Dem and certificates of d e p o s it.. ) 5.507 34 T im e certificates of d e p o s it ....... f 10,737 66 Certified C I U1.LLCU. C check l i C C E ns ...................................................................................................... ...................................................C C ashier’s ch eck s o u tsta n d in g ............................ D ue to national b a n k s ................................. . . . D ue to sta te and p rivate banks and b a n k e rs........................ ,........................ ....... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ j j 1 T o t a l .....................,...................... CarroiL $47,715,13 I lie Carroll State Bank. C harter No. 76. M. S. M errill_P resid en t R. D. M errill___ V ice-P resid en t Geo. C. M errill___ Cashier ST A T E M E N T . D E C E M B ER 2. 1899. L IA B IL IT IE S . BESO URCES. L oans and d isc o u n ts........................ $29,257 87 O verdrafts, secured and u n se cured .......................... ........... ......... 168 26 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ......................................................................... O ther a s s e t s ............................................................. B ankin g house, furniture and fixtures .............................................. 2,052 O th er real e s t a t e ...................................................... ■Current exp en ses and ta x e s paid 1,237 02 P rem iu m on TJ. S. and other bonds and s e c u r it i e s ..............................., ........ •Checks and other cash ite m s .............................. D ue from n ation al, sta te and p ri va te ban ks and b a n k e rs................. 2,036 'Total cash on h a n d ........... .............. 1.460 04 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $36,212 00 } C apital sto ck paid ip ...................... $10,000 00 Surplus lu n d ..................................... 500 00 | U ndivided p r o f it s .......................... 2,638 36 D ividends u n p a id .................................................. | in d iv id u a l dep osits subject to c h e c k ................................................. 13,570 86 Demand certificates of d e p o s it... 2,294 78 T im e certificates of d e p o sit......... 4,208 00 00Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ Due to national b a n k s ........................................... D ue to sta te and pi-ivate banks and b a n k e rs........................................... .............. | N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... 3,000 00 81 T otal $36,212 OO SECRETARY Cedar Bluffs. OF THE ST A T E B A N K IN G BOARD. 59 The B ank of Cedar Bluffs. C harter No. 77. R. H. K n a p p ..........P resid en t P eter W olff..............V iee-P res. F . B. K n a p p ...........Cashier ST A T EM E N T, DECEM BER 2, 1899 R E SO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 80,898 69 O verdrafts, secured and u n se cured ................................................. 2,410 78 S to ck s, secu rities, judgm ents, claim s, e t c .............................. .............................. B o n d s........................................... ............................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu res ................................................. 3,500 00 O ther real e s t a te .................................................... Current ex p en ses and ta x es paid 913 75 P rem iu m on IJ. s . and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s __ 112 39 D u e from national, sta te and pri v a te banks and bankers ........... 12,19G 70 T otal ca sh on h a n d ........................ 5.633 04 Capital sto ck paid in ...................... 810,500 00 Surplus f u n d ..................................... 1,000 00 U ndivided p r o f it s ............................ 2,917 54 D ividends unpaid ................................................... Individual d ep osits subject to c h e c k ................................................ 21,696 21 Demand certificates of d e p o s it ........................ T im e certificates of d e p o s it ....... 69,551 60 Certified c h e c k s ...................................................... Cashier's checks o u tsta n d in g ........................... Due to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ... .................... .............................. N o tes and b ills r e d isc o u n te d ............................ B ills payable .......................................................... T o t a l ............................................. 8105.665 35 T o ta l............................................... $105,665 35 Cedar Bluffs. The Farm ers and Merchants Bank. C harter No. 78. .John K illia n ........Presid en t P. F. E b s e n ........ V ice-P resid en t H enry W eh n er.. .C ashier ST A T EM E N T. DECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oan s and d isc o u n ts...................... $ 52.824 76 O verdrafts, secured and u n se c u r ed .................................................. 292 87 S to ck s, secu rities, judgm ents, claim s, e t c .......................... .................................. B o n d s .......................................................................... O ther a s se ts .......................................................... B ankin g house, furniture and fix tu r e s ................................. 3.899 00 O ther real e s t a t e .. .......................... 6.047 12 Current exp en ses and ta x es paid 1,514 97 P rem iu m on U . S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash i t e m s __ 436 55 D ue from ■national, sta te and p riv a te banks and b a n k e r s __ 4,504 06 T o ta l cash on h a n d ........................ 4,115 85 ..................... $ 73.635 18 T otal . . . . C apital stock paid in ...................... $12,500 00 Surplus f u n d ..... ............................ 100 00 U ndivided p r o f it s ............................ 1,900 70 D ividends un p aid .................................................... Individual dep osits subject to c h e c k ..... 16,610 58 D em and certificates of d e p o s it.. 5.762 00 T im e certificates of d e p o s it ....... 36,761 90 Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ Due to na tio n al b a n k s .................. ................. D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills rediscounted ... B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 73.635 18 6o E IG H T H Cedar Rapids. ANNUAL REPO RT OF TH E The S. S. H adley Co. C harter No. 81. S. S. H a d le y ............................... P re sid e n t I F. H. H e a d ........................T reasurer H. E. S o u th w e ll........................ V ic e-P r e sid en t | C. C. G ood rich ................. A ssista n t T reasurer ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 79,015 77 O verdrafts, secured and u n se cured ................................................. 572 15 S to ck s, secu rities, judgm ents, claim s, e t c ............... .............................................. B o n d s ........................................................................... Other a s s e t s ....................................... ................ B anking house, fu rn iture and fix t u r e s ............................................. 1,291 05 Other real e s t a t e .............................. 3 ,118 54 C urrent ex p en ses and ta x e s paid 547 95 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s ........ 1.408 68 D ue from national, .state and pri va te banks and b a n k ers............. 21,662 76 T o ta l cash on h a n d ........................ 5,334 03 C apital stock paid i n ...................... 130,000 00 Surplus fu n d ....................................... ¡5,000 00 U ndivided p r o fits................., ........... 2,801 30 D ividends u n p a id .................. ................................. Individual dep osits subject to c h e c k .................................................. 48,851 45 Demand certificates of d e p o s it ... 16,296 18T im e certificates of d e p o s it......... Certified c h e c k s ................................ C ashier's check s o u tsta n d in g __ Due to n ational b a n k s..................... D ue to sta te and p rivate banks and b a n k ers.............................. ; .. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal ............................................. 1112,948 93 T o ta l............................................... «112,948 93: Cedar Rapids. The Cedar Valley Bank. Charter No. 530. A. B. S q u a ir ....................................... P r sid en t ; Jam es S q u a ir ............................................. C ash ier ST A T E M E N T , D EC E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 22,686 50 O verdrafts, secured and u n se cured ................................................. 308.14 S tock s, secu rities, judgm ents. claim s, e t c ............................................................. B o n d s........................................................................... O ther a s s e t s ....................................... 35 48 B anking house, furniture and fix tu res ......................................................................... Other real e s t a t e .............................. ............. Current ex p en ses and ta x es paid 321 58 P rem iu m on U. S. and other bonds and s e c u r it ie s ................... ................. C hecks and oth er cash ite m s __ 315 68 D ue from national, sta te and p rivate banks and b a n k e rs__ 19,927 29 T o ta l cash on h a n d .......................... 6,2)5 06 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 49,809 73 C apital stock paid i n ...................... «10.000 00Surplus f u n d ..................................... 1,000 00 U ndivided p r o fit s ............................ 1,901 83 D ividends unpaid ................................................. Individ ual d ep osits subject to c h e c k ................................................ 31.403 76Demand c ertilica tes of d ep osits. 4.504 14 T im e certificates of d e p o s it......... 1,000 00 Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g ............................ Due to national b a n k s ......... .............................. D ue to sta te and p rivate hanks and b a n k e r s .............................. N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ......................................• T otal « 49,809 73 SE C R ET A R Y Central City. OF THE STATE B A N K IN G BOARD. 61 The Central City Bank. C harter N o. 82. Jos. H. N a s h ....... C ashier T. B. H o rd . . . . . P resid en t Geo. P . B is s e ll.... ..A s s 't C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R ESO U RCES. L oans and d isc o u n ts...................... $ 45,366 16 O verdrafts, secured and u n se cured ......................................................................... S to ck s, secu rities, judgm ents. claim s, e tc .............................................................. Bonds ............................................................. ........... O ther a s s e ts ....................................... 110 85 B anking house, fu rn iture and fixtures ........................................... 3.000 00 Other real e s t a te .................................................... Current exp en ses and ta x e s paid. 2,103 90 P rem ium on U. s . and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s __ 893 51 D ue from national, sta te and pri 50,879 27 v a te banks and b a n k e rs............. T o ta l cash on h a n d .............i .......... 4.747 18 $107,100 87 T otal ....................................... . Central City. C apital stock paid i n ...................... $ 20.000 00 Surplus fund ........................................................ U ndivided p r o fits.................................. 7,87889 D ividends u n p a id .................................................... Individual d ep osits subject? to c h e ck ................................... ............ 65,588 39 Dem and certificates of dep osit .. 4,108 59 T im e certificates ofdeposit ______ 9,52500 Certified c h e ck s...................................................... Cashier's check s o u tsta n d in g ............................ Due to national b a n k s........................................... Due to sta te and p rivate banks and b a n k e r s .......................................................... N otes and b ills r e d isc o u n te d .................... B ills p a y a b le .................................................... T o ta l ........................ ................... $107,100 87 The Farmers'’ State Bank. C harter N o, 83. Jo h n Clay, J r ............................. P resid en t I W . C. K e r r ........................C ashier J. R, M a so n ............................... V ic e-P r e sid en t | Chas. C. M cE nd ree. . . . ..A s s is ta n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts.................... $118,712 82 i Capital stock paid i n ...................... $25,000 00 25,000 00 Surplus fu n d ......... -............................ Overdrafts, secured and u n se U ndivided p r o fits.............................. 3,853 25 c u red .................................................. 8 83 D ividends u n p a id ................................................... S to ck s, secu rities, judgm ents. Individual dep osits subject to claim s, e t c .............................................................. check ................................................ 50.957 01 B o n d s......................................................................... 2,991 00 O ther a s s e t s ....................................... 185 00 j Dem and certificates of d e p o sit.. 44.748 50 T im e certificates of dep osit ......... B anking house, fu rn iture and f ix t u r e s ............................................. 3.000 00 ! Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ O ther real e s t a te ...................................................... Due to national b a n k s........................................... Current ex p en ses find ta x es paid 1,351 97 Due to sta te and private banks P rem iu m on U. S. and other and b a n k ers................................... 8,227 74 bonds and s e c u r itie s .......................................... N o tes and b ills r e d isc o u n te d ............................ C hecks and other cash ite m s __ 791 73 B ills p a y a b le .......................................................... . D ue from national, sta te and pri v a te banks and b a n k e rs............. 28.887,67 T o ta l cash on h a n d .......................... 7,839 48 *160.777 50 T otal T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Ó2 E IG H T H Centra! City. ANNUAL REPORT OF THE The P latte'V alley State Bank. C harter No. 84. M. V. S co tt N . D. R eynolds P resid en t V ice-P resid en t i C. T. S m i t h ....................... C ashier 1 J. Cleve S c o tt................... A ssista n t Cashier- ST A T E M E N T , DECEM BER 2, 1899. R ESO U RCES. IN A B IL IT IE S L oans and d isc o u n ts...................... $ 47,128 69 Overdrafts, secured and u n se cured ............. .................................. 214 46 Stock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ............. ...................... .................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s ................................................. 3.50000 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 844 55 P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and other cash i t e m s __ 111 70 D ue from national, sta te and pri va te banks and b a n k ers............. 26,766 95 4,06216 T otal cash on h a n d .............................. T otal ............................................. $ 82,628 51 Ceresco. C apital stock paid i n ...................... $ 20,000 00Surplus fu n d ....................................... 7,000 00 3,255 22 U ndivided p r o fits.............................. D ividends u n p aid .................................................... Individual dep osits subject to 37,247 20 c h e c k .................................................. Dem and certificates of d e p o s it... 2,021 15 T im e certificates of d e p o s it......... 13,104 94 Certified c h e c k s ..................................................... C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l............................................... $ 82,628 51 The State Bank. Charter No. 85. N. H. M e e k e r ...................................P resid en t | H. L e a l......................................................... C ashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 23,806 26 O verdrafts, secured and u n se cu red .................................................. 387 06 S tock s, secu rities, judgm ents, claim s, e t c ....................................... ................. B o n d s ........................................................................... O ther a s s e t s ....................................... 22.2 49 B anking house, fu rn iture and f ix t u r e s ..... ....................................... 2,350 00 Other real e s t a t e ................................ ................. Current exp en ses and ta x e s paid 1,825 68 P rem iu m on U . S. and other bonds and se c u r itie s .................... C hecks ond oth er cash ite m s . . . 50 CO D ue from national, sta te and pri va te banks and b a n k ers............. 12,331 90 T otal cash on h a n d .......................... 2,939 89 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 43,913 28 Capital sto ck paid in ...................... $10,000 00 Surplus fu n d ........................................................... U ndivided p r o fits.................................. 1,89851 D ividends u n p aid .............................. . . . . . . . . . . Individ ual dep osits subject to c h e ck .................................................. 15,825 58 D em and certificates of d e p o s it... 8,062 74 T im e certificates of d e p o sit......... 8",126 45 Certified c h e c k s ........................ ............................. C ashier’s check s o u tsta n d in g ............................ Due to national banks ................................... Due to sta te and private banks and b a n k e rs...................................................... N o te s and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T otal $ 43,913 28 SEC R ETA R Y Chadron. OF T H E STATE B A N K IN G BOARD. 6 3; The Citizens’ State Bank: C harter No. 87. A. A. M eF adon.. P resid en t J. T. M a y ..V ice -P r esid e n t L. A. C o b u r n ..A ss’t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $29,006 52 O verdrafts, secured and u n se cured .................................................. 49 4G S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s ..... ....................................................... ........... Other a s s e ts ....................................... 3,156 00 B ankin g house, furniture and f ix t u r e s ........................................... 6.400 00 O ther real e s t a te ............................ 600 00 Current exp en ses and ta x es paid 1.572 17 P rem iu m on U. S. and other bonds and s e c u r it i e s ............................ ........... C hecks and other cash it e m s ....... 121 23 Due from national, sta te and p ri 10,366 78 v a te banks and b a n k ers............. T o ta l cash on h a n d .......................... 7,726 45 T o ta l............................................... $58,998 61 C apital stock paid in ...................... $20,000 00 Surplus fu n d ............................................................. U ndivided p r o fits............................. 2,38988 D ividends u n p aid .................................................... Individ ual d ep osits subject to 14,49487 c h e c k .................................................... Dem and certificates of d e p o s it... 1,624 20 T im e certificates of d e p o sit......... 20,489 66 Certified c h e c k s ................................ C ashier’s check s outstan ding ... Due to national b a n k s..................... D ue to sta te and private banks and b a n k e r s .................... .............. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l ............................................. , $58,998 73 The Commercial Bank. Chappell. C harter No. 89. E. D H a m ilto n .. .P resid en t B. F. C layton .. .V ice -P re sid e n t H. I. B a b co ck .. .C ash ier ST A T EM E N T, D E CEM BER 2. 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 31,699 75 Overdrafts, secured and u n se c u r e d .................................................. 566 12 S tock s, secu rities, judgm ents, claim s, e t c ........................................................ B o n d s........................................................................... Other a s s e t s ....................................... 6,261 40 B anking house, furniture and fix tu r e s............................................. 2,000 00 Other real e s t a t e .............................. 1,175 00 Current ex p en ses and ta x es paid 1,041 04 P rem iu m on U . S. and other bonds and s e c u r itie s ................................... C hecks and other cash ite m s ...................... D ue from national, sta te and priv a te hanks and h a n k e r s ........... 1,896 47 T o ta l cash on h a n d .......................... 3,748 05 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 48,387 83 Capital sto ck paid i n ...................... $ 10,000 00 Surplus fu n d ..................................... 300 09 U ndivided p ro fits.......................... 1,716 63 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................... 19,913 70 Demand certificates of d e p o s it. . . 16,457 50 T im e certificates of d e p o s it........................... . Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and h a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal $ 48,387 83 64 E IG H T H Chester. . ANNUAL REPO RT OF THE The Farm ers Bank. C harter No. 90. Ja m es W ilso n ....................................... P resid en t | R obert W ilson, J r .................................. C ashier ST A T EM E N T. D E CE M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . U oans and d isc o u n ts...................... $ 29,005 45 Overdrafts, secured and un se cured ................................................. 375 21 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ....................................................................... O ther a s s e t s ....................................... ................. B ankin g house, furniture and fix tu r e s .................................................................... O ther real e s t a te .................................................... C urrent exp en ses and ta x es paid 419 14 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and oth er cash ite m s __ 957 83 D ue from national, sta te and p ri vate banks and b a n k e r s ........... 6,069 54 4.748 95 T o ta l cash on h a n d .......................... T o t a l ............................................. $ 41.496 12 Clarks. C apital sto c k paid in ...................... $ 7.500 00 Surplus f u n d .......................................... 4,50000 967,89 U ndivided p r o fits............................ D ividends unpaid .................................................. Individual deposits subject to 23,333 65 c h e c k ..... D em and certificates of d e p o sit.. 4,418 93 568 70 T im e certificates of d e p o s it....... Certified c h e c k s .................. ................................... C ashier’s checks ou tsta n d in g ............................ D ue to national b a n k s ................... 206 95 Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $ 41.496 12 The M errick County Bank. C harter No. 91. O. W . E a to n _P resid en t A. D. S e a r s ......... V ice-P resid en t W . C ham b erlin___ Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . .Loans and d is c o u n t s ...................... 8 55,518 26 C apital stock paid i n ...................... $20,000 00 O verdrafts, secured and u n se ! Surplus fund..................................... 200 00 cured ................................................. 294 35 U ndivided p r o fits............................ 2,342 40 S tock s, secu rities, judgm ents, ' D ividends u n p a id ............................................. . claim s, e t c ....................................... 100 00 Individual d ep osits subject to c h e c k ................ 26,740 38 B o n d s........................................................................... O ther a s s e t s .............................................................. Dem and certificates of d e p o s it........................ Banking house, fu rn iture and T im e certificates of d e p o s it... . 23,141 90 fix tu r e s ............................................. 4,278 89 Certified c h e c k s ........... ........................................... O ther real e s t a t e .............................. ................. Cashier's check s ou tsta n d in g __ 3,480 40 Current ex p en ses and ta x es paid 350 65 D ue to national b a n k s ......................................... P rem iu m on U. S. and other D ue to sta te and private banks bonds and s e c u r itie s ......................................... and b a n k e r s .............. .................... C hecks and other cash ite m s . . 168 40 N o tes and b ills r e d isc o u n te d .,. .. D ue from national, sta te and pri B ills p a y a b le ..................................... va te banks and bankers ........... 7,978 78 T o ta l cash on h a n d .......................... 7,215 75 $ 75.905 08 T otal $ 75,905 08 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETARY Clarkson. OF T H E STATE BAN KIN G BOARD, 65 The Clarkson State Bank. Charter No. 92. L.. F. F o ld a ............................... P resid en t F. M cG iverin............................V ice-P resid en t I L ongin F o ld a ......................C ashier | Rainold F o ld a .................... A ssista n t C ashier ST A T EM E N T. D E CE M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . G oans and d isc o u n ts.......................$ 51,940 35 O v erd ra fts, secured and u n se cured ................................................ 146 70 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 348 00 B onds ............................................................ ........ O ther a s s e t s ............................................................. B ankihg house, furniture and fixtures ......................................... 2,000 00 O th er real esta te ............................................. C urrent ex p en ses and ta x es paid ................ P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... •Checks and other cash ite m s ....... 187 63 D ue from national, sta te and p ri v a te banks and b a n k ers............. 6.515 92 T o ta l cash on h a n d ........................ 3.038 25 C apital sto ck paid i n ...................... * 8.000 00 Surplus fu n d ..................................... 2,000 00 U ndivided p r o fits ............................ 1,804 70 D ividends unpaid . / .............................................. Individual d ep osits su b ject to check ................................................ 21.838 50 D em and certificates of d e p o s it.......................... T im e certificates of d e p o s it......... 30,533 65 Certified c h e c k s...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s .................................... Due to sta te and private banks and b a n k e rs.......................................................... - N otes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l.............................................. $ 64.176 85 T otal ............................................. $ 64,176 85 Ctatonia. The Farm ers B ank of Clatonia. Charter No. 481. YVm. S te im e y e r __ P resid en t H enry A lb e r t.. .V ice-P resid en t J. D. M oore___ C ashier ST A T EM E N T. D E C E M B ER 2, 1899. RESO U R C E S. L oans and d isc o u n ts...................... 8 27,014 89 O verdrafts, secured and u n se cured ! ............................................... 38 40 S to ck s, secu rities, judgm ents, 2500 claim s, e t c ....................................... B o n d s.............................................i ........................... O ther a s s e ts ............................................................. B anking house, fu rn iture and fixtures ........................................... 131 00 O ther real esta te .................................................. ■Current exp en ses and ta x es paid 1,112 69 P rem ium on IT. S. and other bonds and s e c u r itie s ......... ................................ C h eck s and oth er cash item s . . 186 90 D ue from national, sta te and pri v a te banks and b a n k e rs........... 13,912 02 T o ta l cash on h a n d .......................... 2,518 36 T o ta l............... .............................. $ 44,939 26 5 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid in ..................... $ 8,000 00 Surplus fund ............................................................ U ndivided p r o fits................................. 3,90163 D ividends u n p a id ......................................... ...... Individual d ep osits subject to check ........................................ 12.23067 D em and certificates of d e p o sit.. 7.379 10 T im e certificates of d e p o s it......... 13,427 86 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s......................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o t a l ............................................. $ 44,939 26 66 EIG H TH Clay Center. ANNUAL REPORT OF T H E The Commercial State Bank. C harter No. 94. H. E. M cD onald.. .P r esid e n t E. D. D a v is .. .V ice -P re sid e n t J. L. C am pbell.. .Cashier- ST A T E M E N T , D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 58,062 59 O verdrafts, secured and u n se cured ................................................ 254 80 S tock s, secu rities, judgm ents, claim s, e t c .................... '................. 579 25 B o n d s........................................................................... Other a s s e t s ....................................... 120 00 B ankin g house, fu rn iture and fixtures ........................................... 3,050 00 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 522 42 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... 262 30 C hecks and other cash i t e m s __ D ue from national, sta te and pri va te banks and b a n k ers............. 12,538 99 T o ta l cash on h a n d .......................... 2,778 38 C apital stock paid in ...................... $ 20,000 00Surplus fu n d ....................................... 2,300 00U ndivided p ro fits............................ 2,480 54 D ividend s unpaid ................................................. Individual d ep osits su b ject to c h e c k .................................................... 33,73450 Dem and certificates of d e p o s it.. 12,451 84 T im e certificates of d e p o s it....... 7,14100 G Certified vl lilivU c vllvvivo. h e c k s ......................................... .................................................. •••«»• *... ■. C ashier's check s ou tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k ers........................................................ N o tes and b ills red iscou n ted __ 660 85B ills p a y a b le ............................................................ T o t a l............................................. $ 78,768 73 T o t a l ............................................. $ 78,768 73, * Cody. The Bank of Cody. C harter No. 542. J. A. S p a rk s...........................................P r esid en t | E. S p a r k s ........... .......................V ice-P resid en t ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 11,322 40 O verdrafts, secured and u n se cured ................................................. 36 00 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... O ther a s se ts .......................................................... B anking house, fu rn iture and fix t u r e s ............................................. 1,050 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 186 97 P rem iu m on U . S. and oth er bonds and s e c u r it ie s ......................................... C hecks and other cash item s . 29 63 D ue from national, sta te and p ri v a te ban ks and b a n k ers............. 10,309 96 T otal cash on h a n d .......................... 1,442 11 $ 24,377 07 T o ta l......... C apital stock paid i n ...................... $ 5,000 Of) Surplus f u n d ......................................... ,................. U ndivided p r o f i t s ......................... 550 07 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to cheek ................................................ 18,286 50D em and certificates of deposit .. 540 50T im e certificates of d e p o s it................................ C ertified c h e c k s .............................................. .. C ashier’s check s o u tsta n d in g ............................ D ue to na tion al b a n k s................................, ......... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 24,377 07 SECRETARY Coleridge. OF T H E STATE BA N K IN G BOARD, 6 7 The Coleridge State Bank. C harter No. 96. F . A. M cC ornack..P resident J. W. L in k h a rt.. V ic e-P r e sid en t Geo. I. Pai-ker..C ashier ST A T E M E N T . D E CEM BER 2. 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 64,060 31 O verdrafts, secured and u n se c u red .................................................. 449 13 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 35 00 Bonds ........................................................................ O ther a s s e ts ....................................... 2,177 30 B ankin g house, furniture and fix tu r e s ............................................. 6,500 00 O ther real e s t a t e ............................ 500 00 C urrent exp en ses and ta x e s paid 690 12 P rem iu m on U . S. and other bonds and s e c u r itie s ........................................... 71 40 C hecks and other cash it e m s ....... D ue from national, sta te and pri v a te banks and b a n k e rs............. 6 ,115 41 T ota l cash on h a n d .......................... 2,199 04 Capital stock paid i n ...................... $ 25.000 00 Surplus fu n d ..................................... 1 ¿75 00 U ndivided p r o fits............................ 5,151 80 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k ................................................ 23,107 16 D em and certificates of d e p o s it ... 13,124 01 T im e certificates of d e p o sit......... 14,085 55 Certified c h e c k s................................. C ashier’s check s o u tsta n d in g __ D ue to n ational b a n k s ......... . . . . D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted ........ 1,000 66 B ills payable . . . ( .......................... ,. 57 19 T o ta l.............................................. * 82.800 71 T o ta l............................................... $ 82,800 71 « Colon. The State Bank of Colon. C harter No. 529. F . J. K irch m an ---- P resid en t A. F r a n so n . .. .V ice -P re sid e n t J. W. D a ily .... C ash ier ST A T E M E N T , DECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and discounts ...................... $ 10,150 30 O verdrafts, secured and u n se cured ................................... ............. 421 63 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. O ther a s s e t s ............................... B ankin g house, fu rn iture and fixtu res ........................................... 1,073 30 Other rea l e s t a t e .............................. ' 690'49 Current exp en ses and ta x e s paid Prem iu m on U. S. and other bonds and s e c u r itie s ................... C hecks and oth er cash ite m s ... ■435 ¿6 D ue from national, sta te and p ri v a te banks and b a n k ers............. 4,637 96 1,325 58 T o ta l cash on h a n d .......................... C apital sto ck paid in ....................... $ 5,000 00 Surplus fu n d ............................................................ U ndivided p r o f it s ............................ 574 56 D ividends u n p aid ..................................................... Individ ual d ep osits subject to c h e c k ................................................. 6,631 30 D em and certificates of d e p o s it....................... T im e certifica tes of d e p o s it......... 6,529 00 Certified c h e c k s....................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ......... ............................. D ue to sta te and p rivate banks and b a n k e r s .................................. ................. N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ...................................... / . ............. Total, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Ç 1 8 ,7 3 4 8 6 Total $ 1 8 ,7 3 4 8 6 68 EIG H TH Columbus. ANNUAL REPORT OF T H E The Columbus State Bank. C harter No. 97. L eander G erra rd ... P resid en t R. H. H en ry V ic e-P r e sid en t M. B ru g g er. . . . C ashier ST A T EM E N T, D E CEM BER 2. U99. RESOU RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $105,363 09 Overdrafts, secured and u n se cu red ............................................ 559 44 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 1,748 91 B onds ......................................................................... Other a s s e t s ........................ ................................. B anking house, fu rn iture and fix t u r e s ............................. 9,171 53 Other real e s t a te ............................... 12.834 62 Current ex p en ses and ta x es paid 4,136 31 P rem ium on U. S. and other bonds and s e c u r it ie s ....................................... . C hecks and o th er cash ite m s __ 1,839 02 D ue from national, sta te and p ri 99,467 34 v a te banks and b a n k e r s............. T otal cash on h a n d ..... .................... 10.919 71 C apital stock paid i n .................... $ 50,000 00 Surplus fu n d ..................................... 700 00 U ndivided p r o fits............................ 9.316 86 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ..................................'............. 51,554 39 Dem and certificates of d e p o sit.. 20.142 65 T im e certificates of d e p o sit......... . 112,561 58 Certified c h e c k s .................... ................................. C ashier’s checks ou tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private ban ks and b a n k e r s ................................... 2.064 49 N o tes and b ills red iscou n ted ..... ........................ B ills p a y a b le ............................................................ T o ta l............................................. Concord. $246,339 97 T o ta l............................................... $246,339 97 The Concord State Bank. C harter No. 99 Jam es P a u l......... P resid en t D. C. L earner___ V ice-P resid en t D. A. P a u l........... C ashier ST A T E M E N T , D EC E M B ER 2. 1899. RESO U R C ES. L IA B IL IT IE S . Loans and d is c o u n ts ....................... $ 31,518 36 Overdrafts, secured and u n se cu red .................................................. 747 95 Stocks, secu rities, judgm ents, claim s, e t c ....................................... 1,889 Oo B o n d s........................................................................... Other a s s e t s ................................... 32 02 B anking house, fu rn iture and fix tu res ........................................... 1,584 47 Other real e s t a t e .............................. 11.901 52 Current ex p en ses and ta x e s paid 328 02 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... Checks and other cash i t e m s ............................ D ue from national, sta te and private banks and b a n k e r s __ 6,552 60 T otal cash on h a n d .......................... 2,956 22 Capital stock paid in ...................... $ 30,000 0O Surplus fund ..................................... 1,037 14 U ndivided p r o f it s ............................ 2,799 11 D ividends unpaid .......................... 2,058 92 Individ ual d ep osits subject to 5,998 33 c h e c k ................................. Demand certificates of deposit .. 4.173 91 T im e certificates of d e p o sit.......... 11,442 75 C ertified c h e c k s ................................................. C ashier's check s o u tsta n d in g ............................ ......................................... tci national Iidtiuiidi b IIillii\. Due to a n k s ........................................... D ue to sta te and private banks and b a n k e r s ..... ................................ N o tes and b ills red iscou n ted ............. B ills p a y a b le ........................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 57,510 16 T otal $ 57,510 16 SECRETARY Cook. OF T U E STATE BAN K IN G BOARD, 6 9 The F; irmersv Bank. C harter No. 100. L ou is S c h a c h t___P resid en t E. C ook___V ice-P resid en t Jam es R. T ob er.. .. C ashier ST A T E M E N T , D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 42.884 98 O verdrafts, secured and u n se cu red .................................................. 77 04 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... O ther a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ............................................. 5,590 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 905 39 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash item s . .. 102 15 D ue from national, sta te and p rivate banks and b a n k e r s __ 25.868 15 5,33003 T ota l cash on h a n d .............................. T o ta l..... ......................................... $ 80,757 74 Cortland. C apital stock paid in ....................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individual dep osits subject to check ................................................ D em and certificates of deposit .. T im e certificates of deposit ....... Certified c h e c k s ................................ C ashier's check s outstan ding ... Due to national b a n k s ................... D ue to sta te and p rivate banks and bankers .................................. N o tes and b ills red iscoun ted........ B ills p a y a b le ..................................... T otal 17.500 00 5.500 00 2.80S 85 46,289 72 2.092,78 6.565 39 80,757 74 The Bank of Cortland. C harter No. 103. T. R. B u r lin g __ P resid en t H. H. B u r lin g ....V ic e -P r e sid e n t F . A. B u r lin g .. .Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ....................... $ 19,666 09 O verdrafts, secured and u n se cured................................................... 32 69 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 784 18 B onds ......................................................................... O ther a s s e ts .............................................................. B ankin g house, fu rn iture and f ix t u r e s ............................................. 2,500 00 O ther real e s t a te .................................................. Current ex p en ses and ta x e s paid 477 05 Prem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash ite ih s ....... 73 39 D ue from national, sta te and pri v a te banks and b a n k e rs............. 6,079 27 T ota l cash on h a n d .......................... 2,460 20 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 32,072 87 C apital stock paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individ ual d ep osits su b ject to check ................................................. Demand certificates of d e p o sit.. T im e certificates of d e p o s it......... Certified c h e c k s ............................... C ashier’s check s o u tsta n d in g __ D ue to national b a n k s ................... D ue to sta te and p rivate banks and bankers ................................. N o tes and b ills red iscou n ted ........ B ills p a y a b le ...................................... T otal 10,000 00 3,273 58 164 58 13,200 71 180 00 5.254 00 $ 32,072 87 7o EIG H TH ANNUAL REPORT OF T H E Crab Orchard. The B ank of Crab Orchard. Charter No. 104. C. L. R o th e ll..P r e s id e n t O. A. B a ile y ..V ic e -P r e s id e n t Frank R o th e ll..A c tin g C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 21,645 96 O verdrafts, secured and u n se cu red .................... .................................................... Stock s, secu rities, judgm ents, claim s, e t c ....................................... '00 00 B onds .. ................................. .............................. O ther a s s e t s ....................................... 182 00 B ankin g house, furniture and fix t u r e s ............................................. 5,000 00 O ther real e s t a t e ............................ 1,555 00 Current ex p en ses and ta x e s paid ................. P rem ium on TT. S. and oth er bonds and s e c u r it ie s ....................................... C hecks and other cash ite m s ...... 499 66 D ue from national, sta te and p ri 1.414 88 v a te hanks and b a n k e rs........... T o ta l cash on h a n d .......................... 4.222 10 C apital stock paid i n ...................... $ 15,000 00 Surplus fu n d ............................................................. U ndivided p r o fits ............................ 51 99 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k ................................................ 15,826 31 Dem and certificates of d e p o sit.. 1,727 80 T im e certificates of d e p o s it.............................. Certified c h e c k s ...............................................— C ashier’s check s o u tsta n d in g ............................ D ue to n ational banks ........................................ Due to sta te and p rivate banks and b a n k e rs......................................................... N o tes and b ills red isco u n ted 513 50 B ills p a y a b le ..................................... 1,500 00 T o ta l........................ ................... $ 34,619 60 T o ta l............... ............................... $ 34,619 60 Craig. The B ank of Craig (Driscoll N esbit.) Charter No. 105. D riscoll and N e s b it............................................................................................................................. P a rtn ers ST A T EM E N T. DECEM BER 2. 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 29,198 69 . O verdrafts, secured and u n se c u red .................................................. 424 66 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu res ........................................... 2.237 00 Other real e s t a t e ............... v................................... Current ex p en ses and ta x es paid ................. P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er ca sh ite m s . .. 39 34 D ue from national, sta te and pri va te ban ks and ban kers ........... 23,161 40 T o ta l cash on h a n d .......................... 2,659 79 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 57,723 88 C apital sto ck paid i n ...................... $ 10,000 00 Surplus f u n d ..................................... 2,000 00 U ndivided p r o f it s ............................ 666 05 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 44.139 39 D em and certificates of d e p o s it........................ T im e certificates of d e p o s it......... 494 44 Certified check s .......................... 424 00 C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and private banks and bankers ................................. N o tes and b ills red iscou n ted ........ B ills p a y a b le ................................. T otal $ 57,723 88 SECRETARY Crawford. OF T H E STATE BAN KIN G BOARD 'll The Commercial State Bank. C harter No. 107. D eroy H a ll............................................ P resid en t | O. K. E a stm a n ..........................................C ashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. D oans and d isc o u n ts...................... $ 45,789 21 O verdrafts, secured and u n se cu red ........................ 3,480 73 •Stocks, secu rities, judgm ents, claim s, e t c ............................................................. 6,136 01¡Bonds ................................................... O ther a s s e ts .................................................. ......... ¡Banking house, fu rn iture and 1,000 00 fix tu res .................. O th er real e s t a t e .............................. 4,074 88 •Current exp en ses and ta x es paid ................. P rem ium on U. S. and other bonds and s e e u in tie s ......................................... •Checks and oth er cash ite m s __ 127 60 D ue from national, sta te and pri 7.112 89 va te banks and b a n k ers............. 'Total cash on h a n d .......................... 5.916 28 Capital stock paid i n ...................... $ 10,000 00 Surplus f u n d ..................................... 500 00 U ndivided p r o f it s ................... ...... 912 80 D ividends u n p a id ..... ........... Individ ual d ep osits subject to check ................................................. 45.745 41 2.451 58 Demand certificates of d e p o sit.. 13,971 53 T im e certifica tes of d e p o s it........ Certified check s ............................. 56 25 C ashier's checks o u tsta n d in g __ D ue to natio n al b a n k s ................... Due to sta te and private banks and b a n k ers.................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o ta l............................................... * 73,637 60 T o ta l ............................................. $ 73.637 60 Crawford. The Bank of Crawford. C harter No. 535. B a r t le tt R ic h a r d s..P r esid e n t A nd rew M cG in ley.. V ice-P resid en t C. A. M in ick . . Cashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . C apital sto ck paid in ...................... ¡6 15.000 00 Surplus fund ................... ...................... ........... U ndivided p r o f it s ........................... 1,527 88 D ividends u n p a id .............................................. Individual d ep osits subject to c h e c k ................................................ 10.284 D em and certificates of deposit .. 345 T im e certificates of d ep osit . .. . 4,881 Certified c h é c k s ................................ C ashier’s checks o u tsta n d in g __ Due to n ational b a n k s .................. D ue to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o ta l https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 32,038 46 88S R ESO U RCES. D oans and d is c o u n ts ...................... I 24,162 45 O verdrafts, secured and u n se cured ................................................ 12 59 S to c k s, secu rities, judgm ents. claim s, e t c ............................................................. B o n d s ................................................................... — O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 593 30 O th er real e s t a t e .................................................... C urrent e x p en ses and t a \ e s ....... 787 74 P r e m iu m on U. S and other bonds and s e c u r it i e s ........................................ C h eck s and oth er cash it e m s __ 48 66 Due from national, sta te and p riv a te banks and bankers __ 3.452 33 T o ta l cash on h a n d .......................... 2.981 39 T otal I 32,038 46 EIG H TH 7 Creighton. ANNUAL REPORT OF T H E The Security Bank. Charter No. 466. H. A. C heney............................. P resid en t I H. A C h e n e y ......................Cashier W. H. B u tte r fie ld .................... V ice-P resid en t | W A. W arner..................... A ssista n t GashierST A T EM E N T, D E CEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $121.527 60 O verdrafts, secured and u n se cured ................................................. 1,356 67 S tock s, sec u r ities, judgm ents, claim s, e t c ....................................... 504 25 B o n d s ,....................................................................... o th e r a s s e t s .............................................................. B ankin g house, furniture and fix t u r e s ............................................. 8,000 00 O ther real esta te .................................................. Current ex p en ses and ta x es paid 4,038 99 P rem iu m on U S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s ............................ D ue from national, sta te and private banks and b a n k e r s __ 7.886 90 T o ta l cash on h a n d ................... . . . 8.018 56 T o ta l..................................... . . . . . $ 51,332 97 Creighton. C apital sto ck paid in ...................... $ 25.000 00Surplus f u n d ..................................... 7,000 00 U ndivided p r o f it s ............................ 14,122 93 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k .................................................... 55,49478 D em and certificates of deposit .. 6,836 22 T im e certificates of d e p o s it......... 42,879 01 Certified c h e c k s ........................ . ....... . . . . C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s ........................................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l............................................... $151,332 97 The Bank of C reighton. C harter No. 475. R obt. M. P e y to n .. .P resid en t A. G. P e y to n .. .V ice -P re sid e n t W. E. T aylor. ..C ash ier ST A T E M E N T , D EC E M B ER 2, 1899.. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 95,490 38 O verdrafts, secured and u n se cured ................................................. II 07 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a sse ts ...................................................... B ankin g house, furniture and fix t u r e s ......................................... '.. 8,001 00 Other real e s t a t e ................................................ Current exp en ses and ta x es paid 1,636 27 P rem iu m on U. S. and other bonds and s e c u r it ie s ..................................... C hecks and other cash ite m s ....... 306 74 Due from national, sta te and pri v a te banks and b a n k e r s ........... 14,449 29 T o ta l cash on hand ........................ 8,012 03 $127,905 78 T otal C a p ita l................................................. $ 25,000 00) Surplus f u n d ..................................... 5,<XJ0 00 U ndivided p r o f it s ............................ 3,969 74 D ividends unpaid ............................ 6 73 Individual d ep osits subject to c h e c k ................................................. 49,410 50 Dem and certificates ofdeposit .. 309 50T im e certificates of d e p o sit.......... 31,113 36 Certified c h e c k s ................................ C ashier’s checks o u tsta n d in g .... Due to national b a n k s ................... D ue to sta te and private banks and b a n k e r s ................................... 3,095 90N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 10,000 00 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $127,905 78. SECRETARY Creston. OF T H E STATE BAN KIN G BOARD, 73* I lie B auk of Creston. Charter No. l ¡0. E m m a E. W o lf..................................... P resid en t I Theodore W o lf.................... ..................C ashier ST A T E M E N T . DECEM BER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 10,847 15 O verdrafts, secured and u n se cu red .................................................. 233 84 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... Other a s s e ts ............................................................. Banking, house, furniture and 500 00 fix t u r e s ............................................ O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid 204 10 Premiums' on U. S. and other bonds and secu rities ...................................... C hecks and other cash item s 15 50 D ue from national, sta te and p ri 27 00 vate banks and b a n k ers............. T o ta l cash on h a n d .......................... 1,386 71 Capital stock paid in ....................... ¡6 5.000 00 Surplus fund........................................ 1,200 Oh U ndivided p r o f it s ............................ 1,571 12 D ividends unpaid ................................................ Individ ual dep osits subject to c h e c k ................................................ 4.116 9k D em and certificates of d e p o s it ........................ T im e certificates of d e p o s it ....... 750 00 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s ................... 576 22 Due to sta te and p rivate banks and b a n k e r s .............................. N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T o ta l.............................................. $ 13,214 30 T otal ............................................. $ 13,214 30 Crestón. The Citizens State Bank. Charter No. 514. C. F. B uhm an.......................................P resid en t | H. P. B u h m a n .. C ash ier ST A T EM E N T, D E CEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 15,873 40 Overdrafts, secured and un se cured ................................................ 588 01 S to ck s, secu rities judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... O ther a sse ts ............................................................ B ankin g house, fu rn iture and fixtures ................................ 1,500 00 O ther real e s t a te .................................................... Current exp en ses and ta x e s paid 9 90 Prem iu m on U. S. and other bonds and s e c u r it ie s ....................................... C hecks and other cash it e m s ... . 21 35 Due from national, sta te and pri va te banks and bankers ........... 5.12545 T o ta l cash on h a n d .......................... 333 52 Capital stock paid in ...................... $ 6,000 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 106 27 D ividends u n p a id ............. ............................ Individ ual d ep osits subject to c h e c k ................................................. 11.420 41 D em and certificates of d ep osit . 175 00 T im e certificates of d e p o s it ....... 4.773 00* Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ Due to national banks ................................. Due to sta te and private banks and b a n k e r s ................................... 976 9.> N o tes and l*ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l.............................................. IB 23,451 63 T o ta l................................... ........... 8 23,451 63 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis EIGH TH 74 Crete. ANNUAL REPORT OF T H E The Crete State Bank. Charter No. 487. T . H. M iller — P resid en t C. B . A n d erson __ V ice-P resid en t C. B. G-oodell___C ashier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 89,610 63 O verdrafts, secured and u n se cured . .. ........................................ 344 89 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 247 57 9,000 00 B o n d s.................................................... O ther a s s e t s ............................................................. B ankin g house, furniture and fix tu r e s .................................................. 1,000 00 O ther real e s t a t e ............................................. C urrent ex p en ses and ta x es paid 32 22 P rem iu m on U. S. and other bonds and s e c u r itie s .................... 62 47 C hecks and other cash i t e m s __ 346 66 D u e from national, sta te and pri va te banks and b a n k e rs............. 31,009 53 T o ta l cash on h a n d .......................... 6,620 00 C apital stock paid in ..................... »25.000 00 Surplus f u n d ............................................................ 3,581 96 U ndivided p r o f it s .......................... D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................. 37,447 44 Dem and certificates of d e p o sit.. 63.508 95 T im e certificates of d e p o s it ....... 3,676 64 Certified check s ................................................... 3,989 00 C ashier’s checks ou tsta n d in g __ Due to national b a n k s ................................. . . . D ue to sta te and private banks and bankers .................................. 1,069 98 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l.............................................. »138,273 97 T o t a l ............................................. 1138,273 97 Culbertson. The Culbertson Bank. C harter No. 112. L. E. E isenh art, Geo. G. E ise n h a rt............................................................................................. P artn ers ST A T E M E N T . D E C E M B ER 2. 1899. L IA B IL IT IE S . C apital stock paid i n . .................... $ 7,500 00 Surplus fu n d ............................................................ U ndivided p r o f it s ......................... 658 17 D ividends u n p a id ............................................... Individ ual d ep osits subject to c h e c k ................................................. 13,528 Demand certificates of d e p o s it... 350 4,682 T im e certificates of d e p o sit......... Certified c h e c k s .................................................. C ashier’s checks ou tsta n d in g ........................ Due to national banks ......... 644 17 D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ...................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $27,362 87 Sgs RESO U R C E S. L oans and d isc o u n ts...................... »17.688 56 ■Overdrafts, secured and u n se 1.766 96 c u red .................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,400 00 B onds ...................................................... ................. Other a s s e t s ....................................... 101 30 B ankin g house, furniture and fixtures . 1,500 00 O th er real e s t a t e ............................... 1.000 00 -Current ex p en ses and ta x e s paid 508 4 1 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash ite m s ___». ................. D u e from national, sta te and p ri vate banks and b a n k e rs............. 1 19 T o ta l cash on h a n d .......................... 3.396 45 T otal $27,362 87 SECRETARY Curtis. OF T H E STATE B A N K IN G BOARD 75 The State Bank of Curtis. C harter No. 113. A.. R . C ruzen... P resid en t T. M. W im b erly .. .Cashier W. P . H o lm es.. . A s s t C ashier ST A T EM E N T, DECEM BER 2, 1899 RESO U R C E S. L IA B IL IT IE S . G oans and d isc o u n ts...................... $ 14,747 70 ■Overdrafts, secured and un sec u r e d ................................................. 246 69 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 642 02 B onds ................................................................. .. O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu r e s .................................................. 3,880 00 O ther real e s t a t e .............................. 4.502 97 •Current ex p en ses and ta x e s paid 2,464 37 Prem ium on C. S. and other bonds and s e c u r it ie s ................... ‘C hecks and other cash item s '__ D ue from national, sta te and pri va te banks and b a n k e r s .................................. T o ta l ca sh on h a n d ........................ 27,449 26 C apital sto.ck paid in ...................... $25,000 00 Surplus f u n d ..................................... 250 00 U ndivided p r o f it s ............................ 4,888 04 D ividends u n p a id ................................................... Individual d ep osits su b ject to c h e c k ................................................. 48,558 97 D em and certificates of deposit .. 3,665 00 T im e certifica tes of d e p o s it ....... 1,575 00 Certified ch eck s ........................ C ashier's checks o u tsta n d in g __ Due to national b a n k s ................... Due to sta te and p rivate banks and b a n k ers.................................... N o tes and b ills r e d isc o u n te d __ B ills payable .................................... T o t a l ................. , . ........................ $ 83,937 01 T o ta l............................................... $ 83.937 01 Curtis. The Farm ers State Bank. C harter No. 115. A. G . H agadorn..................................P resid en t j J. E . B oas ...1.............................................C ashier ST A T EM E N T. D E CEM BER 2, 1899. R E SO U RCES. L IA B IL IT IE S . Goans and d isc o u n ts...................... $ 58.413 00 •Overdrafts, secured and u n se c u red .................................................. 332 17 S to ck s, secu rities, judgm ents, claim s, e t c .................................... C apital stock paid in ...................... $15.000 00 Su rp lus f u n d ..................................... 3.000 00 U ndivided p r o f it s ............................ 977 83 D ividends u n paid..................................................... Individ ual d ep osits su b ject to c h e c k ................................................ 71,181 04 D em and certificates of d e p o s it........................ T im e certifica tes of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ..... ................... D ue to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills rediscounted ... B ills p a y a b le..................................... Bonds................................................ O ther a sse ts .................................... B anking house, furniture and fixtu r e s .................................................'. 3.666 31 O ther real e s t a te .............................. 3.899 99 Current exp en ses and ta x e s paid 449 07 P rem ium on U . S. and other bonds and s e c u r it ie s ......................................... C h eck s and other cash i t e m s ............................ D ue from national, sta te and p riv a te banks and b a n k e r s ............................ T o ta l cash on hand ......................... 23,398 33 $ 90,158 87 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 90,158 8: EIGH TH 76 Dakota City. ANNUAL REPORT OF T H E The Bank of D akota City. C harter No. 116. M. O. A yres O w ner ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... .$ 64.230 82 O verdrafts, secured and u n se cured .............................. ......................................... S tock s, secu rities, judgm ents, claim s, e t c ............... .............................................. B o n d s.......................................................................... Other a s s e ts ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 818 85 O ther real e s t a te .............................. 5,ono 00 Current ex p en ses and ta x e s paid 1,388 00 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... ' i - v «and n u uother m i c i ccash i t a l i it i i oe nmi as........................................ Checks ............................. D ue from national, sta te and priva te banks and b a n k ers............. 7.364 00 T otal cash on h a n d .......................... 2.813 33 T otal ............................................. $ 81,615 00 Danbury. C apital stock paid in ...................... Surplus fu n d ....................................... U ndivided p r o fits.............................. D ividends un p aid .............................. Individual d ep osits subject to c h e c k .................................................. Demand certificates of d e p o s it... T im e certificates of d e p o s it......... Certified c h e c k s ............................... C ashier's check s o u tsta n d in g __ Due to n ational b a n k s.................... D ue to sta te and private banks and b a n k ers................................... N o tes and b ills red iscoun ted........ B ills p a y a b le ................................... HO,000 00 2.284 00 22,635 OO 186 00 46,510 00 Total............................... t .............. I 81,615 00 Thu Bank of D anbury. C harter No. 117. B . E . A sh to n .. .P resid en t T. E . M cD onald.. .C ashier Clifford N aden. ..As? 't C ash ier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L oans and d isc o u n ts...................... $ 33,628 00 O verdrafts, secured and u n se cured ................................................. 152 61 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 694 23 B o n d s........................................................................... Other a s s e ts ....................................... 254 50 B ankin g house, furniture and fix tu r e s .................................................. 2.824 41 7 5 0 00 O ther real e s t a t e .............................. Current ex p en ses and ta x e s paid 1,950 54 P rem iu m on U. S. and other bonds and securi t i e s ......................................... C hecks and other cash ite m s __ 6.123 08 D ue from national, sta te and private banks and b a n k e rs__ 11,468 09 T o ta l cash on h a n d .......................... 6.067 33 T otal $ 63,912 79 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital sto ck paid in .............. Surplus f u n d ......... U ndivided profits D ividends unpaid Individ ual d ep osits subject to c h e c k ................................................ Demand certificates of dep osits. T im e certificates of d e p o s it......... Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ Due to national b a n k s ................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ...................................... T otal $ 12,000 001.0 0 0 0 0 2,741 23 36,405 73. 5,565 83 5.200 00- " l.ÓÓÓ Ò0$ 63,912 70 SECRETARY OF T H E STATE BAN K IN G BOARD. 77 # Dannebrog. The D annebrog State Bank. Charter N o. 118. ■C. C. H ansen ........................... P resid en t I P e te r J e p so n ....................... C ashier S . H a n se n ...................................V ice-P resid en t | H . P . P e te r so n ..................A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 51.593 00 O verdrafts, secured and u n se cured .................................................. 120 05 S to ck s, secu rities, judgm ents, claim s, e tc .............................................................. B onds ......................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and 4.050 00 fixtures ........................................... O th er real e s t a t e .................................................... C urrent ex p en ses and ta x e s paid. 1,439 01 Prem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s __ 1.057 39 D ue from national, sta te and pri va te banks and b a n k e rs............. 838 06 T o ta l cash on h a n d .......................... 2,352 95 T otal ............................................ $ 64,457 06 Capital sto ck paid in ...................... $ 10,000 00 • Surplus fund .................................. 15.000 00 5,265 42 U ndivided p r o fits.............. D ividends u n p a id .................................................... Individual d ep osits subject to 17,128 86 c h e c k .................................. D em and certificates of dep osit .. 6,792 78 T im e certificates of deposit . . . . 10,270 00 Certified c h e ck s...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s ................................. . . . . Due to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..... ................................ Davenport. T otal ............................................. 8 64,457 06 The Jennings State Bank. Charter No. 120. M. J en n in g s............................... P resid en t I W . H . J e n n in g s................C ashier A . W. J e n n in g s........................V ice-P resid en t | W . H . Jennings, J r ..........A ssista n t C ashier ST A T E M E N T , D EC E M B ER 2, 1899. L IA B IL IT IE S . Capital sto ck paid i n ....................... $15,000 5,500 Surplus fu n d ....................................... U ndivided p r o fits.............................. 810 D ividends u n p a id ............................................. . Individual d ep osits subject to c h e c k ................................................. 23.592 01 Dem and certificates of d e p o sit.. 5,307 07 T im e certificates of d e p o s it......... 4.421 27 Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to n ational b a n k s........................................... Due to sta te and private banks and b a n k ers................................... 428 24 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal ............................................. * 55,058 93 T o ta l............................................... $ 55,058 93 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis “ 88 R ESO U RCES. L o a n s and d isc o u n ts.................... $ 30.639 18 Overdrafts, secured and u n se cured .................................................. 211 78 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s......................................................................... O ther a s s e ts ............................................................. B anking house, furniture and f ix t u r e s ............................................. 3.500 00 O ther real e s t a te ............................... 400 00 ( ’urrent ex p en ses and ta x es paid 148 70 P rem iu m on U. S. and other bonds and s e c u r itie s ............................... — C hecks and other cash ite m s __ 33 09 D ue from national, sta te and pri va te banks and b a n k ers............. 18,36562 T o ta l cash on h a n d .......................... 1.760 56 EIG H TH 78 Dawson. ANNUAL REPORT OF T H E The Dawson Bank. Charter No. 121. M. B . R y a n ................................P resid en t ' [ M. R ile y .................................Cashier M. M c S w in e y ............................V ic e-P r e sid en t 1 D an J . R ile y ....................... A ssista n t C ashier ST A T E M E N T , D ECEM BER 2, 1899. RESO U R C E S. U IA B IL IT IK S L oans and d isc o u n ts............. .. $ 58,541 28 O verdrafts, secured and u n se c u red ............... ............................... . 110 32 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ........................................................................ Other a s s e t s ............................................................ B ankin g house, fu rn iture and fix t u r e s ................................................. 3,50000 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 803 58 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and oth er cash i t e m s __ 28 40 D ue from national, sta te and pri va te banks and b a n k e rs............. 10,287 97 T o ta l cash on h a n d .............................. 2,74894 T otal ............................................. $ 76,020 49 Daykin. C apital stock paid in ....................... $ 15,100 00Surplus fu n d ....................................... 5,000 00U ndivided p r o fits.............................. 1,911 47 D ividends u n p a id .............................. Individual dep osits subject to c h e c k ................................. ............... 42,586 92: Dem and certificates of d e p o s it... 4,750 56. T im e certificates of d e p o s it__ 6,671 52 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ D ue to national b a n k s........... ........ Due to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted __ B ills p a y a b le ..................................... T o t a l............................................... » 76,020 49 The Jefferson County Bank. Charter No. 122. John B. W r ig h t..P r esid e n t D . B . W e lp to n .. V ice-P resid en t F . B. W e lp to n . . C ash ier ST A T E M E N T , D E CEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 21,920 52 O verdrafts, secured and u n se cu red ....... ........................................... 130 53 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds .................................................... 300 00 O ther a s s e ts ....................................... 140 00 B anking house, fu rn iture and f ix t u r e s ............................................. 1,000 00 Other real e s t a t e ............................... ................. Current ex p en ses and ta x e s paid 517 26 P rem ium on U . S. and other bonds and se c u r itie s .................... 10 00 C hecks ond oth er cash ite m s .............................. D ue from national, sta te and pri v a te banks and b a n k ers.................................... T o ta l cash on h a n d .......................... 12,440 31 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 36,458 62 Capital sto ck paid in ....................... $10,000 00 Surplus fu n d ..................................... 1,600 (0 U ndivided p r o fits.............................. 1,246 16 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k .................................................. 14,405 57 Dem and certificates of d e p o s it. 3,12637 T im e certificates of d e p o sit......... 6,080 52 r ip r H fi n V i£»r>lrc C ashier’s check s outstan ding .. D ue to national hanks ............. D ue to sta te and private banks and b a n k e rs..................................... N o tes and b ills red iscou n ted __ B ills p a y a b le ..................................... T otal $ 36,458 62: SECRETARY DeWitt. OF T H E S T A T E BAN KIN G BOARD 79 The State Bank of DeW itt. C harter No. 485. T . H . M ille r .... P resid en t C. W . R ib b le .... V ice-P resid en t E . E . B u tle r . . . . C ashier ST A T EM E N T, DECEM BER 2. 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts......... •........... $42,421 24 O verdrafts, secured and u n se cu r ed .................................................. 31 18 S to ck s, secu rities, judgm ents, claim s, e t c ............................. 414 92 B o n d s ............................................. .......................... Other a s s e ts ....................................... 68 00 B ankin g house, fu rn iture and f ix t u r e s ............................................. 5,000 00 O ther real e s t a te .................................................... Current exp en ses and ta x es paid 20 tO P rem iu m on U. S. and other bonds and s e c u r it i e s .......................... .......... C hecks and oth er cash ite m s . . . . . 97188 Due from national, sta te and p r i v a te banks and bankei’s ............. 3,460 65 T ota l cash on h a n d .......................... 3,555 83 T o ta l............................................... $55,943 90 Diller. Capital stock paid in ...................... $15,000 00 Surplus fu n d ....................................... 1.000 00 U ndivided p r o fits.............................. 1,297 91 D ividends u n p aid .................................................... Individ ual dep osits subject to c h e c k ................................................. 20,872 57 D em and certificates of d e p o sit. .. 17,773 42 T im e certificates of d e p o sit......... Certified c h e c k s ................................ Cashier's check s outstan ding — D ue to national b a n k s..................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l ............................................. $55,943 90 The P eople’s State Bank. Charter No. 126. A . H. C olm an. . P resid en t I. M. R aym ond.. V ice-P resid en t P . W . P r ic e .. A ss ’t C ashier ST A T EM E N T, D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 60,834 86 Overdrafts, secured and u n se cured .................................................. 6 55 Stock s, secu rities, judgm ents, claim s, e t c ............................................................ B o n d s........................................................................... O ther a s s e t s ....................................... 184 25 B ankin g house, furniture and fix tu r es............................................. 9,377 29 Other real e s t a te .................................................... Current ex p en ses and ta x es paid 607 02 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s ............................ D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 12,797 26 T o ta l cash on h a n d ............. ........... 3,807 95 $ 87,615 18 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital sto ck paid i n ...................... $ 30,000 00 Surplus fu n d ..................................... 3.950 00 U ndivided p ro fits........ 2,134 86 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ...................... 32,329 39 D em and certificates of d e p o s it. .. 791 23 18,409 70 T im e certificates of d e p o s it......... Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T otal $ 87,615 18 So EIG H TH Dixon. ANNUAL REPORT OF T H E The Dixon Bank. C harter No. 127. T . F . Clark, C S tim s o n ....................................................................................................................P artn ers ST A T EM E N T, D E CEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 37,001 33 Overdrafts, secured and un se cured ................................................. 631 40 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... O ther a s s e ts .............................................................. B ankin g house, furniture and fix tu r e s ............................................. 1,900 00 Other real e s t a te .............................. 3,681 86 C urrent exp en ses and ta x es paid 1,456 38 Prem iu m on U. S. and other bonds and s e c u r i t i e s ........................ .............. C hecks and other cash ite m s ............................ D ue from national, sta te and p ri va te banks and b a n k e r s ........... 105 70 T o ta l cash on h a n d .......................... 1.619 75 T o t a l ............................................. $ 46.399 42 Dodge. C apital sto ck paid in ...................... $ 10,000 00 Surplus f u n d .......................................... 1,00000 U ndivided p r o fits.................................................. D ividends unpaid ................................ 1,83981 Individual dep osits subject to c h e c k .... 15,316 20 D em and certificates of d e p o s it........................ T im e certificates of d e p o s it....... 16,864 54 Certified c h e c k s. . . 1.............................. ................ C ashier’s checks ou tsta n d in g ............................ D ue to national b a n k s ....................... 1,37887 Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ........................... B ills p a y a b le ................................................ ........... T o t a l ............................................. $ 46,399 42 The Farm ers’ State Bank. Charter No. 128. E dw in P e r so n ............................P resid en t I H erm an H O lsten..................Cashier Jo sep h Brodhun ...................... V ice-P resid en t ( L . F . C randall.....................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $165,210 51 O verdrafts, secured and u n se cured ................................................. 3,234 58 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e t s ............................................................. Banking house, fu rn iture and fix tu r e s ............................................. 4,180 09 Other real e s t a t e ..................................................... <'urrent ex p en ses and ta x es paid 5,580 62 P rem ium on U . S. and other bonds and s e c u r itie s ............. ............................ C hecks and other cash ite m s . . 882 45 D ue from national, sta te and pri vate banks and bankers ........... 19,737 00 T otal cash on h a n d .......................... 9.897 25 C apital stock paid i n ...................... $30,000 00 Surplus fu n d ..................................... 6.000 00 U ndivided p r o fits............................ 17,121 23 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k ................................................. 50,185 95 Dem and certificates of d e p o s it........................ T im e certificates of d e p o sit__ _ 105,415 32 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ......... .......................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $208,722 50 T otal $208,722 50 SECRETARY Doniphan. OF T H E STATE BA N KIN G BOARD. 81 The B ank of D oniphan. Charter No. 129. C. F. B e n t le y ............... .................... P resid en t | John S c h w y n .............................................. Cashier ST A T E M E N T . D EC E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts.......................8 38,667 14 O verdrafts, secured and u n se cured ................................................ 228 41 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds .............................................. .......................... O ther a s s e t s ............................................................. B ankin g house, fu rn iture and fixtures ......................................... 4,000 00 O ther real esta te ................................................ Current ex p en ses and ta x e s paid 289 70 P rem iu m on U. S. and other bonds and s e c u r it i e s ............... C hecks and other cash it e m s ....... D ue from national, sta te and pri v a te banks and b a n k e rs............. 11,671 75 T o ta l cash on h a n d ........................ 2,847 51 CaDital stock paid in ...................... $ 12.500 00 7,500 00 Surplus fu n d ..................................... U ndivided p r o fits ............................ 361 78 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ............................................ 11.728 81 Demand certificates of d e p o s it. .. 7,750 40 T im e certificates of d e p o s it....... 17,863 55 Certified c h e c k s...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k ers................................... N otes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T o ta l.............................................. Dorchester. * 57,704 54 T o t a l ........... ................................. $ 57,704 54 The Dorchester State Bank. Charter No. 130. J a m es H C lark. . P resid en t W. P. T h om p son ,V ice-P resid en t A. B. K e n y o n .. .C ashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U R C E S. L oan s and d isc o u n ts...................... 8 60,461 73 O verdrafts, secured and u n se cured ................................................ 44 45 S to ck s, secu rities, judgm ents, ................. claim s, e t c ....................................... B o n d s.................................................... 1,960 00 O ther a s s e ts ............................................................. B ankin g house, fu rn iture and fixtures ........................................... 6,286 23 O ther real e s t a t e ............................................. . C urrent ex p en ses and ta x es paid 1,756 74 P rem iu m on IT. S. and other bonds and s e c u r itie s .................... • • ............. C hecks and oth er cash i t e m s ............................ Due from national, sta te and pri v a te banks and b a n k e rs........... 47,697 37 T o ta l cash on h a n d .......................... 4,486 99 T o ta l............................................... 8122,493 51 6 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid in ...................... 825,000 00 9,367 70 Surplus fu n d ....................................... 3,507 25 U ndivided p r o fits............. .............. D ividends u n p a id ............................ Individual dep osits su b ject to check ........................................... 40,358 77 Demand certificates of d e p o s it.. 44,259 79 T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g __ D ue to national b a n k s ................... Due to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o t a l ............................................. 8122,493 51 82 EIG H TH Douglas. ANNUAL REPORT OF T H E The Bank of Douglas. C harter No. 131. O. H o rn e............. P i'esident E. R. H a a s............. V ice-P resid en t Chas. M a rsh all..C ash ier ST A T E M E N T , D EC E M B ER 2, 1899. R E SO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 64,408 96 O verdrafts, secured and u n se cured ................................................. 867 65 S tock s, secu rities, judgm ents, claim s, e t c ........................................................ B o n d s........................................................................... Other a s s e ts ........... ........................ 92 43 B ankin g house, fu rn iture and fixtures ........................................... 3,194 10 O ther real e s t a t e ............... 2,942 38 Current ex p en ses and ta x e s paid 750 20 P rem iu m on U . S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s __ 9 69 D ue from national, sta te and pri va te banks and b a n k e rs............. 3,236 20 2,892 13 T o ta l cash on h a n d .......................... C apital stock paid i n ...................... $ 20,000 00 Surplus fund ..................................... 2,355 00 U ndivided p r o fits............................ 2,043 99 D ividends unpaid ......... ....................................... Individual dep osits su b ject to c h e c k ................................................ 42,552 76 D em and certificates of d e p o sit.. 1.338 50 T im e certificates of d e p o s it........ 3,834 20 Certified c h e c k s ..................................................... C ashier's checks ou tsta n d in g ........................ .. D ue tò na tion al b a n k s.......................... ............. D ue to sta te and private banks and b a n k ers................................... 1.269 29 N o te s and b ills red isco u n ted ............................ B ills p a y a b le ............... ..................... 5,000 00 T o t a l............................................. $ 78,393 74 T o t a l ............................................. * 78.393 74 DuBois. The State B ank of DuBois. Charter No. 132. D avid R em ick .. ..P r e sid e n t W . B. B u ll....... V ice-P resid en t H. A. B u ll..............C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 44,142 92 O verdrafts, secured and u n se cured ................................................. 194 47 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 156 47 Bonds ................................................................... ... O ther a s se ts .......................................................... B anking house, fu rn iture and fix t u r e s ......... . . . . i . . . .................... 2,200 00 O ther real e s t a t e ............................. ................. Current ex p en ses and ta x es paid 585 91 P rem iu m on U. S. and oth er bonds and s e c u r it i e s ......................................... C hecks and oth er cash item s . . 85 D ue from national, sta te and pri va te banks and b a n k ers............. 11,805 79 T o ta l cash on h a n d .......................... 4.051 74 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 63,138 15 C apital stock paid i n ..................... $ 15,000 00 2,25000 Surplus f u n d ......................................... U ndivided p r o fits................................. 1.48892 D ividends u n p a id .................................................. Individ ual dep osits subject to 34,299 58 c h e c k ................................................ Dem and certificates of dep osit .. 10,099 65 T im e certificates of d e p o sit................................ Certified c h e c k s ..................................................... C ashier’s check s o u tstan d in g............................ D ue to na tion al b a n k s................................... D ue to sta te and private banks and b a n k e r s ............................... .. N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... T otal % 63,138 15 SECRETARY Dunbar. OF T H E STATE BAN KIN G BOARD 83 The D unbar State Bank. Charter No. 133. H enry W. K r u se.. P resid en t H a n s P . A nderson.. V ice-P res. Thom as Murray ..C a sh ier ST A T E M E N T . D E CE M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ....................... I 94,194 51 O verdrafts, secured and u n se c u red .................................................. 1,232 43 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... 100 00 Other a s s e t s ....................................... B ankin g house, furniture and fix tu r e s ............................................. 1.500 00 O ther real e s t a t e ............................. « ....... .. Current ex p en ses and ta x e s paid 700 05 P rem iu m on U. S. and other bonds and se c u r itie s ........................................... C hecks and other cash ite m s .............................. D ue from national, sta te and pri 9,004 40 vate banks and b a n k ers............. T ota l cash on h a n d ........... ............ 6.612 68 Capita] sto ck paid i n ...................... $ 10.000 00 Surplus fu n d .................. 3^500 00 3,490 35 U ndivided p r o fits............................ D ividends un p aid .................................................... in d iv id u a l d ep osits su b ject to c h e c k ................................................. 51,120 67 Dem and certificates of d e p o s it. .. 1,025 00 T im e certificates of d e p o s it......... 44,808 05 Certified c H e ck s................................ C ashier’s check s o u tsta n d in g __ Due to national b a n k s ..... ............. D ue to sta te and private banks and bankers . . . ............................ N o tes and b ills red iscou n ted ....... B ills p a y a b le ..... ................................ T o ta l............................................... $113,944 07 Eagle. T o ta l.............................................. $113,944 0 The Bank of Eagle. Charter No. 134. J. Q. Adam s P resid en t | A. C. Adam s C ashier ST A T EM E N T, D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d iscounts ...................... $ 36,534 49 O verdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu res ........................................... 3,210 66 Other real e s t a t e .............................. 1,200 00 Current ex p en ses and ta x e s paid ' ................. P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... Checks and other cash i t e m s ___ 116 75 D ue from national, sta te and p ri v a te banks and b a n k ers............. 3,325 76 T ota l cash on h a n d .......................... 2,921 32 C apital stock paid i n ...................... $ 10,000 00 Surplus fu n d ................................... 500 00 U ndivided p r o f it s ............................ 1,693 15 D ividends u n p aid ..................................................... Individual d ep osits subject to 11,158 77 c h e c k ................................................ Dem and certificates of d e p o sit.. 6,050 06 T im e certifica tes of d e p o s it......... 11,907 00 Certified c h e c k s ............................................... ....... C ashier's check s o u tsta n d in g ............................ D ue to n ational b a n k s ........................................ D ue to sta te and p rivate banks and b a n k e r s .................................... ................. N o tes and b ills r e d isc o u n te d ...... ................. B ills p a y a b le ...................................... 6,000 00 T o ta l............................................... $ 47,308 98 T o ta l............................................... $ 47,308 98 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 84 EIG H TH Edgar. ANNUAL REPORT OF T H E The State B ank of Edgar. C harter N o. 130. I. V, H ow ard......................................... P resid en t | E zra E. H ow ard ...................................... C ashier ST A T E M E N T . D E CEM BER 2, li-99. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts................. $ 39,032 09 Overdrafts, secured and u n se cured .................................................. 927 26 S tock s, secu rities, judgm ents, claim s, e t c ............................. 659 33 Bonds .................................................. 1,800 00 Other a s s e t s ............................. 6,820 00 B ankin g house, fu rn iture and fix t u r e s ......................................... ■*.. 3,000 00 Other real e s t a te .............................. (5.000 00 Current ex p en ses and ta x es paid 13,132 41 P rem iu m on U. S. and other 18 00 bonds and s e c u r it ie s ......... C hecks and oth er cash it e m s .... 83198 D ue from national, sta te and p r i v a te banks and h a n k e rs............. 4,16137 T otal cash on h a n d ................ 5,029 73 T o ta l............................................. 9 81,412 17 Edgar. C apital stock paid i n .................... $ 15,000 00 Surplus fu n d ........................................... . . U ndivided p r o fits............................ 13,363 13 D ividends u n p a id ............................................ . Individ ual dep osits subject to c h e c k ................................................ 33.214,69 Dem and certificates of d e p o sit.. 13,334 35 T im e certificates of d e p o s it....... 4,000 00 Certified c h e c k s ...................................................... C ash ieF s check s o u tsta n d in g ............................ Due to n a tio n a l b a n k s .................. ................. D ue to sta te and p rivate b an k s and b a n k e r s ........................................................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............... ...................... 2,500 00 T o ta l............................................... * 81.412 17 The Clay County Bank. C harter No. 137. P artn ers H. W. S to u t and C. A. V oorhees ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 10,000 5,000 4.362 : ÍÍ8S C apital stock paid i n ...................... Surplus fund .................................... U ndivided p r o f it s ............................ D ividends unpaid .......................... Individ ual dep osits subject to check ................................................. D em and certificates of deposit .. T im e certificates of d e p o sit.......... C ertified c h e c k s ................................ C ashier's checks outstan ding — D ue to »ation al b a n k s .................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills payable ...................................... 49,845 9,250 2,149 8^8 RESO U RCES. L oans and d is c o u n ts ...................... $ 42,571 65 Overdrafts, secured and u n se cu red .................................................. 455 09 Stock s, secu rities, judgm ents, claim s, e t c ............. ................................................ B o n d s........................................................................... Other a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu res ............. ............................. 2.331 97 O ther real e s t a t e .............................. 3,300 00 Current exp en ses and ta x e s paid 3,386 71 P rem iu m on U. S. and other bonds and secu rities ........................ .............. C hecks and other cash item s ... D ue from national, sta te and p riv a te banks and b a n k e r s __ 21.981 14 T o ta l cash on h a n d .......................... 6.580 53 $ 80,607 09 T otal * 80.607 09 SECRETARY Elgin. OF T H E STATE B A N K IN G BOARD, 85 The Elgin State Bank. Charter No. 139. M. L S e y m o u r ........................ V ice-P resid en t | Geo. N. S ey m o u r...................................... C ashier ST A T E M E N T . D EC E M B ER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 69,834 87 O verdrafts, secured and u n se cu red ................................................... 363 63 S tock s, secu rities, judgm ents, claim s,* e t c ....................................... 1,000 00 B o n d s........................................................................... O ther a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ................................................. 3,85000 O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid 60_08 P rem iu m on U. S. and oth er bonds and s e c u r it ie s ......................................... C hecks and other cash item s . . . 20 65 D ue from national, sta te and private banks and b a n k e r s __ 12,510 28 T otal cash on h a n d .............................. 4,92162 T o ta l............................................... S 92,561 13 Elgin. C apital sto ck paid in ....................... $ 25,000 00 800 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 213,83 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 40,716 01 D em and certificates of dep osit .. 2,574 24 T im e certificates of deposit ....... 23,257 05 Certified c h e c k s ............... ............. C ashier’s checks outstan ding ... D ue to n ational b a n k s ................... Due to sta te and private banks and bankers .................................. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l............................................... I 92,561 13 The B ank of Elgin. Charter No. 140. T. P. M em m inger. .P r esid e n t C. B. B u rrow s.. V ice-P resid en t E. C. M illio n .. ..C ash ier ST A T E M E N T . D E C E M B ER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 56,426 55 O verdrafts, secured and u n se cured ................................................ 1,538 73 S to ck s, secu rities, judgm ents, claim s, e t c .......................... .................................. Bonds ......................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and f ix t u r e s ............................................. 2,100 00 O ther real e s t a te ............................... 500 00 Current ex p en ses and ta x e s paid 304 35 P rem iu m on U. S. and oth er bonds and s e c u r itie s .................... ................. C hecks and oth er cash ite m s ....... 92 01 D ue from national, sta te and pri v a te banks and b a n k e rs............. 3,312 00 T otal cash on h a n d .......................... 3,010 97 C apital stock paid in ...................... $ 12,000 00 Surplus f u n d ................................... 2,000 00 U ndivided p r o f it s ............................ 1,567 58 D ividends u n p a id .................................................. Individual d ep osits su b ject to c h e c k ..................................................... 18.67758 Dem and certificates of d e p o sit.. 8,737 05 T im e certificates of d e p o s it......... 24,302 40 Certified c h e c k s .. .......................... C ashier’s check s o u tsta n d in g __ D ue to national b a n k s ................... D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted . . . . . B ills p a y a b le ..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 67,284 61 T otal * 67,284 61 86 EIGH TH Elk Creek. The State Bank of E lk Greek. ANNUAE REPORT OF T H E C harter No. 141. J. S. S n e th e n . . . . P resid en t F rank S n eth e n .. ..C ash ier Ira T. M cC lure.. A ss ’t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d is c o u n t s ...................... $ 38,387 93 O verdrafts, secured and u n se cu red .................................................. 102 94 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... O ther a s s e t s ....................................... 42 77 B ankin g house, furniture and f ix t u r e s ............................................. 2,500 00 Other real e s t a t e ................................................... Current ex p en ses and ta x e s paid 534 45 P rem iu m on U . S. and other bonds and s e c u r it i e s ......................................... Checks and other cash i t e m s ........................... D ue from national, sta te and p r i v a te banks and b a n k e rs........... 17.044 77 T o ta l cash on h a n d .......................... 3,544 85 T o ta l............................................... * 02,157 71 Elkhorn. C apital stock paid i n ...................... $ 10,000 00 Surplus fu n d ................ 5,000 00 U ndivided p r o fits ................................. 5,38695 D ividends u n p a id ............... ..................................... Individ ual d ep o sits subject to * 15,660 91 c h e c k .................. Dem and certificates ofd e p o s it.. 18,457 15 T im e certificates of d e p o s it....... 7,652 70 Certified c h e c k s ................................................... .'. C ashier’s check s o u tsta n d in g ....................... . D ue to na tion al b a n k s .................................... Due to sta te and p rivate ban ks and b a n k e rs................................... N o te s and b ills r ed isco u n ted __ B ills p a y a b le ...................................... T o t a l . . . . . . ................................... $ 62,157 71 The State B ank of E lkhorn. Charter No, 142. J. M. B ru n n er.................. .................... P resid en t | B. B. B a ld w in ............................................ C ashier ST A T E M E N T , D E C E M B ER 2. 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... $ 38,147 41 O verdrafts, secured and u n se cu r ed .................................................. 7 71 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s .................................................... O ther a s s e t s ......... . ....................... B ankin g house, fu rn iture and fixtures ........................................... 2.171 35 O ther rea l e s t a t e .................................................... Current e x p en ses and ta x es paid 3,149 29 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s __ 124 40 D ue from national, sta te and p ri va te ban ks and b a n k e r s ........... 32,922 84 T o ta l cash on h a n d .......................... 1,989 06 * 78,512 06 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... $ 20,000 00 Surplus f u n d ..................................... 198 24 U ndivided p r o f it s ............................ 3,181 80 D ividends u n p a id ................................................... Individ ual d ep osits su b ject to c h e c k ..... 41.951 24 D em and certificates of d e p o s it.. 12.702 02 T im e certificates of d e p o s it.......... 478 76 Certified ch eck s ................................................. C ashier’s ch eck s o u tsta n d in g ...... ................. D ue to national b a n k s ....................................... D ue to sta te and p rivate banks and bankers .................................. N o tes and b ills red iscou n ted ........ B ills p a y a b le ...................................... T otal $ 78,512 06 SECRETARY Elm Creek. OF T H E STATE BAN KIN G BOARD. 81 The F armers and Merchants Bank. C harter No. 143. B. H. G o c d e ll... .P resid en t T. G. S p en cer.. V ice-P resid en t L. G. M ack en zie..C ashier ST A T EM E N T. DECEM BER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oan s and d isc o u n ts...................... $ 15,771 99 O verdrafts, secured and u n se cured .................................................. 502 98 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ................................................... 1,500 00 O ther a s s e t s ............................................................ B ankin g house, furniture and fixtures ........................................... 821 65 O ther real e s t a t e .............................. 600 00 C urrent ex p en ses and ta x es paid 2,935 93 Prem ium on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er ca sh ite m s __ 92 16 D ue from national, sta te and pri 1,093 40 vate banks and b a n k ers............. T ota l cash on h a n d .......................... 1,984 96 Capital sto ck paid i n ...................... 8 12,500 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 7,011 39 D ividends u n p a id ..... .................................. Individual d ep osits subject to c h e c k ................................................ 3.081 98 D em and certificates of d e p o sit.. 1 , 0 1 0 00 T im e certifica tes ofd e p o s it.......... 1,700 00 Certified checks .............................. C ashier's check s o u tsta n d in g __ Due to n ational b a n k s ................... Due to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o ta l............................................... f 25,303 37 T otal ............................................ $ 25,303 37 Elm Creek. The F irst Bank. C harter No. 528. Wm. G a s lin ........... P resid en t J. L. T o u t..............V ice-P res. J.. M. F o r r is ta ll........ C ashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 14,245 35 O verdrafts, secured and u n se cured ..................................................................... S to ck s, secu rities, judgm enis. claim s, e t c ............................................................. B o n d s ........................................................................... O ther a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s .................................................................. O ther real e s t a t e .................................................... Current ex p en ses and ta x e s ........ 990 28 P rem iu m on U. S and other bonds and s e c u r it i e s ......................................... C hecks and o th er ca sh it e m s ............................ D ue from national, sta te and p riv a te banks and bankers . . . . 5.839 07 T o ta l cash on h a n d .......................... 2.824 31 C apital sto ck paid in ...................... 8 5.000 00 Surplus fund ........................................................ U ndivided p r o f it s ........... 1,260 61 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................ 12.478 45 Dem and certificates of deposit .. 1,459 95 T im e certifica tes of deposit . . . . 3,700 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 23,899 01 T otal 8 23.899 01 88 EIG H TH Elmwood. ANNUAL R E P O R T OF T H E The American Exchange Bank. C harter No. 145. E. A. S to p h e r .......................... P resid en t I W. S. W a te r s..........................C ashier R obt. M etlen ..............................V ice-P resid en t | J. S. S t o p h e r ......................... A ssista n t C ash ier ST A T EM E N T, D E CE M B ER 2. 1899. I .I A B I L I T I E S . R E SO U R C E S. L oans and d isc o u n ts...................... I 72,111 42 O verdrafts, secured and u n se cured .................... ............................ 2,134 50 S to ck s, sec u r ities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... O ther a s s e ts .............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 8,170 34 O ther real esta te ............................................. Current ex p en ses and ta x es paid 549 33 P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash ite m s . 475 03 D ue from national, sta te and private banks and b a n k e r s ............................ T o ta l cash on h a n d .......................... 11.122 42 T o ta l............................................... $ 94,566 04 Elmwood. C apital sto ck paid i n ...................... $ 25.300 00 Surplus f u n d ............................................................ U ndivided profits . ........................ 3,910 28 D ividends u n p a id .............................................. in d iv id u a l d ep osits subject to c h e c k ................................................ 20,211 30 D em and certificates of deposit .. 8,063 35 T im e certificates of d e p o s it......... 32,081 11 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ........................................... Due to sta te and private banks and bankers ......................................................... N o tes and b ills red iscou n ted .............................. B ills payable . .. .............................. 5,000 00 T o ta l...................... '....................... * 94.586 04 The Bank of Elmwood. C harter No. 518. E d w in J e a r y .. .P r esid e n t • S. S. J o h n so n . . V ic e-P r e s. Floyd L. W oolcott. A ss'tC a sh ier ST A T EM E N T, D E CEM BER 2, 1899. R E SO U R C ES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 39,741 75 O verdrafts, secured and u n se cured ................................................ 2,647 10 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. Bonds ......................................................................... Other a sse ts ...................................................... B ankin g house, furniture and fix t u r e s ............................................. 110 25 O ther real e s t a t e .................... .......................... Current exp en ses and ta x es paid 1,401 40 P rem iu m on U. S. and other bonds and s e c u r it ie s ..................................... C hecks and other cash ite m s ....... 226 72 D ue from national, sta te and p ri va te banks and b a n k e r s ........... 5,123 90 T o ta l cash on hand ........................ 1.447 15 * 50.698 27 T otal C a p ita l.................................................. $ 5,000 01> Surplus f u n d ............................................................ U ndivided profits ............................ 3,156 55 D ividends unpaid.............................. Individ ual d ep osits subject to c h e c k ................................................. 18,165 98 D em and certificates of deposit .. 8,040 26 T im e certificates of d e p o s it......... 16,335 48 Certified c h e c k s ................................ C ashier’s checks o u tsta n d in g __ D ue to national b a n k s ................... D ue to sta te and private banks and b a n k e r s ........................ . . . N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal I 50.698 27 SECRETARY Elwood. OF T H E STATE BAN K IN G BOARD, 89 The State Bank of Elwood. Charter No. 147. Jno. M. R a g a n ...........................P resid en t I E. S h a lle n b e r g e r .............. Cashier R. G. K ir b y .................................V ic e-P r e sid en t | W . L. T ild e n ........................A ssista n t C ashier ST A T E M E N T , D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 54,666 60 O verdrafts, secured and u n se c u red .................... , ........................... 176 05 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 1,637 17 B o n d s......................................................................... O ther a s s e ts ....................................... 157 74 B anking house, furniture and f ix t u r e s ............................................ 2,800 00 O ther real e sta te ........................... 4.170 84 Current ex p en ses and ta x e s paid 238 85 P rem iu m s on U. S. and other bonds and secu rities .................................. C hecks and other cash item s .. ...................... D ue from national, sta te and p ri va te banks and b a n k e rs............. 8,88617 4,341 82 T o ta l cash on h a n d .......................... C apital stock paid in ....................... $ 20,000 00 2,000 00 Surplus f u n d ................................. U ndivided p r o f it s ............................ 1,288 82 D ividends unpaid ................................................ Individ ual dep osits subject to c h e c k ................................................ 34,651 83 D em and certificates of deposit .. 10.316 20 T im e certificates of d e p o s it ......... 8.818 39 Certified c h e c k s ...................... ............................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ ’B ills p a y a b le ........................................... . .......... T o ta l............................................... $ 77,075 24 T o ta l.............................................. $ 77,075 24 Emerson. The Farm ers State Bank. Charter No. 149. F red B lu m e ......... P resid en t A. A. D a v is .......... V ic e-P r e sid en t Geo. H. H a a se..C a sh ie r ST A T EM E N T. D E CEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 59,044 97 O verdrafts, secured and u n se 569 45 cured .............................. ,....* ......... S to ck s, secu rities judgm ents, claim s, e t c ....................................... 658 74 B o n d s ........................................................................... O ther a s se ts ..................................... 126 50 B ankin g house, fu rn iture and fixtures ........................................... 5,000 00 O ther real e s t a te .............................. 860 85 Current ex p en ses and ta x es paid 751 43 P rem iu m on U . S. and other bonds and s e c u r it ie s ................................. C hecks and other cash ite m s . . . . 99 65 D ue from national, sta te and pri v a te banks and bankers ........... 6,279 53 T o ta l cash on h a n d .......................... 5.217 01 C apital stock paid in ...................... 8 20,000 00 1,000 00 Surplus f u n d ..................................... 2,412 95 U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individ ual dep osits subject to 27.654 04 check ................................................. 5,204 54 D em and certificates of deposit . 22,336 60 T im e certificates of d e p o s it ....... Certified c h e c k s ................................ C ashier’s checks o u tsta n d in g ---D ue to national banks ......... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 78.608 13 T otal $ 78,608 13 9o EIG H TH ANNUAL REPORT OF TH E Emerson. The German-American Bank. Charter No. 150. J . J. M cC a rth y ..P resid en t John H a n sen .. V ice-P resid en t H. F. M o sem a n .. .C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 44,316 76 O verdrafts, secured and u n se cured ................................................ 1,299 86 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e t s .............................................................. B anking house, furniture and fix tu r e s ....................................................... 5,00000 O th er real e s t a t e ............................................. C urrent ex p en ses and ta x es paid 613 45 P rem ium on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash i t e m s __ 1,031 07 D ue from national, sta te and pri v a te hanks and b a n k e rs............. 13,788 45 T o ta l cash on han d ............................... 2,06744 T o ta l................................... . ......... $ 68.177 03 Eustis. C apital sto ck paid in .................... $15.000 00 2,550 00 Surplus f u n d ........... .......................... U ndivided p r o f it s .......................... 1,318 15 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to 25,275 55 c h e c k ......................................... . . . D em and certificates of d e p o s it........................ T im e certificates of d e p o s it ....... 24,033 33 Certified ch eck s .............................. C ashier’s check s ou tsta n d in g __ Due to national b a n k s ................. D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le .......................... ........ T o t a l .................................. ........... $ 68,177 03 The Farmers State Bank. Charter No. 151. F . B. G ilm o re........................... P resid en t J . W . M cIntosh, J r ................. V ice-P resid en t . E. P D u n la p ....................... Cashier | H. C. D u n la p ........................A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts........................ $ 44,199 02 O verdrafts, secured and u n se cured .............. 809 52 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ....................................................................... O th er a s s e t s ..... ................................. 82 04 B ankin g house, furniture and fixtures ........................................... 1,340 00 O ther real e s t a t e ............................... 2.997 67 C urrent ex p en ses and ta x e s paid 608 93 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash ite m s .............................. D ue from national, sta te and p ri va te banks and b a n k e rs............. 4,048 13 T o ta l cash on h a n d ........... .............. 2,304 77 Capital sto ck paid i n . ., ............... $ 11,00)00 Surplus fu n d ..................................... 1,700 00 U ndivided p r o fits............................ 1,609 71 D ividends unpaid .................................................. Individ ual d ep osits subject to c h e c k ................................................. 28,479 94 Demand certificates of d e p o s it... 8,858 99 T im e certificates of d e p o s it................................ Certified c h e c k s .............................. . ................. C ashier’s check s ou tsta n d in g ............................ Due to national b a n k s ........................................... D ue to sta te and p rivate banks and b a n k e r s................................... 41 44 N otes and b ills r e d isc o u n te d __ 4,700 00 B ills payab le ......................................................... T otal ............................................. $ 56,390 08 T otal ............................................. $ 56,390 08 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETARY Exeter. OF T H E STATE BAN KIN G BOARD 91 W allace & Co., Bankers. C harter No. 480. R obert W a lla ce. ..P r e sid e n t Wm. H. W a lla c e ..C a sh ier A. P. R o g e r s ... A ss ’t C ashier ST A T E M E N T , D E C E M B ER 2, 1890 L IA B IL IT IE S . R E SO U R C E S. L oans and d is c o u n ts ..................... $ 35,576 87 O verdrafts, secured and u n se cured ................................................ ................. S to ck s, secu rities, judgm ents. claim s, e t c ............................ .. . ................. B o n d s....................................... ................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fix tu res .................... ............................. 5,000 00 Other real e s t a t e .................... .............................. Current exp en ses and ta x es paid 1,543 71 Prem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s __ 993 20 D ue from national, sta te and pri v a te banks and b a n k e r s ......... .. 40,437 72 T o ta l cash on h a n d ........................ 4,611 28 T o t a l . . , ....................................... $ 88,162 78 Fairbury. C apital sto ck paid i n ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individual d ep osits subject to c h e c k .................... ...... .......... Demand certificates of dep osit .. T im e certificates of d e p o s it ........ Certified check s ........................ C ashier’s check s o u tsta n d in g __ Due to national b a n k s ................... Due to sta te and p rivate banks and b a n k e rs................................... N o tes and b ills r e d isc o u n te d __ B ills payable .................................... $15,000 00 2.000 00 4,725 97 58,038 16 8,398 65 T o ta l............................................... $ 88,162 78 The H arbine Bank. C harter No. 153. G. W , H a n se n ........................... P resid en t L. W. E ld rid g e..........................V ic e-P r e sid en t I H. T. H o le .............................C ashier | L. M. N e ls o n .......................A ssista n t Cashier ST A T E M E N T , DECEM BER 2, 1899. L IA B IL IT IE S . R ESO U RCES. L oans and d isc o u n ts...............*__ $238,321 66 Overdrafts, secured and u n se cu red .................................................. 612 33 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s .......................................................................... O ther a sse ts ................... ....................................... B ankin g house, furniture and fix tu r e s .................................................. 2.000 00 O ther real e s t a te .............................. 8.547 99 Current ex p en ses and ta x e s paid 892 02 P rem ium on U . S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and p riv a te banks and b a n k e r s __ 107,318 92 T o ta l cash on h a n d ........................ 13.570 64 $371,263 56 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital stock paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends un paid.............................. Individ ual d ep osits subject to check ................................................ D em and certificates of d e p o s it.. T im e certificates of d e p o s it ....... Certified c h e c k s............................ C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills rediscounted ... B ills p a y a b le..................................... T otal $40,000 40,000 5,000 5,160 00 00 00 95 153,074 01 104,017 22 24,011 38 $371,263 56 EIG H TH 92 Fairbury. ANNUAL REPORT OF T H E The Goodrich Bros. Banking Co. Charter No. 154. E. E. Goodrich ...................... P resid en t P. H . G oodrich......................... V ic e-P r e sid en t ¡ L. W. G oodrich ................... C ashier | E. K. A l l e n ...........................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s .......................$161,248 74 O verdrafts, secured and u n se cured ................................................. 452 47 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e ts ........... « ............................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 2,072 89 O ther real e s t a te .............................. 5,853 60 Current ex p en ses and ta x e s paid 1,297 86 P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash item s . . D ue from national, sta te and pri va te banks and b a n k ers............. 15.482 06 T otal cash on h a n d .......................... 16,361 55 C apital stock paid in ...................... $58,600 00 Surplus fu n d ....................................... 15,832 OO U ndivided p r o fits.............................. 6,926 00 D ividends u n p aid .................................................... Individual d ep osits subject to c h e c k .................................................. 68,576 58 Demand certificates of d e p o s it ... 37,512 55 T im e certificates of d e p o s it.......................... Certified c h e c k s ....... .............................................. C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s..................... 292 8T D ue to sta te and private banks 9.039 17 and b a n k ers................................... N o tes and b ills red iscoun ted.............................. B ills p a y a b le ................................... 6.000 OO T o ta l ............................................. $202,769 17 T o ta l............................................... $202,769 17 Fairbury. The Fairbury Savings Bank. C harter No. 155. E. E. G oodrich .P r esid e n t Jos. S a rb a ch .. V ice-P res. L. W .G o o d r ich ..S e c. and Treats. ST A T E M E N T , D EC E M B ER 2, 1899. RESO U R C E S. l ia b il it ie s L oans and d isc o u n ts...................... $ 29,170 82 O verdrafts, secured and u n se cured ........................................................................ S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s.................................................... 600 00 Other a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu r e s .................................................. 411 40 Other real e s t a t e .............................. 1,202 40 C urrent ex p en ses and ta x e s paid ............... P rem iu m on U. S. and other bonds and s e c u r it i e s ................... C hecks and oth er cash ite m s __ D ue from national, sta te and p riv a te banks and b a n k e rs__ 4,812 50 T o ta l cash on h a n d .......................... 1,468 63 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 37,665 75 . C apital stock paid in ...................... $12.500 00 Surplus f u n d ..................................... 500 00 U ndivided p r o fit s ............. ..... j ___ 858 76 D ividends unpaid ................................................. Individ ual d ep osits subject to check ....................................................................... D em and certificates of d ep osits. 23,806 9 ' T im e certificates of d e p o s it................................ Certified c h e c k s .................................................... C ashier’s ch eck s ou tsta n d in g ............................ Due to n ational banks ......................................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ...................................... T otal * 37.665 75 SECRETARY Fairfield. OF T H E STATE BAN KIN G BOARD, 93 The Citizens B ank. Charter No. 156. B. J, J e n k in s .............................. P resid en t I C. F. L e w i s ........................... C ashier H. A. L u s k .................................. V ice-P resid en t | T. P. S h iv e ly .........................A ssista n t C ashier ST A T E M E N T . D EC E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oan s and d isc o u n ts...................... * 76.387,10 O verdrafts, secured and u n se 405 34 cured ................................... i ............. S to ck s, secu rities, judgm ents. claim s, e tc .............................................................. B onds ......................................................................... O ther a s s e t s ....................................... 128 70 Banking house, fu rn iture and f ix t u r e s ............................................. 1.668 00 Other real e s t a t e ....,...................... 3,750 00 Current ex p en ses and ta x e s paid. 1.015 84 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s __ 780 46 D ue from national, sta te and pri 19,728 75 v a te banks and b a n k ers............. T o ta l cash on h a n d .......................... 7.609 25 T otal ............................................. *111,473 50 Capital stock paid i n ...................... I 20,000 00 Surplus fund ................................ 4.000 00 U ndivided p ro fits.............................. 5,12156 D ividends u n p a id .................................................... Individual d ep osits su b ject to c h e c k ............................... 49,613 12 D em and certificates of deposit .. 12.886 47 Tim e certificates ofdep osit . . . . 19,852 35 Certified c h e c k s...................................................... C ashier's check s o u tsta n d in g ............................ Due to n ational b a n k s ........................................... Due to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d .................... .. B ills p a y a b le ............................................................ Fairmont. T otal ............................................. *111,473 50 The Farm ers State Bank. Charter No. 157. Geo. E. A ld rich ........................ P resid en t [ Chas. S. M ille r ....................C ashier B. E. A ld r ic h ............................V ice-P resid en t | C. S. C h a n d le r ....................A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . Capital stock paid i n ...................... *25,000 Surplus fu n d ....................................... 200 U ndivided p r o fits.............................. 7,276 D ividends u n p a id ............................................... Individual d ep osits subject to check ................................................ 59,357 51 D em and certificates of d e p o sit.. 33,702 03 T im e certificates of d e p o s it......... 7,525 50 Certified c h e c k s ....... .......................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s........................................... Due to sta te and private banks and b a n k ers.................................... 2,881 40 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal ............................................. *135,943 10 T o ta l............................................... *135,943 10 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ?:8g RESO U RCES. L oans and d isc o u n ts.................... 1105,581,63 Overdrafts, secured and u n se cured .................................................. 119 53 S to ck s, secu rities, judgm ents, 904 05 claim s, e t c ....................................... B o n d s......................................................................... O ther a s s e t s ............................................................. B anking house, furniture and f ix t u r e s ............................................. 6,658 60 O ther real e s t a te ...................................................... < urrent ex p en ses and ta x e s paid 3,434 55 Prem iu m on U. S. and other bonds and s e c u r itie s .......................................... C hecks and other cash ite m s __ 100 30 D ue from national, sta te and pri v a te banks and b a n k e rs............. 13,846 18 T o ta l cash on h a n d .......................... 5,298 26 E IG H T H 94 Falls City. ANNUAL REPO RT OF THE The Richardson County Bank. Charter No. 158. J. L. S lo c u m ............................. P resid en t I Geo. W. H o llan d ..................C ashier Wm. S c h o c k ..............................V ic e-P r e sid en t | E zra E. M etz ....................... A ssista n t C ashier ST A T E M E N T , D ECEM BER 2, 1899. IN A B IL IT IE S R E SO U R C ES, L oans and d isc o u n ts...................... $160,687 56 O verdrafts, secured and u n se 2,957 99 cu red ................................................ S tock s, secu rities, judgm ents, claim s, e t c ..... ........................................................ B onds .................................................. 3,250 00 Other a s s e t s ............................................................. B ankin g hou se, fu rn iture and fix t u r e s ............................................. 7,300 00 O ther real e s t a te .................................................... Current ex p en ses and ta x e s paid 2,302 80 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and oth er cash i t e m s ___ 212 27 D ue from national, sta te and p ri 42.977 53 v a te banks and b a n k ers............. T o ta l cash on h a n d ............................. 13,05726 T o ta l ............................................. $232,745 41 Falls City. C apital sto ck paid in ....................... $ 50,100 00 10,000 00 Surplus fu n d ....................................... U ndivided p r o fit s .. .......................... 5,496 44 D ividends u n p aid .................................................... Individual d ep osits subject to c h e c k .................................................. 118,950 37 D em and certificates of d e p o s it... 47,425 55 T im e certificates of d e p o s it.................... :------Certified c h e c k s ................................................. C ashier’s check s o u tsta n d in g ........................ Due to national b a n k s.................... 94 08 Due to sta te and p rivate banks 778 97 and b a n k e rs................................... N o tes and b ills red iscou n ted ..... .. ........... . B ills p a y a b le ..................................... T o t a l............................................... $232,745 41 The F alls City State Bank. Charter N o. 159. W . E. D o rrin g to n . . P resid en t W . A. G reen w ald.. V ice-P resid en t T. J. G ist — C ashier ST A T E M E N T , D E CE M B ER 2. 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... $ 92,933 81 O verdrafts, secured and u n se cu red ................................................... 767 33 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s ........................................................................... Other a s s e t s .............................................................. B anking house, fu rn iture and f ix t u r e s ............................................. 13,200 00 Other real e s t a t e ................................ 200 00 Current ex p en ses and ta x e s paid 2,452 65 P rem iu m on U . S. and other bonds and se c u r itie s ........................................... C hecks ond oth er cash ite m s. . . 140 65 D ue from national, sta te and pri va te banks and b a n k ers............. 2,225 67 T otal cash on h a n d .......................... 4,135 94 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $116,056 05 C apital sto ck paid in ...................... $50.000 00 Surplus fu n d ........................... .. . 20,000 00 U ndivided p r o fits.............................. 6,046 68 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k .................................................. 29,681 82 D em and certificates of d e p o s it ... 9,827 55 T im e certificates of d e p o sit................................ Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to national banks ..................................... Due to sta te and p rivate banks and b a n k e rs...................................................... . N o tes and b ills red iscou n ted __ 18,500 00 B ills p a y a b le ............................................................ T otal $116,056 05 SECRETARY OF T H E S T A T E BAN K IN G BOARD, 95 \ Famam. The Farnam State Bank. Charter No. 497. John C rouch......... P resid en t E lla H a n n a .. ..V ic e -P r e sid e n t D a v id H a n n a ........ C ash ier ST A T E M E N T , D ECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 26,242 87 O verdrafts, secured and u n se cu red .................................................. 1,269 52 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s .................... ....................................................] O ther a s s e ts ........................................................ B ankin g house, fu rn iture and f ix t u r e s ............................................. 1,000 00 O ther real e s t a te .................................................... Current exp en ses and ta x es paid 720 93 P rem iu m on U. S. and other bonds and s e c u r it i e s .......................... .......... C hecks and oth er cash ite m s ....... 322 36 Due from national, sta te and p ri v a te banks and h a n k e rs............. 1,206 77 T o ta l cash on h a n d .......................... 1.938 55 T o ta l............................................... $ 32,701 00 Firth. C apital stock paid in ...................... 8 6,500 00 Surplus fu n d ....................................... 130 00 U ndivided p r o fits.............................. 1,524 81 D ividends u n p aid .............................. Individ ual d e p o sits subject to check ................................................. 17.800 19 Dem and certificates of d e p o s it... 6,746 OO T im e certificates of d e p o s it......... Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ Due to national b a n k s.................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... T otal . 8 32,701 00 The F irth Bank. C harter No. 162. J. M. V an B u r g ........................P resid en t 1 J. M. V an B u r g .................. C ashier Wm. K r a m e r ........................... V ic e-P r e sid en t | C. E. G roves ........................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L oans and d isc o u n ts...................... 8 70,597 13 Overdrafts, secured and u n se cured .................................................. 99 16 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... O ther a s s e ts ....................................... B anking house, furniture and fixtures-............................... ............ 2,417 18 O ther real e s t a te .............................. Current ex p en ses and ta x e s paid 1,595 08 P rem ium on U. S. and other bonds and s e c u r itie s ................... C hecks and other cash ite m s __ D ue from national, sta te and pri va te banks and b a n k e r s ........... 7,413 73 T otal cash on h a n d ....................... 5,102 07 T otal 8 87,224 35 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital stock paid i n ...................... 8 10,000 00 Surplus fu n d ............................................................ U ndivided p rofits.......................... 3,966 90 D ividends u n p a id ................................................. Individ ual d ep osits subject to c h e c k ................................................ 27,344 33 D em and certificates of d e p o sit. . . 16,688 85 T im e certificates of d e p o s it....... 29,224 27 Certified c h e c k s .......................... C ashier’s check s o u tsta n d in g ___ D ue to national b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o te s and b ills r e d isc o u n te d __ B ills p a y a b le .................................... T otal 8 87,224 35 96 EIGH TH Firth. ANNUAL REPORT OF T H E The Citizens Bank. Charter No. 536. G. O. A d a m s__ P resid en t W . T. M eE lv a in .. V ice-P resid en t W . J. Crandall. ..C ash ier ST A T E M E N T . D E CEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. C apital sto c k paid in ...................... * 10,000 00 Surplus f u n d ........................................................ U ndivided p r o fits............................ 113 39 D ividends unpaid .................................................. Individ ual dep osits subject to c h e c k ..... 8,95053 Dem and certificates of d e p o s it.. 212 05 1,290 00 T im e certificates of d e p o s it.......... Certified c h e c k s ...................................................... C ashier’s ch eck s ou tsta n d in g ............................ D ue to n ational b a n k s ......................................... Due to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... L oans and d isc o u n ts...................... $ 6,139 10 O verdrafts, secured and un se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s ........................................................................ O ther a s s e t s ............................................................. B ankin g house, furniture and fix tu r e s.................... • ................. 1,823 80 O ther real e s t a t e .......................... ......................... Current ex p en ses and ta x e s paid 39 38 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s ........................... D ue from n ational, sta te and p ri va te banks and b a n k e r s ........... 8,153 61 T o ta l cash on h a n d .......................... 4,410 08 T o t a l ............................................. 8 20,565 97 Franklin. T o t a l ............................................. * 20,565 97 The F ran k lin Exchange Bank. Charter No. 163. Jacob B ern h a rd ....... P resid en t P . E. G a r r a tt.. C ashier Wm. B ern h ard .. A ss’t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d is c o u n t s ...................... $ 42,522 69 Overdrafts, secured and u n se cured ........................................... • • 63 69 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e ts .............................................................. B anking hou se, fu rn iture and. f ix t u r e s ........................................... 1.500 00 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 3,667 11 P rem ium on U. S. and other i b o n d s a n d s e c u r i t i e s ..................................................... C h ec k s an d o th e r c a s h ite m s . . 529 00 j D ue f r o m n a t i o n a l , s t a t e a n d p r i vate b a n k s a n d b a n k e r s ........... 5,380 16 j T o ta l cash on h a n d ........... .......... 4,956 37 j T o t a l ............................, ............... 8 58,619 02 i https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... * 10,000 00 1.650 00 Surplus fu n d ..................................... 3.670 36 U ndivided p r o fits............................ D ividends u n p a id ............. .............. Individ ual d ep osits subject to 19,035 08 c h e c k ......................................... . 20,432 85 D em and certificates of d e p o sit.. 3,830 73 T im e certificates of d e p o sit........ Certified c h e c k s ................................ C ashier’s ch eck s outstan ding — D ue to national b a n k s ................... D ue to state and p rivate banks and bankers . . . . ................... N o te s and b ills red iscou n ted ........ B ills p a y a b le ..................................... T otal * 58,619 02 S E C R E T A R Y OK T H E Fremont. STATE BAN KIN G BOARD, 97 The Security Savings Bank. Charter No. 164. L. D. R ichards.. .P resid en t J. W. G o ff.. .V ice -P re sid e n t F. H. R ichards.. .T reasurer ST A T EM E N T. D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . G oans and d isc o u n ts...................... $ 61,017 55 O verdrafts, secured and u n se cured ....................................................................... S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds .................................................. 1,400 00 O ther a s s e t s ................................. ........................ B ankin g house, furniture and fixtures ............................................................... 'O ther real esta te .......................... 2,938 74 C urrent ex p en ses and ta x es paid 530 36 P rem ium on U. S. and other bonds and s e c u r it i e s ........................................ C hecks and other cash ite m s ....... 1,263 62 D ue from national, sta te and p ri 9,326 99 v a te banks and b a n k ers............. T o ta l cash on h a n d ........................ 1,357 56 C apital stock paid in ...................... $ 12,000 00 Surplus fu n d ..................................... 460 00 U ndivided p r o fits ............................ 2,628 52 D ividends u n p a id .................................................. Individ ual d ep osits subject to 48,035 39 c h e c k ................................................ D em and certificates of d e p o s it........... ............. Tim e certifica tes of d e p o s it......... 14,710 91 Certified c h e c k s.............................. C ashier’s checks o u tsta n d in g __ D ue to national b a n k s ................... D ue to sta te and private banks and b a n k ers................................... N otes and b ills red iscou n ted ....... B ills payable .................................... T o t a l,............................................. $ 77,834 82 T otal ............................................. $ 77,834 82 Fremont. t he Home Savings Bank. Charter No. 165. Chas. H. May. ..P r e s id e n t__ Geo. L. L o o m is.. .V ice -P re sid e n t F. M cG iverin.. .C ashier ST A T EM E N T. D ECEM BER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 80,021 67 O verdrafts, secured and u n se cured ........................................................................ S to ck s, secu rities, judgm ents, ................. claim s, e t c ......... .. ........................ B o n d s........................................................................... O ther a s s e ts ....................................... 1,079 08 B anking house, furniture and fixtures ................................................................. O ther real esta te ... ........................................... C urrent exp en ses and ta x es paid 68 30 Prem ium on IT. S. and other bonds and s e c u r itie s ......... .......... ................. C hecks and oth er cash i t e m s ............................ D ue from national, sta te and p ri v a te banks and b a n k e rs........... 7,590 26 T ota l cash on h a n d .......................... 550 00 C apital stock paid in ...................... $12,000 00 Surplus fu n d ....................................... 3,000 00 U ndivided p r o f it s ..,....................... 4,610 13 D ividends u n p a id ................................................... Individual d ep osits su b ject to check .................... 69,439 18 Demand certificates of d e p o s it........................ T im e certificates of d e p o s it......... 260 00 Certified c h e c k s ...................................................... C ashier's ch eck s o u tsta n d in g ........... D ue to national b a n k s ........................ Due to sta te and private banks and b a n k e r s ......................................... N o tes and b ills r e d isc o u n te d ........... B ills p a y a b le ........................................... T o ta l............................................... $ 89,309 31 T o t a l ............................................. $ 89.309 31 7 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 98 EIGH TH Friend. ANNUAL REPORT OF T H E The Merchants and Farm ers Bank. C harter No. 166. E. I. F e r g u so n ............................P resid en t j E . I. F e r g u so n .....................Cashier N . H. F e r g u so n ..........................V ice-P resid en t | J. E. F e r g u so n ......................A ssista n t C ash ier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . R ESO U RCES. L oans and d isc o u n ts...................... 8 63,021 60 O verdrafts, secured and u n se 936 20 cured ............................................. S tock s, secu rities, judgm ents, claim s, e t c ........................ .............. ................. B o n d s........................................................................... Other a s s e ts .............................................................. B ankin g house, fu rn iture and fixtures ........................................... 7,102 00 O ther real e s t a t e ......... ................... 5,451 78 Current ex p en ses and ta x e s paid 465 29 Prem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and oth er cash i t e m s __ 5,694 99 D ue from national, sta te and pri va te banks and b a n k e rs............. 15,406 06 T o ta l cash on h a n d .......................... 3,973 97 T o t a l............................................. 8102,051 89 C apital stock paid i n ...................... 8 30,000 00> Surplus fu n d ....................................... 10 ,0 0 0 00 U ndivided p r o f i t s . .. . ..................... 2,409 96 D ividends unpaid ................................................ Individ ual d ep osits su b ject to c h e c k ............................................. 25,03157 Dem and certificates of d e p o sit.. 34,610 36. T im e certificates of d e p o s it.............................. Certified c h e c k s ...................................................... C ashier's checks ou tsta n d in g ............................ D ue to na tion al b a n k s............................ . ......... D ue to sta te and private banks and b a n k e rs................................... .................. N o tes and b ills red iscou n ted ............................ B ills p a y a b le ........................ ...................... ......... T o t a l ............................................. 8102,051 m Ft. Calhoun. The W ashington County Bank. C harter No. 167. H enry R ix O w ner ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. L oans and d isc o u n ts...................... O verdrafts, secured and u n se cured ................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... Bonds .................................................. Other a sse ts ................................... B ankin g house, fu rn iture and fix tu r e s ............................................. Other real e s t a t e .............................. Current ex p en ses and ta x es paid Prem iu m on U. S. and other bonds and s e c u r it i e s ................... C hecks and oth er cash item s D ue from national, sta te and p ri va te banks and b a n k ers............. T otal cash on h a n d .......................... L IA B IL IT IE S . 37,523 55 75 40 3,000 00 22,166 68 4,934 26 T o ta l............................................... Ï 67,699 89 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... 8 10,000 09 Surplus f u n d ....... .............................. 1,250 00 U ndivided p r o fits.................. ......... 852 57 D ividends u n p a id .................................................. Individ ual dep osits su b ject to c h e c k ................................................ 31,434 19 Dem and certificates ofdeposit .. 2,333 00 T im e certificates o f d e p o s it......... 21,830 13. C ertified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s......................................... .. D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills payable .................................................... .. T o ta l............................................... * 67,699 89 SECRETARY Gandy. OF T H E STATE BANKINGS BO ARD. 99 The State Bank of Gandy. C harter No. 169. M. O. S m ith ........................... V ice-P resid en t | E . R. Sm ith..................................................Cashier ST A T E M E N T . D EC E M B ER 2. 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n ts ............... ....... $ 6 .314 21 O verdrafts, secured and u n se c u red .................................................. 48 44 S tock s, secu rities, judgm ents, 1,557 96 claim s, e t c ....................................... B onds ......................................................................... Other a s s e t s ....................................... 4,046 55 B anking house, furniture and fix tu r e s ............................................. 2,334 15 Other real e s t a t e ............................ 3.772 67 Current exp en ses and ta x e s paid 1,038 38 P rem iu m on U . S. and other bonds and secu rities ......... ............................. C hecks and other cash ite m s ....... 32 53 D ue from national, sta te and p ri 367 80 v a te banks and b a n k ers............. T ota l cash on h a n d .......................... 773 29 Capital sto ck paid i n ...................... $ 12,000 00 Surplus f u n d ............................................................ U ndivided p r o fits............................ 1,214 91 T o ta l.............................................. if 20,285 98 Geneva. D i v i d e n d s u n p a i d ................................................................... Individ ual d ep osits subject to c h e c k ................................... 5,689 77 Demand certificates of d e p o s it... 81 30 T im e certificates of d e p o s it......... 300 00 Certified c h e c k s ............................................. C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ......... .......................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted ........................ B ills p a y a b le ........... .......................... 3,000 00 T o ta l............................................... if 20,285 98 The Citizens Bank. Charter No. 170. H. L. S m ith .............................. P resid en t I E. K. C obb............................. Cashier M. B u tle r .....................................V ice-P resid en t | W. H. S te w a r t...................... A ssista n t C ashier ST A T E M E N T , DECEM BER 2, 3899. R E SO U R C E S. L IA B IL IT IE S . L oans and discou n ts ...................... if 46,913 55 O verdrafts, secured and u n se cured ................................................. 241 31 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 6,019 74 B onds ........................................... ............................. O ther a s s e ts .............................................................. B ankin g house, fu rn iture and fix tu res ........................................... 8,300 00 O ther real e s t a t e ............................ 1,301 39 Current exp en ses and ta x e s paid 693 65 P rem iu m on U . S. and other bonds and s e c u r itie s ......................................... C hecks and oth er cash ite m s . .. 223 91 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 18,302 95 T o ta l cash on h a n d .......................... 8,909 96 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis if 90,906 46 C apital sto ck paid i n ...................... $ 25,000 00 Surplus fu n d ..................................... U ndivided p r o f it s ............................ 1,683 80 D ividends u n p aid ..................................................... Individ ual d ep osits su b ject to c h e c k .................................................... 41,72953 Dem and certificates of d e p o sit.. 5,623 93 T im e certifica tes of d e p o s it......... 16,869 20 Certified c h e c k s................................ C ashier’s check s o u tsta n d in g __ D ue to national b a n k s ................. D ue to sta te and p rivate banks and b a n k e r s .................................. N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ............. ......... .............. T otal $ 90.906 46 IO C EIG H TH ANNUAL REPORT OF T H E *________________________ ___ :_ Geneva. Tue Geneva State Bank. C harter N o. 524. E. San drock .. ..P r e sid e n t W . H. W a lla c e .. ..V ic e -P r e sid e n t C. S. T rotter. . . . Cosher ST A T EM E N T, D E C E M B ER 2, 1699. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts................... $ 67,292 10 Overdrafts, secured and u n se 1,130 51 cu red .................................................. Stock s, secu rities, judgm ents, 2 ,0 0 0 0 0 claim s, e t c ....................................... B onds ................. ....................................................... Other a s s e t s .............................................................. B ankin g house, furniture and fix t u r e s ...... ............................................................. Other real e s t a te ............................... 6,355 00 Current ex p en ses and ta x es paid 2,353 59 P rem iu m on U . S. and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash ite m s __ 2,131 42 D ue from national, sta te and p ri 7,558 35 v a te banks and b a n k e rs............. T otal cash on h a n d .......................... 5.504 50 T o ta l............................................. Genoa. $ 94,325 47 C apital stock paid i n .................... Surplus fu n d ..................................... U ndivided p r o fits............................ D ividends u n p a id ............................ Individual dep osits subject to check ................................................ Dem and certificates of dep osit . T im e certificates of d e p o sit......... Certified c h e c k s ............................... C ashier’s check s ou tsta n d in g __ Due to national b a n k s ................... D ue to sta te and p rivate ban k s and b a n k e r s ................................... N o tes and b ills r ed isc o u n te d ... . B ills p a y a b le ..................................... 21,250 04 3,267 29 46,026 30 100 00 17,314 77 6.367 11 i 94,325 47 'Total The Nance County State Bank. C harter No. 534. L. G. S t o c k s __ P resid en t G. D ieck m a n n .. . .C ashier D. A. W illa r d ___ V ic e-P r e sid en t ST A T EM E N T, D E CE M B ER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 16,616 62 Overdrafts, secured and un se cu red .................................................. 274 29 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s ............. .......................................................... O ther a s s e t s .............................................................. B ankin g house', fu rn iture and fix tu res .......................................... 5,391 45 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 691 48 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s __ 350 65 D ue from national, sta te and p rivate banks and b a n k e r s __ 6,949 09 T o ta l cash on h a n d .......................... 1,056 20 C apital stock paid in ...................... 1 20,000 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ ” 910 19 D ividends unpaid .......................... Individ ual dep osits subject to check ................................................. 7,299 61 Demand certificates of deposit .. 465 00 2,654 98 T im e certificates of d e p o sit.......... Certified c h e c k s __ !........................ C ashier's checks o u tsta n d in g __ D ue to national b a n k s .................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis * 31,329 78 T otal * 31.329 78 SECRETARY Gering. OK T H E STATE B A N K IN G pO ARD, IO I The Bank of Gering. Charter No. 172. M artin G e r in g ..P resid en t H . G. R o g e rs..V ic e-P r esid e n t P e te r M cF arlan e.. Cashier ST A T E M E N T , D E CEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . Goans and d is c o u n ts ....................... $ 59.239 40 C apital sto ck paid in ....................... $ 15,000 0 0 O verdrafts, secured and u n se Surplus f u n d ..................................... 15,000 00 cu red .................................................. 176 00 U ndivided p r o f it s ............................ 15.397 46 S tock s, secu rities, judgm ents, D ividends u n p a id .................................................. 1,104 80 claim s, e t c ....................................... Individ ual deposits su b ject to c h e c k ................................................ 72,579 43 B o n d s.................................................... 7,505 00 O ther a s s e t s ....................................... 7,690 00 D em and certificates of deposit .. 3,215 98 B ankin g house, furniture and T im e certificates of deposit ....... 8,000 00 fix t u r e s ............................................. 2,731 23 Certified c h e c k s....................................................... O ther real e s t a t e .............................. 659 36 C ashier’s check s o u ts ta n d in g .......................... Current ex p en ses and ta x es paid 3,224 68 D ue to n ational b a n k s ......................................... P rem iu m on TJ. S. and other Due to sta te and private banks bonds and s e c u r it ie s ......................................... and bankers .................................. C hecks and oth er cash item s . .. 89274 N o tes and b ills r ed isc o u n te d ... . D ue from national, sta te and B ills p a y a b le ..................................... private banks and b a n k e r s __ 38.116 32 T otal cash on h a n d .......................... 7,797 34 . T o ta l.............................................. Germantown. $129,192 87 T o ta l............................................... $129,192 87 The Bank of Germantown. C harter No. 173. N. H. M eeker........................... P resid en t | G. W. M eeker................................................... C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . Goans and d is c o u n t s ...................... $ 19.564 51 O verdrafts, secured and u n se cured ................................................ 126 69 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. Other a s s e t s ....................................... B ankin g hou se, fu rn iture and f ix t u r e s ............................................. 2,000 00 O ther real e s t a te .............................. Current ex p en ses and ta x e s paid P rem iu m on U. s . and other bonds and s e c u r itie s ................... C hecks and other cash it e m s ....... D ue from national, sta te and p ri v a te banks and b a n k e rs............. 13.948 55 2,977 95 T otal cash on h a n d .......................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 38,617 70 C apital sto ck paid in ...................... $ 6,000 00 Surplus f u n d ..................................... 1,000 00 U ndivided profits ............................ 40 22 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................. 15,664 56 Dem and certificates of d e p o sit.. 15,912 92 T im e certifica tes of d e p o s it......... Certified c h e c k s ............................... C ashier’s check s o u tsta n d in g __ D ue to national b a n k s ................... Due to sta te and private banks and b a n k ers.................... .............. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal $ 38,617 70 EIG H TH 102 Gibbon. ANNUAL REPORT OF T H E The Commercial B ank of Gibbon. Charter No. 174. C. M. B e c k __ P r esid en t Jas. H o llo w a y ___ V ice-P resid en t C C. H o llo w a y . . . . C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 11,542 70 O verdrafts, secured and u n se cu red .................................................. 109 09 Stocks, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s ............................................................................ Other a s s e t s .............................................................. B ankin g house, furniture and fix t u r e s ................................................................... Other real e sta te ............... ................................... Current exp en ses and ta x e s paid 591 82 P rem iu m on U . S. and other bonds and s e c u r it i e s ....................................... C hecks and oth er ca sh it e m s ............................ Due from national, sta te and p ri 15.799 11 v a te banks and b a n k e rs........... T otal cash on h a n d .......................... 1.985 98 C apital sto ck paid i n ...................... $ 5,000 00 ¿surplus fu n d ............................ ......................... U ndivided p r o fits ............................ 3,356 00 D ividends u n p a id .................................................... Individ ual d ep osits su b ject to c h e c k ................................................ 21,672 70 D em and certificates of d e p o sit.. T im e certificates of d e p o s it....... Certified c h e c k s ................................ C ashier’s ch eck s ou tstan d in g — D ue to nation al banks ................. uue to sta te and p rivate ban ks and b a n k e rs..............., ................ . N o tes and b ills red iscoun ted ... B ills p a y a b le ..................................... . T o ta l............................................... * 30.028 70 T o ta l......... .................................... $ 30,028 70 Gibbon. The Exchange Bank. Charter No. 175. Jam es H. D a v is ....... P resid en t T hom as K ir k ........ V ic e -P r e sid e n t..I. A. K ir k ........ C ashier ST A T E M E N T . D E C E M B ER 2. 1899. R E SO U R C E S. L oans and d isc o u n ts...................... I 39,156 75 Overdrafts, secured and u n se cured .................................................. 349 09 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. Bonds ........................................................................ Other a s s e t s .............................................................. B ankin g house, fu rn iture and fixtures .......................................... 500 00 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 212 00 P rem iu m on U . S. and other bonds and s e c u r it ie s ..................................... C hecks and other ca sh ite m s . .. 24 65 D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 12,738 00 T otal cash on h a n d .......................... 2.428 18 $ 55,408 67 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid i n ...................... * 10.000 00 500 00 Surplus f u n d ..................................... 1,790 50 U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individ ual d ep osits su b ject to 42.798 17 c h e c k ..... .................................. 320 00 D em and certificates of d e p o sit.. T im e certificates of d e p o s it......... Certified check s .............................. C ashier's check s outstan ding — Due to national b a n k s.................... D ue to sta te and private banks and bankers ........... .................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T otal $ 55,408 67 S E C R E T A R Y O F T H E S T A T E B A N K IN G B O A R D . _____________ ____________ _________________ i __________ Gtenvilie. io 3 The Bank of Glenville. Charter No. 527. L. L, B randt ...........................................C ashier j E nno U d e n ..............................A ssista n t C ashier ST A T EM E N T. D ECEM BER 2. 1899. B ESO U B C E S. L IA B IL IT IE S . G oans and d isc o u n ts...............— * 17,840 69 O verdrafts, secured and u n se c u r ed .................................................. 6 65 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ......................................................................... O th er a s s e ts ............................................................ B an k in g house, fu rn iture and fixtu res ............................. 325 00 •Other real e s t a t e .............................. 250 00 C urren t exp en ses and ta x es paid 494 93 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C h e c k s and oth er cash ite m s — 1,132 51 D ue from national, sta te and pri vate banks and b a n k ers............. 4,516 60 T o ta l cash on h a n d .......................... 2,410 10 C apital sto ck paid i n ...................... $ 8,000 00 ¡surplus f u n d ........................................................... U ndivided p r o f it s .................... 395 24 D ividends unpaid . .. . .................................. Individual d ep osits subject to check ................................... 5,949 74 Demand certificates of d e p o sit.. 6,500 00 T im e certificates of d e p o s it....... 6,131 50 Certified òhecks .............................. C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s ................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ........... ..................... T o ta l............................................... * 26,976 48 T o t a l ................................. ........ $ 26,976 '4 8 The Maverick Bank, Gordon. Charter No. 176. D. W . C. H u n tin g to n ....... P resid en t I Thos. M. H u n tin g to n .................Cashier Jo h n B ro w n ........................ V ice-P resid en t | E. D. M orrison........................... 'A ssista n tC a sh ier ST A T E M E N T , D E CE M B ER 2, 1899. B ESO U B C E S. L IA B IL IT IE S . G oans and d is c o u n ts ...................... 8 79,778 98 O verdrafts, secured and u n se cured ................................................. 85 06 S to c k s, secu rities, judgm enis, claim s, e t c ............................................................. B o n d s .................................................... 117 35 O th er a s s e t s .............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 5,293 15 O th er real e s t a t e .................................................... C urrent ex p en ses and ta x e s ........ 1,261 92 P rem iu m on U- S and other bonds and s e c u r it ie s ......................................... C h eck s and oth er cash it e m s ---90 56 D ue from national, sta te and p riv a te banks and b a n k e r s __ 66,589 25 T o ta l cash on h a n d .......................... 12,926 05 *166,142 32 T otal C apital sto ck paid in ...................... SB 25,000 00 Surplus fund .............................. 1,400 00 U ndivided p r o f it s ............................ 22,817 20 D ividends u n p a id .................................................. Individual deposits subject to c h e c k ................................................ 84,293 54 Demand certificates of deposit .. 25,590 79 T im e certifica tes of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g __ 6,107 93 D ue to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ................................... 932 8 6 N o tes and b ills rediscounted .......................... B ills p a y a b le ............................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal *166,142 32 IO4 E K ïH T H Gordon. The Sheridan County Bank. ANNUAL R E P O R T OF T H E Charter No. 177. A m os B u r w ell... P resid en t T. B. Irw in. ..V ic e-P r e sid en t W. W . K n ep p er... C ashier ST A T EM E N T, D EC E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . Loans and d isc o u n ts...................... $ 54,436 07 O verdrafts, secured and unsecured ....................................................................... S tock s, sec u r ities, judgm ents, claim s, e t c ............................................................. B o n d s......................................................................... Other a s s e t s ....................................... 95 00 B anking house, furniture and fix tu r e s ............................................. 950 00 Other real esta te ............................ 1,200 00 Current expenses and ta x es paid 865 29 P rem ium on U S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s .......................... D ue from national, sta te and private banks and b a n k e r s __ 12.348 12 T o ta l cash on h a n d .......................... 4.588 06 T o ta l...............................................' $74.432 54 Gothenburg. C apital stock paid in ...................... $ 10,000 00 Surplus f u n d ....................................................... U ndivided p r o f it s ................................ 5,84588 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 47,106 18 Demand certificates of deposit . ................. 'I’im e certificates of d e p o s it......... 9,178 58 Certified c h e c k s ...................... . ............. C ashier's check s o u tsta n d in g __ 2,351 90 Due to national b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l.............................................. * 74,482 54 The State Bank. Charter No. 178. A. V. C a r lso n ....................................... P resid en t I Mary E. C arlson...................................... C ashier ST A T EM E N T. D EC E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ........... . $ 34,695 82 O verdrafts, secured and u n se cured ................................................. 111 08 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.................................................... 253 96 O ther a sse ts ... ........................ 335 15 B anking house, fu rn iture and fix t u r e s ............................................. 8.0*10 00 Other real e s t a t e .............................. 3,313 00 C urrent exp en ses and ta x e s paid ................ P rem iu m on U. S. and otherbonds and s e c u r it ie s .................. ............... C hecks and other cash ite m s ....... 115 50 Due from national, sta te and p ri v a te banks and b a n k e r s ........... 7,234 29 T o ta l cash on hand ........................ 5,958 50 C apital ................................................ 4 20,000 OO Surplus f u n d ............................................. 1,630 17' U ndivided p r o f it s ............................ D ividends unpaid..................................................... Individ ual dep osits subject to c h e c k .................................................... 27,50868D em and certificates ofdeposit .. 4,872 95 T im e certificates of d e p o s it......... 6,005 50 Certified check s . . . . ................. C ashier’s checks o u tsta n d in g __ Due to n ational b a n k s ................... D ue to sta te and private banks and bankers .................................... N otes and b ills red iscou n ted ....... B ills p a y a b le .............................. ....... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 60,017 30 T otal 4 60,017 30 SECRETARY Gothenburg. OF T H E STATE BAN KIN G BOARD, IOS The Peoples State Bank. Charter No. 471. L . C. L lo y d __ P resid en t Con W . L lo y d . . . . C ashier E. G. L lo y d ... A ssista n t C ashier ST A T EM E N T, D E CEM BER 2. 1899. R E SO U R C E S. L I A B IL I T I E S . L oans and d isc o u n ts...................... $ 64,895 27 O verdrafts, secured and u n se c u red ......................................... 1,337 04 S to ck s, secu rities, judgm ents, cla im s, e t c .............................. 2,502 82 B o n d s.......................... ................................................ O ther a s s e t s .............................. 250 00 B ankin g house, fu rn iture and f ix t u r e s ................................... 2,836 55 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,026 95 P rem iu m s on U. S. and other bonds and secu rities ................................. C hecks and other cash item s . . . 292 56 D ue from national, sta te and pri v a te banks and b a n k e rs............ 4.999 19 T o ta l cash on h a n d ................. 9,826 55 T o ta l......... ..................................... $ 87,966 93 Capital stock paid in ....................... # 25,000 00 Surplus f u n d ............................................................ 2,233 67 U ndivided p r o fit s ............................ D ividends unpaid ......................................... .. Individ ual dep osits su b ject to c h e c k ................................................ 42,965 10 Demand certificates of deposit .. 11.239 09 Tim e certificates of d e p o s it ........ 5,906 25 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national banks .................. 622 82 Due to sta te and private banks Grafton. N o tes and b ills rediscounted .. T otal ......................................... .. * 87.966 93 The Bank of Grafton. Charter No. 179. J. T. H in k le y ... P r esid en t C. D. W aggoner.. .V ice-P resid en t W. A. C om b.. C ashier ST A T EM E N T. D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 22,944 64 O verdrafts, secured and un se cured ................................................. 27 06 S to ck s, secu rities judgm ents, claim s, e t c ....................................... 450 35 B o n d s . . ..................................................................... O ther a s se ts ..................................... 493 25 B ankin g house, fu rn iture and fixtures ................................... . . . 1,500 00 O ther real e s t a te .............................. 2.443 59 Current exp en ses and ta x es paid 2,415 00 P rem iu m on U. S. and other bonds and s e c u r it i e s ................................. C hecks and other cash ite m s . . . . 382 96 D ue from national, sta te and pri va te banks and bankers ........... 351 82 3,528 62 T o ta l cash on h a n d .......................... $ 34,537 29 T otal C apital stock paid in ...................... $ 15,000 00 Surplus fund .............................. 500 00 U ndivided p r o f it s ............................ 3,799 23 D ividends u n p a id .................................................. Individ ual dep osits su b ject to c h e c k ................................................. 8,028 38 D em and certificates of deposit . 2,698 45 4,511 23 T im e certificates of d e p o s it ........ Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue JJ U C to IU lld national lLDUdl banks Udillna .......................... ... ...................... D ue to sta te and private banks and b a n k e r s ...................................................... N o tes and b ills r e d isc o u n te d ........................ B ills p a y a b le ............... ........................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal * 34,537 29 io 6 E IG H T H A N N U A ], REPORT OF THE Grand Island. The Grand Island B anking Co. C harter No. 180. S. A. P e te r so n ............................ P resid en t I G. B. B e l l.............................. C ashier J. W. T h o m p so n ........................ V ice-P resid en t | W . A. H eim b erger..............A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . Roans and d is c o u n t s ...................... $187,745 18 C apital sto ck paid in .................... $110.000 00 O verdrafts, secured and u n se Surplus f u n d ..................................... 10,000 0 0 cured ................................................ 8,246 38 U ndivided p r o f it s .......................... 14,012 15 S to ck s, secu rities, judgm ents. D ividends u n p a id ....................................... .......... claim s, e t c ....................................... 14.890 00 Individ ual d ep osits subject to B o n d s.......................................................................... c h e c k ................................................ 102,072 55 O ther a s s e t s ....................................... 1,955 28 D em and certificates of d e p o sit.. 25,918 04 B anking house, furniture and fix T im e certificates of d e p o s it ....... 18,336 02 20.500 00 tu r e s .................................................. Certified check s ................................................... O ther real e s t a t e .............................. 17,335 00 I C ashier’s check s ou tsta n d in g ............................ C urrent exp en ses and ta x e s paid ............... I IJ Due U C to OU LiCl national IHCM-ldl b a n k s ............... ............. .............................. . . Prem ium on U. S. and other | D ue to sta te and p rivate banks bonds and s e c u r itie s . ............... ........................ and b a n k e r s .......................................... C hecks and other cash i t e m s __ 2,361 13 N o tes and b ills r e d isc o u n te d __ D ue from national, sta te and pri B ills p a y a b le ............................................. 19.979 90 va te banks and b a n k ers............. T o ta l cash on han d .......................... 12.385 89 T o ta l.............................................. Greeley. $280,398 76 T o t a l ............................................. $280,398 76 The Greeley State Bank. C harter No. 184. Garry T reat J. R. H anna P resid en t V ice-P resid en t E . J. E sg a te ........................C ashier R. E Sam son and P . J. K errig a n .......................... A ssista n t C ashiers ST A T E M E N T , D E C E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts........................ $ 57,785 83 O verdrafts, secured and u n se cu red ............. .................................... 14 92 S tock s, securities, judgm ents, claim s, e t c ....................................... 6,390 41 Bonds .................................................. O ther a s s e t s ....................................... 239 96 B ankin g house, furniture and fixtures ....................................... 4.445 40 O ther real e s t a t e ............................... 5,095 18 Current ex p en ses and ta x e s paid P rem iu m on U. S. and other bonds and s e c u r it i e s ......... . C hecks and oth er cash ite m s ....... D ue from national, sta te and p ri vate banks and b a n k e rs............. 7,147 97 T ota l cash on h a n d .......................... 3,591 80 T otal $ 81.711 47 C apital stock paid in ...................... $ 25,00 ) 00 Surplus fu n d ..................................... 520 00 U ndivided p r o fits............................ 2,625 98 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................. 34,253 89 Demand certificates of d e p o s it... 5,715 4» T im e certificates of d e p o sit......... 16,596 15 Certified c h e c k s ............................... C ashier's check s ou tstan d in g.. .. Due to national banks ................... D ue to sta te aud private banks and b a n k e r s ................................... N otes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 7 $ 84,711 47 SECRETARY Gresham. OF T H E S T A T E BAN KIN G BOARD. IO 7 The Farm ers and Merchants Bank. C harter No. 185. N . C le m ...........P resid en t R. S H ir s c h ............ V ice-P resid en t J. E. H a r t............ C ashier ST A T EM E N T, D E CEM BER 2, 1899 R E SO U R C E S. L IA B IL IT IE S . E oans and d isc o u n ts...................... J 27,918 49 O verdrafts, secured and u n se cured ................................................ 655 75 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... O ther a s s e t s ....................................... 90 00 B ankin g house, fu rn iture and fix tu r e s .................................................. 3.451 00 O ther real e s t a te .............................. 2,350 00 Current ex p en ses and ta x e s paid 1.711 97 Prem ium on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s — 173 24 D ue from n ational, sta te and pri v a te banks and b a n k e r s ........... 11,085 51 T o ta l cash on h a n d ........................ 4.005 45 T o t a l ............................................. $ 51,441 41 C apital stock paid i n ...................... $15,000 00 Surplus f u n d ..................................... 350 00 U ndivided p r o f it s ............................ 2,789 76 D ividends u n p a id ................................................... Individual d ep osits subject to c h e c k .................... 12.298 59 Demand certificates of d ep osit .. 6,624 79 T im e certificates of d e p o s it ....... 14,378 27 Certified check s ............................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and p rivate banks and b a n k e rs.................. ...... N o tes and b ills r e d isc o u n te d __ B ills payable .................................... Gretna. T o ta l............................................... $ 51,441 41 The Spearm an, Snodgrass Co. Bank. C harter No. 186. A. L. Spearm an, Jno. Snodgrass, C. K. S p ea rm a n . .. . Owners C. K. S p earm an . . . . C ashier ST A T EM E N T, D EC E M B ER 2, 1899. R E SO U R C E S. L 1A B IX .IT IE S . L oans and d isc o u n ts...................... $ 47.089 35 O verdrafts, secured and u n se cu red .................................................. 81 15 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 274 96 B o n d s ............................................ — 159 70 O ther a s se ts ................................... 480 86 B anking house, furniture and fix tu r e s .................................................. 3,740 00 O ther real e s t a te .............................. 785 00 C urrent ex p en ses and ta x e s paid 1,065 59 Prem ium on U . S. and other bonds and secu rities .................. . 395 00 C hecks and other cash item s — 708 40 D ue from national, sta te and priv a te hanks and b a n k e r s __ 7,286 81 T o ta l cash on hand ........................ 1,593 31 C apital stock paid in ...................... $13,600 00 Surplus f u n d ..................................... 185 00 U ndivided p r o f it s ............................ 2,123 79 D ividends u n p aid .............................. 754 68 Individual dep osits subject to c h e c k ................................................ 29,459 52 Dem and certificates of d e p o s it......................... T im e certificates of d e p o s it ....... 14,748 86 Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to n ational b a n k s ...................' .................. D ue to sta te and private banks and b a n k e r s ......................................................... N o tes and b ills red iscoun ted . .. 2,788 28 B ills p a y a b le............................................................. T o t a l ............................................. $ 63,660 13 T o t a l ............................................. $ 63.660 13 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis io8 EIG H TH Guide Rock. ANNUAL REPORT OK T H E The Bank of Guide Rock. C harter No. 187. W . T. A u ld .............................................P resid en t | N . M. D oudna............................................C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 46,625 95 O verdrafts, secured and un secured .......................... 661 59 S to ck s, secu rities, judgm ents, claim s, e t c ............... B o n d s............. ........ ......... 79 00 B ankin g house, fu rn iture and fixtures ............................................. 3,000 00 O ther real e s t a t e ....... ....... Current ex p en ses and ta x es paid 835 26 P rem ium on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash ite m s . . . . D ue from national, sta te and pri va te banks and b a n k ers............. 11,071 93 T o ta l cash on h a n d .......................... 2,100 92 C apital stock paid i n ...................... 115,000 00 Surplus fu n d ..'.................................... 3,000 00 U ndivided p r o fits.............................. 2,87128 D ividends u n p aid ........................................... ......... Individ ual d ep osits subject to c h e c k ..................................................... 43,50337 Demand certificates of d e p o s it ... T im e certificates of d e p o s it......... Certified c h e c k s ........... ................... C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s.................... D ue to sta te and private banks and b a n k ers................................... N o tes and b ills red iscoun ted........ B ills p a y a b le ................................... T otal ............................................. f 61.374 05 Haigler. T o ta l............................................... i 64.374 65 The Em pire Loan and T rust Co. C harter No. 188. H. W. D u n lap .. .P resid en t F. G. Larned. ..V ic e-P r e sid en t Wm. H. Earned . C ashier ST A T E M E N T , D E CE M B ER 2. 1899. R E SO U R C E S. L oans and d isc o u n ts...................... $ 9,087 83 O verdrafts, secured and u n se cured ........................................................................ Stock s, secu rities, judgm ents. . claim s, etc ............................................................ B o n d s........................................................................... O ther a s s e t s ....................................... 2 623 12 B ankin g house, fu rn iture and fix tu res ......................................... ........ 350 00 O ther real p s t a t e .............................. 1.151 70 Current ex p en ses and ta x es paid P rem iu m on U. S. and other bonds and s e c u r it i e s .................. C hecks and other cash ite m s __ D ue from national, sta te and private banks and b a n k e rs__ 108 83 T ota l cash on h a n d .......................... 1,283 78 T otal # 19,389 90 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid in ...................... $ 5,000 00 Surplus f u n d ..................................... 195 00 U ndivided p r o fit s ............................ 665 76 D ividends unpaid ...................... .............. ........... Individ ual d ep osits subject to c h e c k ................................................ 7,480 57 Dem and certificates of d ep o sits. 705 10 T im e certificates of d e p o s it......... 5,343 47 Certified check s .................................................... C ashier’s check s o u tsta n d in g . . . . Due to national b a n k s ........... ....................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal Ü 19.389 90 SECRETARY Ha Ham. OF T H E SIA T E BAN KIN G B O A RD , IO 9 The Hallam Bank. Charter No. 513. Gerhard R ip p e n ..P resid en t John J. M eyer..C ash ier G. H . R u h aak .. A ssista n t C ashier ST A T E M E N T . D E CEM BER 2. 18i>9. R E SO U R C E S. IN A B IL IT IE S . D oans and d isc o u n ts...................... $ 11,530 92 O verdrafts, secured and u n se 106 69 cured .................................................. S to ck s, secu rities, judgm ents. claim s, e tc ............................................................. Bonds ........................................................................ o th e r a s s e t s ............................................................. Banking house, fu rn iture and fixtures ......................................... 1,500 00 Other real e s t a te .................................................... Current ex p en ses and ta x e s paid. 640 22 Prem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s __ 15 00 D ue from national, sta te and pri v a te banks and b a n k ers............. 6,563 37 T o ta l cash on h a n d .......................... 2,128 94 Capital sto ck paid i n ...................... $ 5,000 00 Surplus fund ........................................................ U ndivided p r o fits.............. 933 91 D ividends u n p a id .................................................... Individual d ep osits subject to c h eck ........ 9,817 73 Demand certificates of deposit .. 2,490 50 T im e certificates of deposit . . . . 4,543 00 Certified c h e c k s................................ C ashier’s ch eck s o u tsta n d in g __ Due to n ational b a n k s.................... Due to sta te and private banks and b a n k e r s .............................. . N o tes and b ills rediscounted .'... B ills p a y a b le ...................................... T otal ............................................ $ 22,785 14 T otal ............................................. $ 22,785 14 Hampton. The B ank of H am pton. Charter No. 189. A. B. H o u g h to n ................................... P resid en t | S. C. H oughton ................... ..................C a s h ie r ST A T EM E N T, D ECEM BER 2, 1899. R E SO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts........................ $65,402 08 Overdrafts, secured and u n se cured ................................................. 6,682 80 S to ck s, secu rities, ju dgm ents...................... claim s, etc-....................................... B o n d s......................................................................... O ther a s s e ts ............................................................. B anking house, furniture and f ix t u r e s ............................................. 1,400 00 14,300 00 O ther real e s t a te ............................... Current ex p en ses and ta x es paid P rem ium on U. S. and other bonds and secu rities ................... C hecks and other cash ite m s __ D ue from national, sta te and priv a te banks and b a n k ers............. 38,705 22 T otal cash on h a n d .......................... 2,221 97 $128,712 07 T otal Capital sto ck paid i n ...................... $30,000 00 Surplus fu n d ....................................... 150 00 U ndivided p r o fits.............................. 1,510 84 D ividends u n p a id .................................................. Individual dep osits subject to check ................................................ 37,235 12 D em and certificates of d e p o sit.. 24,424 91 T im e certificates of d e p o s it......... 35,391 20 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ Due to n ational b a n k s....................................... .. Due to sta te and private banks and b a n k ers.................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $128,712 07 EIGH TH I TO Hardy. ANNUAL REPORT OF T H E The H ardy Bank. C harter No. 190. W. H. L e i g h ......................................... P resid en t | Jas. H. F a ir .......... ....................................C ashier S T A T E M E N T , D ECEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S L oans and d isc o u n ts...................... $ 48,972 38 O verdrafts, secured and u n se cured .................................................. 352 37 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. O ther a s s e t s ....................................... B ankin g house, fu rn iture and 636 00 fix t u r e s ............................................. 8.138 70 O ther real e s t a te ............. ................ 1,232 77 Current ex p en ses and ta x e s paid P rem iu m on U. S. and other bonds and s e c u r it i e s .................. Checks and other cash i t e m s ___ D ue from national, sta te and p ri 41,930 76 va te banks and b a n k e rs............. 3,445 15 T o ta l cash on h a n d .......................... T otal ............................................. *104,708 13 Harrisburg. Capital stock paid in ...................... $ 40,000 0<> Surplus fu n d ............................................................. U ndivided p r o fits.............................. 1,594 97 D ividends u n p a id .............................. ................. Individual dep osits subject to 44,90414 c h e c k ..................................................... D em and certificates of d e p o s it ... 1,53637 T im e certificates of d e p o s it. . . . . . ¡6,87265 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s..................................... . D ue to sta te and private banks and b a n k e rs.......................... ........ N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l............................................... $104,708 13 The Banner County Bank. Charter N o. 191. C. J . C a r lis le ............................................................................................'................................................... Owner ST A T E M E N T , D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... * 12.916 11 O verdrafts, secured and u n se cured .................................................. 243 66 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 322 22 B o n d s .................................................... 140 00 O ther a s s e t s ................................... .......................... B anking house, furniture and f ix t u r e s ............................................. 701 88 Other real e s t a t e ............................... 2,342 6 1 Current exp en ses and ta x e s paid 1,167 50 P rem iu m on U . S. and other bonds and s e c u r itie s ........................................... C hecks ond oth er cash ite m s . . . 2,184 21 D ue from national, sta te and pri v a te banks and b a n k ers............. 2,546 49 T o ta l cash on h a n d .......................... 3,364 29 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis « 25,928 88 Capital sto ck paid in ...................... $ 5,000 00 Surplus fu n d ..................................... ) U ndivided p r o fits ............................. f 2,544 75 D ividends u n p aid .................................................... Individ ual dep osits subject to c h e e k .................................................. 14,842 40 D em and certificates of d e p o s it... 710 73 T im e certificates of d e p o sit......... 2,831 00 Certified c h e c k s ................................................ C ashier’s check s o u tsta n d in g ............................ D ue to national banks ......... ......................... D ue to sta te and private banks and b a n k e rs........................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T otal $ 25,928 88 SECRETARY Harrison. OF T H E S T A T E BAN KIN G BOARD III The Commercial Bank. C harter No. 193. B. E. B re w ste r .........................President I D. H. G r is w o ld ................... C ashier C. F. C offee................................. V ice-P resid en t | W. H. D a v is ..........................A ssista n t C ashier ST A T EM E N T, D ECEM BER 2. 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... * 61,563 (¡3 O verdrafts, secured and u n se 775 00 cured ......................................... ........ S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s .................................................... 145 00 Other a s s e ts ....................................... B ankin g house, furniture and 1,000 00 f ix t u r e s ............................................. Other real e s t a te ............................ Current ex p en ses and ta x es paid P rem iu m on U . S. and oth er bonds and secu rities ................. C hecks and other cash ite m s ....... Due from national, sta te and p ri 55.440 41 vate banks and b a n k e rs............. 3,436 88 T o ta l cash on h a n d .......................... $125,360 92 T otal Hartington. C apital stock paid in ...................... $ 10,000 00 Surplus fu n d ....................................... 5.000 00 Undivided p r o fits.. . ......................... 6,385 75 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k ................................................ 96,472 57 Demand certificates of d e p o s it... 849 20 T im e certificates of d e p o s it......... 6,403 40 Certified c h e c k s ................................ 250 00 Cashier's ch eck s o u tsta n d in g __ D ue to national b a n k s.................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscoun ted....... B ills p a y a b le .................................... T o t a l ............................................. $125,360 92 The H artington State Bank. Charter No. 194. L ev i K im b a ll.............................President I A . M. M e r r ill......................Cashier S. A. M er r ill............................... V ice-P resid en t | F. M. K im b a ll....................A s s is t a n t C ashier ST A T E M E N T , D EC E M B ER 2. 1899. L IA B IL IT IE S . RESO U R C ES. L oans and d isc o u n ts...................... $ 96,545 67 O verdrafts, secured and u n se c u red .................................................. 319 18 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,810 80 B o n d s........................................................................... 270 00 Other a s s e t s ....................................... B anking house, furniture and fix tu r es............................................. 6,500 00 Other real e s t a t e .............................. 50 00 Current ex p en ses and ta x e s paid 1,345 87 P rem ium on IT. S. and other bonds and s e c u r itie s ................... ................. C hecks and other cash ite m s __ 401 09 D ue from national, sta te and pri v a te banks and b a n k e r s ........... 3,659 56 T o ta l cash on h a n d .......................... 5,037 65 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $115,939 82 Capital stock paid in ...................... $ 40,000 00 Surplus fu n d ..................................... 1,300 00 U ndivided p rofits......... ............. 5,954 81 D ividends u n p aid .................................................. Individ ual d ep osits subject to c h e c k ................................................ 27,582 99 Demand certificates of d e p o s it. .. 6,576 62 T im e certificates of d e p o s it......... 29,504 40 Certified c h e c k s ................................ 15 00 C ashier’s check s o u tsta n d in g __ 6 00 D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ..................................... 5,000 00 T otal $115,939 82 EIG H TH 11 2 Harvard. ANNUAL REPORT OF T H E The Union State Bank. C harter No. 196. I P . H . U p d i k e ..................... C ashier Edward U p d ik e ........................P resid en t N . D. B la c k w e ll........................ V ic e-P r e sid en t | W . H . tvw a rtz.....................A ssista n t C ashier ST A T EM E N T, D E CEM BER 2, 1899. B ESO U B C E S. L IA B IL IT IE S . L o a n s and d isc o u n ts...................... 8140,771 20 O verdrafts, secured and un se cured ...... ....................................... 1,483 65 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 2,139 24 B onds ......................................................................... O ther a s s e t s ........................................................ ... B ankin g house, furniture and fix tu r e s ............................................. 8,00*00 O ther real e s t a te .............................. 9,054 50 C urrent ex p en ses and ta x es paid 3,245 63 P rem iu m on U . S. and other bonds and secu rities ..................................... C hecks and oth er cash ite m s __ 620 83 Due from national, sta te and p ri va te hanks and b a n k e r s ........... 27,245 29 T o ta l cash on h a n d .......................... 4,463 18 Capital sto ck paid i n ...................... $ 50.000 00 Surplus f u n d ..................................... 10.000 00 U ndivided p r o fits............................ 10,206 99 D ividends unpaid .................................................. Individ ual dep osits subject to c h e c k ..... 65,560 21 Dem and certificates of d e p o s it., 11,497 89 T im e certificates of d e p o s it....... 49,017 27 Certified c h e c k s................. .................................. C ashier’s checks ou tsta n d in g ............................ D ue to national b a n k s ................... 711 89 Due to sta te and p rivate banks and b a n k e r s ................................... 32 27 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal ............................................. Hastings. 8197,026 52 T o t a l ............................................. 8107,026 52 The A dams County Bank. Charter No. 197. W m . K e r r __ P resid en t Jno. M. Ragan | V ice-P resid en t R . A. P ic k e n s ___ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. B ESO U B C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8270,107 34 O verdrafts, secured and u n se cured ................................................. 2,211 28 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e ts ............................................................. B anking house, fu rn iture and fix tu r e s ............................................. 1.374 00 O ther real e s t a t e .............................. 4,388 00 Current ex p en ses and ta x e s paid 906 00 P rem iu m on U. S. and other bonds and s e c u r itie s......................................... Checks and oth er cash ite m s . . 442 38 Due from national, sta te and pri vate banks and bankers ........... 28,204 69 T o ta l cash on h a n d .......................... 14,805 34 C apital stock paid i n ...................... 860,000 00 Surplus fu n d ..................................... 20,000 00 U ndivided p r o fits....................... 17,760 89 D ividend s u n p a id ................................................... Individ ual d ep osits subject to c h e c k ................................................ 104,871 08 D em and certificates of d e p o s it.. 59,842 08 T im e certificates of d e p o sit.......................... .. Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ................... 943 54 D ue to sta te and p rivate banks and b a n k e r s .................................... 49,021 44 N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 10,000 00 T o t a l ............................................. 8322,439 03 T o ta l............................................... 8322,439 03 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETARY OF TH E STATE BAN KIN G BOARD I IS / Hay Springs. The Farm ers and M erchants Bank. Charter No. 200. D. T. T a y lo r ...P resid en t S. E. T a y lo r ........ V ice-P resid en t L. H. B a r h ite ........ Cashier ST A T E M E N T . D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . Goans and d isc o u n ts...................... $ 8,480 00 O verdrafts, secured and u n se 791 12 cured ................................................ S to ck s, secu rities, judgm ents, claim s, e t c ............................. ............................... B onds .......................................'.......... 150 25 O th er a s s e t s ............................................................. B anking house, furniture and fixtures .......................... 1,665 00 O ther real esta te ....... ......................................... Current exp en ses and ta x es paid 850 45 P rem ium on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s ....... 98 10 D ue from national, sta te and pri va te banks and b a n k e rs............. 1,906 33 T o ta l cash on h a n d ........................ 1,702 25 C apital stock paid i n ...................... SB 5,000 00 300 00 Surplus fu n d ..................................... U ndivided p r o fits......... ................. 1,005 39 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 6,606 57 Demand certificates of d e p o s it........................ . T im e certificates of d e p o s it......... 2,415 80 Certified c h e ck s................................ ................. C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and b a n k e rs......................................................... N otes and b ills red iscou n ted ....... 315 74 B ills p a y a b le ............................................................ T o ta l............................................. $ 15,643 50 T otal ............................................. $ 15,643 50 Hay Springs. The N orthw estern State Bank. C harter No. 201. C harles W e sto n ..P r e sid en t C. H. T ow nsend .. V ice-P resid en t W. B. M cQ ueen ..C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. G oans and d isc o u n ts...................... SB 18,285 96 O verdrafts, secured and u n se c u red ................................................ 278 64 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... 1,611 22 O ther a s s e ts ....................................... B ankin g house, fu rn iture and fixtures ............................... 500 00 O ther real esta te ............................ 603 99 C urrent exp en ses and ta x es paid 2426 P rem ium on IT. S. and other bonds and s e c u r itie s .................... ................. C hecks and oth er cash item s . . 130 25 D ue from national, sta te and pri v a te banks and b a n k e rs........... 8,508 44 T o ta l cash on h a n d ..... .................... 3.044 90 T o ta l............................................... 8 32,987 66 8 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital sto ck paid i n ...................... $ 5,000 00 Surplus fu n d ....................................... 548 69 U ndivided p r o fits............... ................................ D ividends u n p a id .................................................. Individual dep osits subject to check ............................................. 22,120 42 Dem and certificates of d e p o sit.. 163 05 T im e certificates of d e p o s it......... 5,155 50 Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to n ational b a n k s......................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ...................................... ................. T o t a l ............................................. * 32,987 66 EIG H TH ÏÏ4 Hebron. ANNUAL REPORT OF T H E The Thayer County Bank. C harter N o. 202. N. A. H e a th ................................P resid en t I W . D. G a lb ra ith .................. C ashier F. M. W eth era ld ...................... V ice-P resid en t | E. B. R o p er...........................A ssista n t C ash ier ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U RCES. L IA B IL IT IE S . L oan s and d isc o u n ts...................... $ 61,208 34 O verdrafts, secured and u n se cured ................................................. 333 09 S tock s, secu rities, judgm ents, 312 60 claim s, e t c ....................................... B o n d s........................................................................... Other a s s e t s .................................................. ........... B ankin g house, fu rn iture and fixtures ........................................... 7,500 00 O ther real e s t a t e .............................. 300 0 0 C urrent ex p en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s __ 8 6 6 06 D ue from national, sta te and pri 35,608 27 v a te banks and b a n k ers............. T o ta l cash on h a n d .......................... 12,904 66 T o t a l............................................. Henderson. $119,033 02 Capital stock paid i n ...................... $ 25,000 00' Surplus fu n d ....................................... 13,500 00 U ndivided p r o fits............................ 1,947 02 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to c h e c k ..................................... ........... 45,944 60 Dem and certificates of d e p o sit.. 1,150 00 T im e certificates of d e p o s it... 31.473 77 Certified c h e c k s ............................................... C ashier's ch eck s ou tsta n d in g ............................ D ue to n a tion al b a n k s......................................... Due to sta te and private banks and b a n k e rs................................... 17 63: N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $119,033 02: The B ank of Henderson. C harter No. 205. G eo. W . P o s t.. .P resid en t E . J . W ig h tm a n .. .V ice -P re sid e n t J. P. F u n k .. .C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 22,082 50 O verdrafts, secured and u n se cured ................................................. 131 13 S to ck s, secu rities, judgm ents, 350 00 claim s, e t c ..... ....................... B onds ........................................................................ Other a sse ts ........................ ............................... B ankin g house, fu rn iture and fix t u r e s ................................ 1,605 87 O ther real e s t a t e .................... 1,167 50 Current ex p en ses and ta x es paid 217 00 P rem iu m on U . S. and oth er bonds and s e c u r it i e s ......... 62 03 Checks and oth er cash item s ... 80031 D ue from national, sta te and p ri va te banks and b a n k ers.... 6,302 97 T o ta l cash on h a n d ................. 1,727 21 T o ta l......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 34,446 52 C apital sto ck paid i n ...................... $ 5,000 00 Surplus f u n d ..................................... 3,000 00 U ndivided p r o fits............................ 788 40' D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 6,597 01 D em and certificates of deposit | 1Qns, „ 1 ■ 01 11 T im e certificates of d e p o s it__ f Certified c h e c k s...................................................... C ashier’s check s o u tstan d in g___ D ue to na tion al b a n k s.................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... Total $ 34,446 52: SECRETARY Herman. OF T H E S T A T E BA N KIN G BOARD. ” 5 The Plateau Bank. Charter No. 207. G eorge C. L a tta ..................................P resid en t | J. H. C ham b ers........................................ C ashier ST A T E M E N T , D E C E M B ER 2. 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 90,084 14 O verdrafts, secured and u n se cu red .................................................. 2,884 37 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. O ther a s s e t s ....................................... B ankin g house, furniture and fixtures ............................................. 4.000 00 O ther real e s t a t e .............................. 4,397 52 Current exp en ses and ta x e s paid P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash ite m s ....... Due from national, sta te and pri v a te banks and b a n k ers............. 8,734 32 T ota l cash on h a n d .......................... 5,314 48 T otal $115,414 83 Capital sto ck paid in ....................... $ 20,000 00 Surplus f u n d ..................................... 500 00 U ndivided p r o fits............................ 3,192 6 8 D ividends un p aid .................................................... Individ ual d ep osits subject to c h e c k ................................................. 41,564 20 Dem and certificates of d e p o s it... 3,073 00 T im e certificates of d e p o s it......... 37,816 78 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ................... 131 15 D ue to sta te and private banks and b a n k e r s ................................... 627 62 N o tes and b ills red iscou n ted ....... 8,509 40 B ills p a y a b le ................................................ ........... Hickman. T otal $115,414 83 The B ank of Hickm an. C harter No. 208. L . E n y a r t...................................P resid en t I W. B. M o r r is o n .................C ashier J. H . Catron, J r ....................... V ice-P resid en t | C. L . M orrison..................A ssista n t C ashier ST A T E M E N T , D ECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and discounts ...................... $ 31,923 07 O verdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ......................................................................... O ther a s s e t s ............................................................. Banking house, fu rn iture and fix tu res ........................................... 355 00 O ther real e s t a t e ................................................ Current ex p en ses and ta x es paid 889 79 P rem iu m on U . S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s __ 810 99 D ue from national, sta te and p ri v a te banks and b a n k ers............. 46,235 41 T ota l cash on h a n d .......................... 4,509 13 C apital sto ck paid i n ...................... $ 10.000 00 Surplus fu n d ..................................... 2,000 00 U ndivided p r o f it s ...................... .. 1,993 42 D ividends un p aid ..................................................... Individual d ep osits su b ject to c h e c k ................................................. 41,664 19 Dem and certificates of d e p o sit.. 11.135 28 T im e certifica tes of d e p o s it........... 17,927 50 Certified c h e c k s....................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ....................................... D ue to sta te and p rivate banks and b a n k e r s .................................. N o tes and b ills r e d is c o u n te d __ B ills p a y a b le ...................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 84.720 39 T otal $ 84,720 39 EIG H TH 1 1 6 Hildreth. ANNUAL REPORT OF T H E The F ran k lin County Rank. C harter No. 209. J. P. A. B la c k .. . .P resid en t Chas. K. H a r t__ V ic e-P r e sid en t W. S. M ean ___C ashier ST A T EM E N T. D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 24,750 33 O verdrafts, secured and u n se cured ......................................................................... Stocks, secu rities, judgm ents, claim s, e t c .............................................................. Bonds ......................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and f ix t u r e s .,......................................... 1,404 27 Other real e s t a te ...................................................... Current ex p en ses and ta x es paid 1,259 70 P i’em ium on U. S. and other bonds and s e c u r it ie s .................................... C hecks and oth er cash ite m s ...................... Due from national, sta te and p ri 6,62103 v a te banks and b a n k e rs............. T o ta l cash on h a n d .......................... 2.941 00 T o ta l............................................. Holstein. $ 36,976 33 C apital stock paid i n ..................... $ 5,000 00 Surplus fu n d .......................................... 1,00000 U ndivided p r o fits............................ 2,470 44 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 15,604 79 Dem and certificates of d e p o sit.. 11,005 75 T im e certificates of d e p o sit......... 1,895 35 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private ban k s and b a n k e r s ........................................................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l............................... .. $ 36,976 33 The B ank of Holstein. C harter No. 543. W m . M a d g ett.............................................................................................................................................. Owner ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 3,248 63 O verdrafts, secured and u n se cured.................................................. 10 50 S to ck s, securities, judgm ents, claim s, e t c .............................................................. B onds........................................................................... R evenue sta m p s ............................ 5 95 B anking house, furniture and fixtures .................................................................. O ther real e s t a t e ................................................ Current ex p en ses and ta x e s paid 191 83 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and oth er cash item s ................. D ue from national, sta te and p rivate banks and b a n k e r s __ 2,880 07 T o ta l cash on h a n d .......................... 1.99193 Capital stock paid in ...................... $ 5,000 00 Surplus f u n d ............................................................ U ndivided profits ............................ 263 80 D ividends unpaid ................................................. Individ ual dep osits su b ject to c h e c k ................................................. 2,966 94 D em and certificates of d e p o s it ......................... T im e certificates of d e p o sit................................ C ertified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to national b a n k s.................... 98 17 Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis * 8.328 91 T otal $ 8,328 91 SECRETARY Homer. OF T H E STATE BAN KIN G BOARD, r i7 The Homer State Bank. Charter No. 211. S . A. O’C onnor....................... P resid en t I C. J. O’C onnor................... Cashier W m. N ix o n ......... ...................V ice-P resid en t | C. J. O'Connor. J r ..............A ssista n t C ashier ST A T E M E N T , D E CEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n ts ........ ........... $ 14,069 48 O verdrafts, secured and u n se cu red .................................................. 12 81 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................ : ................................................ Other a sse ts . . . ........................................................ B ankin g house, furniture and fix t u r e s ............................................. 1.268 03 O ther real e s t a t e .............................. 650 00 Current ex p en ses and ta x es paid 1,033 34 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash item s ...................... D ue from national, sta te and private banks and b a n k e r s ___ 2.430 68 T ota l cash on h a n d .......................... 1.813 46 T o ta l............................................... $ 21,307 80 C apital stock paid in ....................... $ 5,000 00Surplus f u n d ..................................... 1,500 00 U ndivided p r o f it s ............................ 1,328 37 D ividends u n p a id ................................................ . Individ ual dep osits subject to c h e c k ................................................ 4,829 71 D em and certifica tes of d e p o s it ..................... 8.620 72 T im e certificates of dep osit ....... Rent a c o u n t....................................... 29 00 C ashier’s check s o u tsta n d in g ,.......................... D ue to n ational b a n k s ......................................... Due to sta te and private banks and bankers .................................. N o tes and b ills r ed isc o u n te d ... . B ills p a y a b le ..................................... Hooper. T o ta l.............................................. $ 21,307 80 The Dodge County Bank. Charter N o. 212. Jerry D e n slo w .........................P resid en t I T . W . L y m a n ....................C ashier Theo. U e h lin g ......... ................ V ice-P resid en t | E d. U e h lin g ........................ A ssista n t C ashier ST A T E M E N T . D EC E M B ER 2. 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d is c o u n t s ...................... $114,163 15 O verdrafts, secured and u n se cured ................................................ 563 27 S tock s, secu rities, judgm ents. claim s, e t c ............................................................. B onds ........ .............................................................. O ther a s s e t s ....................................... 88 94 B ankin g house, fu rn iture and f ix t u r e s ............................................. 5,465 00 O ther real e s t a te .................................................... Current exp en ses and ta x es paid 3,705 20 P rem iu m on U. S. and oth er bonds and s e c u r itie s ........................................... C hecks and other cash it e m s ............................. D ue from national, sta te and p ri v a te banks and b a n k e rs............. 39,123 71 T o ta l cash on h a n d .......................... 9,871 75 $172,981 02 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid in ...................... $ 20,000 00 Surplus f u n d ..................................... 5,000 00 U ndivided profits ............................... 10,18656 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to c h e c k .................................................... 61,50736Dem and certificates of d e p o sit.. 1,515 05 T im e certificates of d e p o s it......... 74,772 05 Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal $172,981 02 i i 8 EIG H TH Hooper. ANNUAL REPO RT OF TH E The State Bank of Hooper. C harter No. 520. John H e im r ic h .......................... P resid en t i H. E. A d a m s ........................ C ashier H. B. T r e a t........................ .....V ic e -P r e s id e n t | G eo. J . A d a m s....................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L I A B IL I T I E S . L oans and d is c o u n t s ...................... $ 92,257 59 O verdrafts, secured and u n se cu red .................................................. 30 74 Stock s, secu rities, judgm ents, claim s, e t c ............................................. .'.............. B onds ......................................................................... 108 32 R evenue s ta m p s ............................... B ankin g house, furniture and fix t u r e s ............................................. 3,205 90 Other real e s t a t e ............................ 500 00 Current exp en ses and ta x e s paid 599 61 P rem iu m on U . S. and oth er bonds and s e c u r it i e s ......................................... C hecks and other ca sh ite m s ............................ D ue from national, s ta te and p r i 47.813 58 v a te ban k s and b a n k e r s ........... T o ta l cash on h a n d .......................... 7.516 99 T o ta l.............................................. $152,062 76 C apital stock paid i n ...................... $ 20,0t)0 00 Surplus fu n d ................ 2,000 00 U ndivided p r o fits ............................ 2,874 64 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k .................................'.............. 88,609 01 Dem and certificates of d e p o sit.. 2,132 35 T im e certificates of d e p o s it....... 36,418 71 Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to n ational banks ........................................ Due to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills r ed isco u n ted ............................ S u n d r ie s............................................... 28 05 Howe. T o ta l.............................................. $152,062 76 The Bank of Howe. Charter No. 512. H. C. K lecltner. ..P r e sid e n t W m. C am pbell.. .V ice -P re sid e n t John T. C o x .. .C ashier ST A T E M E N T , D E CE M B ER 2. 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... •$ 11,620 61 O verdrafts, secured and u n se cu red ......................................................................... S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fixtures ........................................... 2,059 44 Other real e s t a t e .................... ............................... Current ex p en ses and ta x es paid 886 45 Prem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er ca sh ite m s . .. 350 00 D ue from national, sta te and p ri v a te ban ks and b a n k e r s ........... 15,631 13 T o ta l cash on h a n d .......................... 2,597 83 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis * 33,145 49 C apital sto ck paid i n ...................... $ 10.000 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 1,079 44 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to check . . . . .................................. 22,066 05 D em and certificates of d e p o s it.. T im e certificates of d e p o s it......... Certified ch eck s .............................. C ashier’s check s ou tstan d in g — D ue to national b a n k s ................ Due to sta te and private banks and bankers .................................. N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T otal $ 33.145 49 SECRETARY Howells. OF T H E STATE BAN K IN G BOARD. II9 The Colfax County Bank. Charter No. 214. J o s e p h Sm atlan .......................P resid en t I B. P . F o l d a ......................... C ashier E. P. F o ld a ................................V ice-P resid en t | A . F o ld a ................................ A ssista n t C ashier ST A T EM E N T, DECEM BER 2, 1899. R E SO U R C ES. L IA B IL IT IE S . L o a n s and d iscounts ..................... $ 80,995 02 'Overdrafts, secured and u n se cured .................... .......................... 27 70 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ......................................................................... O ther a s s e t s ............................................................ B ankin g house, furniture and 3.500 00 fix tu res ........................................... O th er real e s t a t e .................................................. C urren t ex p en ses and ta x e s paid 978 12 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... ■Checks and oth er cash it e m s .... 3 50 D ue from national, sta te and pri va te banks and b a n k ers............. 15,26.3 92 T o ta l cash on h a n d .......................... 5,650 99 T o t a l . . . . ! ..................................... *106,419 25 C apital sto ck paid i n ...................... * 10,500 00 Surplus f u n d ..................................... 2,500 00 U ndivided p r o f it s ............................ 3,502 71 D ividends u n p a id ..... .................................. Individual d ep osits subject to c h e c k ................................................ 36.771 59 Demand certificates of d e p o sit.. 9,650 40 T im e certificates of d e p o s it.......... 43,494 55 Certified checks .............................. C ashier’s check s ou tstan d in g — Due to n ational b a n k s ................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills x-ediscounted__ B ills p a y a b le ..................................... Hubbell. T o t a l ............. ............................... *106,419 25 The H ubbell Bank. C harter No. 215. .Owner W . H. Conklin ST A T E M E N T , D EC E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... * 41,833 40 O verdrafts, secured and u n se cured ................................................ 20 31 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s ........................................................................... ■Other a s s e t s ............................................................. B anking house, fu rn iture and fix t u r e s ............................................. 2,726 93 O th er real e s t a t e . .. ........................................... Current ex p en ses and ta x e s .............................. Prem iu m on U. S and other bonds anil s e c u r it i e s ................................. C hecks and o th er cash item s — 1,423 37 D ue from national, sta te and p riv a te banks and ban kers — 12,161 46 T o ta l cash on h a n d .......................... 3.8T8 22 * 62.043 69 T otal C apital sto ck paid in ...................... * 10.000 00 5,000 00 Surplus fund ................................. U ndivided p r o f it s ......... .................. 5,854 84 D ividend s u n p a id .................................................. Individual dep osits subject to c h e c k ......................................... ... 41,188 85 D em and certificates of deposit .. T im e certificates of deposit . .. . Certified c h e c k s ................................ C ashier’s checks outstan ding — Due to national b a n k s .................. D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills rediscounted — B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 62,043 69 . 120 E IG H T H Humboldt. ANNUAL REPO RT OF THE The State B ank of H um boldt. Charter No. 216. S. P . G is t .......................... . .. P resid en t I J. T. W a ls h .......................... Cashier W . A . G reen w a ld .................... V ic e-P r e sid en t | H. E. Bojrd .............................A ssista n t C ash ier ST A T EM E N T. D EC E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 66,555 35 O verdrafts, secured and u n se cured ................................................. 8.239 46 S to ck s, secu rities, judgm ents. claim s, e t c .............................................................. B o n d s........................................................................... <>ther a s s e ts .............................................................. B ankin g house, fu rn iture and fix t u r e s ........... ................................. 5,490 22 O ther real e sta te .................................................. Current ex p en ses and ta x es paid 2,927 90 Prem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s .......................... D ue from national, sta te and private banks and bankers . . . . 3.658 60 T o ta l cash on han d .......................... 3,682 46 C apital sto ck paid in ...................... $ 25,000 CO Surplus f u n d ........................................................... U ndivided p r o f it s ........................... 4,504 45D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 30,269 14 D em and certificates of deposit .. 10.780 40 T im e certificates of d e p o s it................................ Certified c h e c k s ..... .......................... ................. C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s........................................... Due to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted ........ 15,000 00* B ills p a y a b le ............................................................ T o ta l............................................... $ 85,553 99 Humphrey. T o ta l......................................... . 1 85,553 90 The Bank of O ttis & M urphy. Charter No. 217. T . K . O ttis .............................................P resid en t | P . E .M o K illip ........................................ CashierST A T EM E N T, D E CEM BER 2. 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 97,020 79 O verdrafts, secured and u n se cured ................................................. 520 29 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... O ther a sse ts ..... ................................................ B ankin g house, furniture and 500 00 fix t u r e s ............................ Other real e s t a t e .......................... . 2,492 49 C urrent ex p en ses and ta x es paid 2,541 ¡4 P rem iu m on U. S. and other bonds and s e c u r it ie s ....................................... C hecks and other cash it e m s ....... 434 23 D ue from national, sta te and pri va te banks and b a n k e r s ............. 10,580 85 T otal cash on h a n d .......... 8.579 50 C a p ita l.................................................. $ 25,000 00* Surplus f u n d ..................................... 3,384 85U ndivided p r o f it s ............................ 5,807 84 D ividends unpaid..................................................... Individ ual dep osits subject to c h e c k ................................................. 48,186 82D em and certificates ofdeposit .. 12,427 33 T im e certificates of d e p o s it......... 2?,862 45 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8122.669 29 f ' t o r tU . i lilO f i P.rl UC I1C C IV 7 5.... ........................... C ashier’s check s o u tsta n d in g __ Due to national b a n k s ................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscoun ted....... B ills p a y a b le ................................... : T o ta l__ . . . . 1122,669 29* SECRETARY Humphrey. OF THE ST A T E B A N K IN G BOARD. I 2 I The Citizens Bank. Charter No. 218. W . A. M c A llister ..P r e sid en t B ey M artyn..C ash ier Thos. H u r s t..A ss is ta n t C ashier ST A T EM E N T. D ECEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 43,298 10 O verdrafts, secured and un se cu red .................................................. 1,656 38 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... O ther a s s e ts ....................................... 179 66 B ankin g house, furniture and f ix t u r e s ............................................ 1,875 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid 856 76 P rem iu m s on U. S. and other bonds and secu rities .................................. C hecks and oth er cash item s .. . 3,077 04 D ue from national, sta te and p ri va te banks and b a n k e rs............. 8,307 14 T ota l cash on h a n d .......................... 4,448 32 C apital stock paid in ....................... I 15,000 00 Surplus fund........................................ 637 00 1,183 98 U ndivided profits .......................... D ividends unpaid ................................................ Individ ual deposits subject to c h e c k ................................................. 17.830 91 D em and certiiicates of deposit .. 10,949 35 T im e certiiicates of d e p o s it ....... 18,097 16 Certified c h e c k s ............................... C ashier’s check s o u tsta n d in g __ Due to national b a n k s ................... Due to sta te and private banks and b a n k e r s .................................. N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o t a i.............................................. Hy annis. $ 63,698 40 T otal ............................................ $ 63,698 40 The Bank of Hyaiinis. Charter No. 486. B a rtle tt R ic h a r d s.. .P r esid e n t S. S. S ea rs.. .V ice -P re sid e n t A. A. R ecord. ..C a sh ie r ST A T EM E N T, D E CEM BER 2, 1899. RESOURCES L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 67,643 18 O verdrafts, secured and u n se cured ................................................. 53 36 S to ck s, secu rities judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... R evenue s ta m p s ............................... 205 60 B an k in g house, fu rn iture and fixtures .......................................... 1,800 00 O ther real e s t a t e ............................................... Current exp en ses and ta x es paid 335 70 P rem iu m on U. S. and other bonds and s e c u r it ie s ..................................... C hecks and other cash ite m s . . . . 68 D ue from national, sta te and p ri v a te banks and bankers ........... 51,778 47 T ota l cash on h a n d .......................... 5,393 40 $127,210 39 T otal C apital stock paid in ...................... $ 15.000 00 Surplus fund .................................. 2,500 00 U ndivided p r o f it s ............................ 4.385 68 D ividend s u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................. 91,970 62 Dem and certificates of deposit . 2,567 18 T im e certificates of d e p o s it ........ 10,728 06 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g __ 58 27 D ue to national banks .......................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le .................... ....................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $127,210 3 9 122 Imperial. EIGH TH ANNUAL R E P O R T OF T H E The Farm ers and Merchants Bank. C harter No. 219. J . M. S e w e ll. ............. President | O. P . S h a llen b erg er. .C a sh ier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 37,994 11 O verdrafts, secured and u n se cured ................................................. 310 94 S to ck s, sec u r ities, judgm ents, claim s, e t c ............................................................... B o n d s........................................................................... 593 55 L iv e sto ck a c co u n t........................ B anking house, furniture and fix tu r e s ............................................. .... 2.729 41 O ther real e s t a t e .............................. 3.566 69 ■Current ex p en ses and ta x e s paid 2,058 19 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash i t e m s ............................ D ue from n ational, sta te and pri v a te banks and b a n k e r s............. 9,851 88 3.809 35 T o ta l cash on han d .......................... C apital sto ck paid in . . . ___ — $ 25.000 00 Surplus f u n d ............................................................ 3,598 03 U ndivided p r o f it s .......................... D ividends u n p a id ............................ ........... Individ ual d ep osits subject to c h e c k ................................................ 26,969 43 D em and certificates of d e p o s it.. 1,000 00 T im e certificates of d e p o s it ....... 4,346 66 Certified check s ........................ ...................... C ashier's check s ou tsta n d in g ............................ D C to UD national llcli t'J CM-lOil b U cal iInl iY DUue k csi........................... ......................................... D ue to sta te and p rivate banks and b a n k e r s................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le .......................... ........... T o ta l............................................... 8 60,914 12 T o t a l ............................................. $ 60,914 12 Indianola. The State Bank. Charter No. 220. J . W . D o la n .........................................P resid en t | M ichael M o r r is........................................ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts........................ $ 65,320 05 O verdrafts, secured and u n se 2,359 19 cu red .................................................. S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ....................................................................... O ther a s s e t s ....................................... 857 37 B ankin g house, furniture and fixtures ......................................... 10,831 50 O ther real e s t a te ................................ 11,147 37 C urrent ex p en ses and ta x e s paid 994 00 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s ....... 15 00 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 14,586 15 T o ta l cash on h a n d .......................... 4,089 96 C apital stock paid in ...................... if 40,000 00 Surplus fu n d ..................................... 638 00 U ndivided p r o fits............................ 5,483 31 D ividends unpaid ................................................. Individ ual d ep osits subject to c h e c k ................................................. 46,055 33 Demand certificates of d e p o s it... 4,011 09 9,722 00 T im e certificates of d e p o sit......... Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s ............... .. ................. D ue to sta te and private banks 4,290 86 and b a n k e rs................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal ............................................. if 110,200 59 T otal ............................................. SI 10.200 59 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETARY Ithaca. OF T H E STATE BAN KIN G BOARD I 2 3 The Ithaca State Bank. Charter No. 221. <J. F . W a g n e r ......................... P resid en t I John Gerry S ta r k ............... C ashier E . A . S to p h e r ...........................V ice-P resid en t | Olof N . Olson .......................A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899 R ESO U RCES. L IA B IL IT IE S . G oans and d isc o u n ts...................... I 30.623 60 O verdrafts, secured and u n se c u r e d . . . ; ......................................... 41008 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... R e v e n u e .................. ..............., .......... 56 00 B ankin g house, furniture and fix tu r e s .................................................. 1,913 00 O th er real e s t a te .................................................... C urrent ex p en ses and taxes paid 956 13 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash i t e m s __ 84 82 D ue from national, sta te and pri 9.207 01 v a te banks and b a n k e r s ........... 'Total cash on h a n d ........................ 4,202 75 T o t a l ............................................. $ 47,453 44 Jackson. C apital sto ck paid in ...................... Su rp lus f u n d .............................. .. . U ndivided pro t i t s ............................ Di vidends u n p a id ............................ Individual d ep osits su b ject to c h e c k .......................................... D em and certificates of dep osit .. T im e certificates of d e p o s it ....... Certified checks ........................ C ashier’s check s o u tsta n d in g __ D ue to national b a n k s ................... Due to sta te and private banks and b a n k e rs.................................. N o tes and b ills r e d isc o u n te d __ B ills payable .................................... $ 7,250 00 182 50 1,886 33 16,204 61 18.857 00 "3,073*00 T o ta l................., ............................ $ 47,453 44 The B ank of D akota County. • C harter No. 477. E d F . K earney P resid en t Ed F. K ea r n e y .. C ashier C. M. K earney ..A s s is ta n t C ashier ST A T E M E N T , D E CEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . G oans and d isc o u n ts...................... $ 51,182 36 O verdrafts, secured and u n se c u r ed ..... ............................................ 129 46 S to ck s, secu rities, judgm ents. claim s, e t c .............................................................. B o n d s .......................................................................... O th er a s se ts .......................................................... B ankin g house, furniture and fix tu r e s .................................................. 1,504 8 6 O th er real e s t a te .............................. 2,026 49 -Current ex p en ses and ta x es paid 176 15 P rem iu m on U . S. and other bonds and s e c u r it i e s ................... ................. ■Checks and other ca sh i t e m s ............................ D ue from national, sta te and p r iv a te banks and b a n k e r s ___ 13,137 52 T o ta l cash on h a n d ........................ 5,717 82 C apital stock paid in ...................... $10,000 00 Surplus f u n d ..................................... 200 00 U ndivided p r o f it s ........................ ,. 212 08 D ividends un paid .................................................... Individual dep osits subject to c h e c k ................................................ ‘ 15,342 63 D em and certificates of d e p o s it.. 1,350 00 T im e certificates of d e p o s it ....... 46,754 26 Certified c h e c k s ........................ ........................... C ashier’s cheeks o u tsta n d in g __ 15 69 Due to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ___ B ills p a y a b le ..................................... Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 73,874 66 T otal $ 73.874 66 EIG H TH 124 Jansen. ANNUAL REPORT OF T H E T he Jansen Bank. C harter No. 223. D. L e w is .............................................. P resid en t i G elasia D. L e w i s ................................... C ash ier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 47,063 90 O verdrafts, secured and u n se cured ................................................. 186 57 S to ck s, secu rities, judgm ents, claim s, e tc .............................................................. B o n d s .. ..................................................................... O ther a s s e t s ...- ....................................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 3,000 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid ................. Prem iu m on U. S. and other boiids and s e c u r itie s ........................................... C hecks and other cash ite m s .............................. D ue from national, sta te and p ri 4,581 72 v a te banks and b a n k ers............. T o ta l cash on h a n d .......................... 4,024 56 T otal ............................................. $ 58,856 75 Johnson. • C apital stock paid in ...................... Surplus fu n d ....................................... U ndivided p r o fits.............................. D ividends u n p aid .............................. Individual d ep osits subject to c h e c k ........................................... . . . Demand certificates of d e p o s it... T im e certificates of d e p o s it......... Certified c h e c k s ............................... C ashier's check s o u tsta n d in g __ Due to n ational b a n k s........... ......... D ue to sta te and private banks and b a n k ers................................... N o tes and b ills red iscou n ted __ B ills payable .................................... Total $ 10 ,0 0 0 oo 10,000 00 2,147 72: 36,243 03 466 00- $ 58,856 75. The Farm ers Bank of Johnson. i Charter No. 224. P eter B e r le t.. P resid en t John F . H ollgrew e .V ice-P resid en t L ouis J . L in t z .. Cashiei* ST A T EM E N T, DECEM BER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 49,292 82 O verdrafts, secured and u n se cured ................................................. 144 05 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B ankin g house, furniture and fix tu res .................................................. Other real e s t a t e .............................. Current ex p en ses and ta x e s paid Prem iu m on U. S. and other C hecks and oth er cash ite m s __ D ue from national, sta te and p riv a te banks and b a n k e rs__ T o ta l cash on h a n d .......................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 210 00 " 803'58 401 87 14.930 08 3,714 96 $ 72,487 36 C apital stock paid in ...................... $15.000 00Surplus fund ................................. 3,000 00U ndivided p r o fit s ............................ 6,090 Di vidends unpaid ................................................. Individ ual d ep osits subject to 32,296 94 c h e e k ................................................ D em and certificates of d e p o s its , 295 00T im e certificates of d e p o s it......... 15,805 00Certified c h e c k s ............................... C ashier’s ch eck s ou tsta n d in g __ Due to national b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills rediscounted . .. . B ills p a y a b le ...................................... T otal $ 72,487 3*> SEC R ETA R Y Julian. OF THE ST A T E B A N K IN G BOARD. 125 The B ank of Julian. C harter No. 226. ■J. E. C asselm an . .. P resid en t E m ile B er le t.. .V ice -P re sid e n t C. L. M esn et.. .C ashier ST A T E M E N T , D E CE M B ER 2, 1890. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 42,133 19 O verdrafts, secured and u n se cu red .................................................. 187 49 S to ck s, secu rities, judgm ents, claim s, e tc .............................................................. B onds ......................................................................... O ther a s s e t s ............................................................. B anking house, fu rn iture and fixtures ........................................... 2,480 00 O ther real e s t a te .................................................... C urrent ex p en ses and ta x e s paid. 1,010 25 P rem iu m on TT. S. and other bonds and s e c u r itie s ................... C hecks and other cash ite m s ............................ Due from national, sta te and pri v a te banks and b a n k e rs......... . 33,838 67 T o ta l cash on h a n d .......................... 2,448 86 T otal ............................................. 8 82,098 46 Juniata. Capital stock paid in ...................... $ 10,000 00 Surplus fund .................................. 2,000 00 1,93134 U ndivided p r o fits.............................. D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e ck ................................... 47.212 62 Dem and certificates of deposit .. 1,61450 T im e certificates of deposit . . . . 19.31000 Certified c h e ck s...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ........................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ............................................................ T otal ............................................. 8 82.098 46 The B ank of C. II. Jones tfe Co. Charter No. 227. C . E. Jones. G eo. F . B ro w n .................:......................................................................................... P artn ers ST A T E M E N T , D E CEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts.................... 8 40,495 17 O verdrafts, secured and u n se cured ............................ ................... 573 53 S to ck s, secu rities, ju dgm ents...................... claim s, e t c ....................................... B o n d s......................................................................... O ther a s s e t s ............................................................. B ankin g house, furniture and fix tu res ......................................... 1,599 40 O ther real e s t a te ...................................................... C urrent ex p en ses and ta x es paid 2,107 81 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash ite m s ............................ Due from national, sta te and pri v a te banks and h a n k ers............. 24,506 46 T o ta l cash on h a n d .......................... 3,900 54 $ 73,182 91 Total Capital stock paid i n ...................... 820!000 00 Surplus fu n d ....................................... 2,000 00 U ndivided p r o fits.............................. 5,892 39 D ividends u n p a id .................................................. Individual dep osits subject to check ................................................. 11,039 05 D em and certificates of d e p o sit.. 20,101 15 T im e certificates of d e p o s it......... 14,150 32 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s........................................... Due to sta te and private banks and b a n k ers.................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le .................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal * 73,182 91 I2Ó E IG H T H Kearney. ANNUAL REPORT OF THE The Farm ers Bank. Charter No. 228. J . G. L o w e — P resid en t W. E. J a c k w a y __ V ic e-P r e sid en t J . A . B o y d ___ C ash ier ST A T E M E N T . DECEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S L oans and d isc o u n ts...................... $ 62,807 65 O verdrafts, secured and u n se c u red .................................................. 480 82 Stock s, secu rities, judgm ents, claim s, a n d county w a n a n t s .. 1.272 66 P e rso n a l p r o p e r ty ............................ 1,000 00 In t rnal revenue s ta m p s ............. 488 83 B ankin g house, fu rn iture and fix t u r e s ............................................. 2,500 00 Other real e s t a t e .............................. 1,600 00 Current ex p en ses and ta x es paid 3,681 92 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and oth er cash i t e m s ___ 817 83 D ue from national, sta te and p ri v a te banks and b a n k ers............... 7,390 29 T o ta l cash on h a n d .......................... 10,667 05 C apital sto ck paid i n .................... .. $ 5,000 OO Surplus fu n d ............................................................. U ndivided p r o fits.............................. ^5,697 36. D ividends u n p aid .................................................... Individual dep osits subject to c h e ck .................................................. 45,611 56 D em and certificates of d e p o s it. .. 6,791 47 T im e certificates of d e p o s it......... 9,606 66. Certified c h e c k s...................................................... C ashier's check s o u tsta n d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and p rivate banks and b a n k e rs................................... N o tes and bills red iscou n ted __ _ B ills p a y a b le ..................................... T otal ............................................. $ 92.707 05 T o t a l............................................... *o92,707 0»- Kenesaw. The Kenesaw Exchange Bank. Charter No. 229. H . E . N orton .................................. . ..P r e sid e n t | L . Gn. N o r t o n ........................................... C a sh ier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L oans and d isc o u n ts...................... $ 37,521 20 O verdrafts, secured and u n se cu red .................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, furniture and fixtures ............................................. 3,338 77 Other real e s t a t e ................................ Current ex p en ses and ta x e s paid ’ ’ ’ ¿60' 71 P rem iu m on U . S. and other bonds and s e c u r itie s .................... Checks ond oth er cash ite m s ....... 59Ì 5Ì D ue from national, sta te and pri v a te banks and b a n k ers............. 15.056 67 T o ta l cash on h a n d .......................... 3,140 05 T otal $ 60.308 91 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital sto c k paid in ...................... $15.000 00Surplus fund ................................... ( 2,000 00 U ndivided p r o fits............................. f 3,010 35D ividends un p aid ....................................... ............ Individ ual dep osits subject to 24,241 57 c h e c k .................................................. Dem and certificates of d e p o s it ... 13,37399T im e certificates of d e p o sit......... 2,683 00 Certified c h e c k s ............................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to national banks ................................... D ue to sta te and private banks and b a n k e rs..................................... N o tes and b ills red iscou n ted __ B ills p a y a b le ..................................... T otal $ 60,308 9 i SECRETARY Kennard. OF T H E S T A T E BAN K IN G BOARD 1 2 7 The Farm ers and M erchants Bank. C harter No. 499. M agnus Johnson. ..P r e sid e n t W. H. H arrison .. .C ashier John J a p p .. .V ice-P resident ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts....................... $ 45,189 32 O verdrafts, secured and u n se cu red .................................................. 240 01 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s .......................................................................... O ther a s s e ts .............................................................. B anking house, furniture and f ix t u r e s ............................................. 743 57 O ther real e s t a te .................................................... Current ex p en ses and ta x e s paid 1,659 36 P rem iu m on U. S. and oth er bonds and secu rities ....................................... Checks and oth er cash ite m s ....... 1,057 98 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 2,359 98 T o ta l cash on h a n d .......................... 2,853 J6 C apital stock paid i n ...................... 8 10,000 00 Surplus fu n d ............................................................. U ndivided p r o fits ............................. 2,452 97 D ividends u n p aid .................................................... Individ ual dep osits subject to c h e c k ................................................. 20,024 86 Demand certificates of d e p o s it... 110 06T im e certificates of d e p o s it......... 12,438 50 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ D ue to national b a n k s.................... D ue to sta te and p rivate banks and b a n k e r s ................................... 3,000 00 N o tes and b ills red iscou n ted ....... 6,076 99 B ills p a y a b le ........................ *................................. T o ta l............................................... $ 54,103 38 T o t a l ............................................. $ 54,103 38 Kimball. The Bank of K im ball. Charter No. 230. C. A. B ic k e l.........................................P resid en t I L . W . B ickel..............................................C ashier ST A T EM E N T, D E C E M B ER 2. 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 33,991 33 Overdrafts, secured and u n se c u red .................................................. 326 55 S tock s, secu rities, judgm ents, claim s, e t c ................................... 302 65 B o n d s........................................................................... O ther a s s e ts ............................................................. B ankin g house, furniture and fix tu r es............................................. 2,970 18 O ther real e s t a t e ................... .......... 1,391 32 Current ex p en ses and ta x es paid 850 39 P rem iu m on U. S. and other bonds and s e c u r itie s ................... C hecks and other cash ite m s __ D ue from national, sta te and p ri v a te banks and b a n k e r s ............ 50,759 48 T o ta l cash on h a n d .......................... 4,183 47 8 94,775 37 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital sto ck paid i n ...................... 8 8.500 00 Surplus fu n d ..................................... 8,500 00 U ndivided p r o fits........ 3,650 43 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k ........................... 65,344 55 Demand certificates of d e p o s it.. . 40975 T im e certificates of d e p o sit......... 8,370 64 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ...... ................. Due to national b a n k s ......................................... Due to sta te and p rivate banks and b a n k e r s ..................., .............. N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal 8 94,775 37 128 EIGH TH Laurel. ANNUAL REPORT OF T H E The Farm ers State Bank. C harter No. 232. D . B. W ils o n ..,.P r e s id e n t Guy W ils o n ... C ashier Oscar A. J o h n so n __ A ss’t C ashier ST A T E M E N T , D E CEM BER 2, 1891). R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts..................... 8 45,156 82 O verdrafts, secured and unse cured ....... 209 83 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 80 05 Bonds ......................................... ............................. In tern a l revenue sta m p s ............. 107 42 B ankin g hou se, furniture and fix t u r e s ............................................. 1,562 62 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 849 09 P rem iu m on U. S. and other bonds and s e c u r i t i e s ....................................... C hecks and oth er cash ite m s __ 410 44 D ue from national, sta te and p ri vate hanks and b a n k e r s ........... 4,543 01 T otal cash on h a n d .......................... 2,192 44 Capital sto ck paid i n ...................... $ 20,000 00 Surplus f u n d ..................................... 1.075 00 U ndivided p r o fits............................ 1,332 16 D ividends u n p a id .................................................... Individ ual deposits subject to check — 18,109 68 D em and certificates of d e p o sit.. 664 10 13.778 78 T im e certificates of d e p o s it....... Certified c h e c k s ................................ 152 00 C ashier’s check s ou tsta n d in g __ D ue to national b a n k s ......... . Due to sta te and private banks ' and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o t a l ............................................. <f> 55,111 72 T o t a l ............................................. $ 55,111 72 Laurel. The Laurel State Bank. Charter N o. 233. T . E . Clark’ ............................... P resid en t ) E . R . G u r n e y .....................C ashier F . A . M cCornack.................. V ic e-P r e sid en t | W . T. G r a h a m .................. A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C ES. L IA B IL IT IE S . Loans and d is c o u n t s ...................... $ 79,254 06 I C apital stock paid i n ........... •.......... $25,000 00 O verdrafts, secured and u n se Surplus fu n d ..................................... 2,000 00 cured ................... ........................ .. | U ndivided p r o fits............................ l,02o 04 S to ck s, secu rities, judgm ents, D ividends u n p a id .................................................. claim s, e t c ....................................... Individ ual d ep osits subject to B o n d s..................................................... c h e c k ................................................. 33,201 95 R evenue stam ps on h a n d ............. 47S 67 D em and certificates of d e p o s it..................... Banking house, fu rn iture and T im e certificates of d e p o sit....... 21,614 42 fix tu r e s ............................................. 1 00 Certified c h e c k s .......................... ........................... O ther real e s t a t e . . . . ..................... C ashier’s check s o u tsta n d in g ............................ Current ex p en ses and ta x e s paid D ue to n ational b a n k s .......................... . . Prem ium on U. S. and other D ue to sta te and p rivate banks bonds and s e c u r itie s ................... and b a n k e r s .......................................................... C hecks and oth er cash ite m s . . C attle paper red iscou n ted ........... 4,766 36 D ue from national, sta te and p ri B ills p a y a b le ............................................................ va te banks and bankers ........... 4,896 29 T o ta l cash on h a n d .......................... 2,977 75 T otal * 87,607 77 T otal $ 87,607 77 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY Lawrence. OF TH E STA TE B A N K IN G BOARD, 1 2 9 The State Bank of Lawrence. Charter No. 234. H . G ilsd o rf....... P resid en t John S ch u m .........V ice-P resid en t T. H. C h r isty ........ C ashier ST A T E M E N T . D E CEM BER 2. 1899. R E SO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 30.706 40 O verdrafts, secured and u n se 136 90 cured ................................................ S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 1,120 53 B onds ........................................................................ T o cover a c c 'ts ................................... 129 00 B ankin g house, fu rn iture and 1,899 12 fixtures ......................................... O ther real esta te ............................ 1,500 00 C urrent ex p en ses and ta x e s paid 504 25 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s .............................. D ue from national, sta te and pri v a te banks and b a n k e rs............. 4,163 32 T o ta l cash on h a n d .. ................... 3,969 33 C apital stock paid i n ...................... * 10.000 00 Surplus fu n d ..................................... 750 00 U ndivided p r o fits............................ 2,133 46 E m ergency fu n d ................................ 144 33 Individual d ep osits subject to check ................................................ 18,075 76 Demand certificates of d e p o s it ... 10,345 30 T im e certificates of d e p o s it......... 2,500 00 ................. Certified c h e c k s ............................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k ers................................... 30,921 06 N otes and b ills red iscou n ted .............................. P rem ium corn a c c 't........................ 180 00 T o ta l.............................................. * 44,128 85 T otal ............................................. * 44,128 85 Lebanon. The State Bank. Charter No. 235. C. S . M iller..............................P r e sid e n t I J. W . H u p p .......................... Cashier B . F . B rad bury........................V ice-P resid en t | E . E . D e v o e ......................... A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oa n s and d isc o u n ts...................... $ 48,016 23 O verdrafts, secured and u n se 219 29 c u r ed ................................................ S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... O ther a s s e ts .............................................................. B ankin g house, fu rn iture and fixtures ........................................... 1,516 29 O ther real esta te ... ........................................... C urrent exp en ses and ta x es paid 1,889 92 P rem iu m on IT. S. and other bonds and s e c u r itie s .................... . C hecks and oth er cash item s . . . D ue from national, sta te and pri v a te banks and b a n k e rs........... 5,043 56 T ota l cash on h a n d .......................... 1,324 99 C apital stock paid in ...................... $ 10,200 0 0 Surplus fu n d ....................................... 2,603 2 0 U ndivided p r o fits............................ 4,584 28 D ividends u n p a id ................................................... Individual d ep osits subject to check ......... 33,881 8 8 Dem and certificates of d e p o sit.. 5,398 42 T im e certificates of d e p o s it......... 1,342 50 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s .......................... ............... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l............................................... * 58.010 28 T o t a l ............................................ * 58,010 28 9 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E IG H T H I3° Leigh. ANNUAL REPO RT OF T H E The Farm ers & M erchants Bank. Charter N o. 236. Ja m es H. H a m ilto n ..P re sid e n t N athan H. B ro w n .. V ice-P res. G eo. C. P r ic e . . C ashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U R C E S. IN A B IL IT IE S . L oans and d isc o u n ts...................... $ 51,846 40 O verdrafts, secured and u n se cured ................................... ............. 351 28 Stock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... Other a s s e t s ........... ......'....................................... B anking house, fu rn iture and fixtu res ........................................... 5,000 00 O ther real e s t a t e .................................................... C urrent ex p en ses and ta x es paid 952 20 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s __ 1,282 79 Due from national, sta te and pri v a te banks and b a n k ers............. 7,997 04 T o ta l cash on h a n d .......................... 1,158 01 C apital sto ck paid i n ...................... $ 15,000 00 Surplus fu n d ....................................... 600 00 U ndivided p r o fits........................ 1,930 62 D ividends u n p a id ................................................ Individ ual d ep osits su b ject to c h e c k ................................................ 22,860 14 Dem and certificates ofd e p o sit.. 4,822 80 T im e certificates of d e p o s it....... 22,947 95 Certified c h e c k s .............................................. C ashier's check s ou tsta n d in g ............................ D ue to na tion al b a n k s....................................... D ue to sta te and private banks and b a n k e rs................................... 726 21 N o te s and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T o t a l............................................. $ 68,887 72 T o t a l ............................................. $ 68,887 72 Leigh. The Maple V alley State Bank. Charter No. 237. John H enry W u rd em a n ..P resid en t C. E. B e a ty .. V ic e-P r e s. V. W. G r a v e s. . C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 34,129 75 O verdrafts, secured and u n se cured .......................... ................... 867 77 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. Other a sse ts .................................... B ankin g house, fu rn iture and fix t u r e s ................................................. 1,32000 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 851 57 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash item s . .. 24 46 D ue from national, sta te and p ri va te banks and b a n k ers............. 17,299 26 T o ta l cash on h a n d ............................... 1,30305 T o ta l......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 55,795 86 Capital stock paid i n ...................... $ 5,000 0 0 Surplus f u n d ..................................... 1,020 32' U ndivided p r o fits............................ 1,958 67 D ividends unpaid ............................ 24 00 Individ ual deposits subject to c h e c k ................................................ 16,633 44 Dem and certificates of deposit .. 9,094 81 22,064 62 T im e certificates of d e p o s it......... Certified c h e c k s...................................................... C ashier’s checks o u tstan d in g............................ D ue to na tion al b a n k s................................... ....... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T otal $ 55,795 86 SECRETA RY Lexington. OF TH E ST A T E B A N K IN G BO ARD , I 3 1 The Lexington Bank. C harter No. 238. K a te E . D a r r ........................... P resid en t I G eo. B . D a r r ....................... Cashier G eo. B. D arr............................. V ice-P resid en t | C. F . Spencer ..................... A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 65,030 11 O verdrafts, secured and u n se c u red .................................................. 498 46 S to ck s, secu rities, judgm ents, claim s, e t c ................................. B onds .................................................. O ther a s s e t s ....................................... B anking house, furniture and fixtures ............................................. 7,000 00 O ther real e s t a t e .............................. 13 000 00 Current exp en ses and ta x e s paid P rem iu m on U . S. and other bonds and se c u r itie s ..................... C hecks and other cash ite m s ....... Due from national, sta te and p ri v a te banks and b a n k ers............. 5,029 90 T o ta l cash on h a n d ........... ........... 6.175 76 T otal $ 96,734 23 Capital stock paid i n ...................... $ 50,000 00 Surplus fund ...................................... 10,000 00 U ndivided p ro fits............................ 1,243 08 D ividends u n p aid .................................................... Individ ual d ep osits subject to 23,713 42 c h e c k ................................................ Dem and certificates of d e p o s it. .. 2,077 73 T im e certificates of d e p o sit......... 5,700 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and private b a n k s . and b a n k e r s ......................................................... N o tes and b ills red iscou n ted .............................. 4,000 00 B ills p a y a b le ..................................... Liberty. T otal $ 96,734 23 The State B ank of Liberty. Charter No. 491. P . B . S h e ld o n ..P r e sid e n t J o sia h S p ee r ..V ice -P r esid e n t Geo. L. M eissn er..C ash ier ST A T EM E N T, D EC E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and discounts ...................... $ 48,217 87 O verdrafts, secured and u n se cured ................................... :........... 186 63 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ......................................................................... O ther a s s e ts ............................................................. B anking house, fu rn iture and fixtu res ........................................... 3,200 00 O ther real e s t a t e ................................................... Current ex p en ses and ta x e s paid 8 6 8 21 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s ___ 500 00 D ue from national, sta te and p r i va te banks and b a n k ers............. 7,254 25 T o ta l cash on h a n d ............. / .......... 3,330 55 $ 63,557 51 T otal C apital stock paid i n ...................... $ 20,000 00 Surplus fu n d ..................................... 350 00 U ndivided p r o f it s ...................... .. 1,822 72 D ividends u n p aid ................................................... Individ ual d ep osits subject to c h e c k ................................................. 39,535 60 Dem and certificates of d e p o sit.. 1,346 90 T im e certificates of d e p o s it................................ Certified c h e c k s...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ................... 502 29 D ue to sta te and p rivate banks and b a n k e r s .................................. ................. N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ........... ..................... ......................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal i 63,557 5 132 E IG H T H Lindsay. ANNUAL The R EPO RT OF TH E State Bank. Charter N o. 243. W. A. M cA llister ..P r e sid en t E. A. S to c k sla g e r ..V ic e -P r e s. Edw. A. B rod b oll..C ash ier ST A T EM E N T. D E CEM BER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 50,432 66 O verdrafts, secured and u n se cu red .................................................. 1,631 06 S tock s, secu rities, judgm ents, 168 50 claim s, e t c ....................................... Bonds ......................................................................... Other a s s e t s ..................................... 80 43 B ankin g house, fu rn iture and fix t u r e s ............................................. 1,706 95 Other real e s t a t e ............................... 3,782 15 Current ex p en ses and ta x e s paid 913 54 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... R evenue s'tam ps............................... 117 70 Due from national, sta te and p r i v a te banks and b a n k e rs.................................... T otal cash on h a n d .......................... 2.967 31 T o ta l............................................. Lin wood. $ 61,800 30 C apital sto ck paid i n .................... * 10,000 00 Surplus fu n d ..................................... 600 00 U ndivided p r o fits............................ 1,629 50 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 5,692 16 D em and certificates of d e p o sit.. 9,875 30 T im e certifica tes of d e p o sit......... 28,520 89 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s................... 5,482 45 D ue to sta te and private ban k s and b a n k e r s ................................... N o tes and b ills red iscou n ted . . . . B ills p a y a b le ...................................... T o ta l.............................................. * 61,800 30 The Farm ers & M erchants Bank. C harter No. 244. L ongin F o ld a . . . . P resid en t Chauncy A b b o tt. .. . V ic e-P r e sid en t E m il P o ld a . . . . C ashier ST A T E M E N T , D E CE M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . Loans and d is c o u n ts ...................... $ 30,941 79 Overdrafts, secured and u n se cu red .................................................. 186 97 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s .............................................................. B anking house, fu rn iture and fixtures .......................................... 2,300 00 Other real e s t a t e .............................. 3,200 00 Current exp en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and oth er cash i t e m s __ 423 75 D ue from national, sta te and private banks and b a n k e r s __ 10,682 14 T otal cash on h a n d .......................... 3,104 31 C apital sto ck paid in ...................... * 10,500 00 Surplus fund ................................ 200 00 U ndivided profits ............................ 353 45 D ividends unpaid ................................................. Individ ual dep osits su b ject to c h e c k ................................................. 9,638 59 Dem and certificates of deposit .. 2,401 95 27.744 97 T im e certifica tes of d e p o sit......... Certified c h e c k s ......................................... ............ C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and private banks and b a n k e r s ................................... 39,785 51 N o tes and h ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l............................................... * 50,838 96 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l.............................................. * 50,838 96 SEC RETA RY Litchfield. OF T U E STA TE B A N K IN G BOARD, I 33 The Litchfield State Bank. Charter No. 245. John T erhune — P resid en t D . W. T itu s — Cashier A. N . G ram m ar__ A ss ’t C ashier ST A T E M E N T , D ECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 45,060 29 O verdrafts, secured and u n se cu red .................................................. 1.160 2 1 S tock s, secu rities, judgm ents, claim s, e t c ................................. ............................ B o n d s.......................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ............................................. 2,300 0 0 O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid 276 84 P rem ium on U. S. and oth er bonds and s e c u r it ie s ........................................ Checks and other cash i t e m s ___ 10 20 D ue from national, sta te and private banks and b a n k e r s __ 5,960 94 T o ta l cash on h a n d .......................... 3,612 48 T o ta l............................................... $ 58,386 96 Lodgepole. C apital stock paid in ....................... $ 20,000 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 5.501 19 D ividends u n p a id ..................................... ........... Individual dep osits subject to c h e c k ................................................ 25,572 23 Demand certificates of dep osit .. 80400 3,509 54 T im e certificates of deposit ....... Certified checks ....................................... ............ C a sh ie i’s check s o u ts ta n d in g .......................... Due to national b a n k s ......... . .......................... Due to sta te and p rivate banks and bankers ........................................................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 3,000 00 T o ta l............................................... 8 58,386 96 The Peoples B ank. C harter No. 246. R . A. H eaton. F red L e m k u h l.........................................................................................................P artn ers ST A T EM E N T. D E CE M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8 11,256 40 O verdrafts, secured and u n se cured ........................................... 126 59 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ....................................................................... . O ther a s s e ts ............................................................' B ankin g house, fu rn iture and f ix t u r e s ............................................. 1,405 40 O ther real e s t a te __ •....................... 285 00 C urrent ex p en ses and ta x e s paid 269 10 P rem iu m on U. S. and other bonds and s e c u r itie s ................................ . . . . C hecks and other cash it e m s ....... 43 25 D ue from national, sta te and pri v a te banks and b a n k e rs............. 3.655 77 T o ta l cash on h a n d .......................... 3.634 38 Capital stock paid in ...................... 8 6,000 0 0 Surplus f u n d ..................................... 540 00 Undivided p r o f it s ............................ 1,449 48 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................... 6.053 81 Demand certificates of d e p o sit.. 2,809 2 0 T im e certificates of d e p o sit......... 3,823 40 Certified c h e c k s ................................ C ashier’s checks ou tsta n d in g __ Due to national b a n k s ............ ... Due to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 20,675 89 T otal 8 20,675 89 E IG H T H T34 Long Pine. ANNUAL REPO RT OF TH E The Brown County Bank. Charter No. 247. S . G. G lo v e r ..............................P resid en t I W . A. B ucklin ................. Cashier W m . G lover ..............................V ice-P resid en t | N e llie N ic h o lls ....................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 24,015 86 Overdrafts, secured and u n se cu red .................................................. 1,034 43 Stocks, secu rities, judgm ents. claim s, e t c ....................................... 1,037 04 B onds ....................................................................... Other a s s e t s ....................................... 1 8 0 25 B anking house, furniture and fix t u r e s ............................................. 3,398 00 Other real e s t a t e ............................ 411 00 Current exp en ses and ta x es paid 1.261 89 P rem ium on U . S. and other bonds and s e c u r it i e s ....................................... C hecks and other c a sh ite m s ...... 73 37 Due from national, sta te and p ri va te banks and b a n k e rs........... 993 62 T otal cash on h a n d .......................... 1.941 95 C apital sto ck paid i n ...................... $ 10,200 00 Surplus fu n d ............................................................ U ndivided p r o fits ............................ 2,117 00 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k ................................................ 12,181 8 8 Dem and certificates of d e p o sit.. 4,319 87 T im e certifica tes of d e p o s it....... 2,459 31 Certified c h e c k s .............................. .............. ......... C ashier’s ch eck s o u tsta n d in g ............................ Due to national banks ........................................ Due to sta te and p rivate banks and b a n k e rs................................... 57 35 N o tes and b ills red isco u n ted __ 30 11 B ills p a y a b le ............................................................ T ò ta l............................................... $ 34,347 41 Loomis. T o ta l.............................................. SB 34,347 41 The Loomis State Bank. C harter No. 248. E. L. K ip lin g e r ..P r e sid e n t F . W. K ip lin g er..C a sh ier T L. D o h e r ty ..A ss ’t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 41.425 68 Overdrafts, secured and u n se c u red .................................................. 346 80 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... Other a s s e t s ....................................... 7,890 15 B ankin g house, fu rn iture and fixtures ........................................... 2,720 17 Other real e s t a t e .............................. 5,811 60 Current ex p en ses and ta x es paid 1,311 63 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other ca sh ite m s .......................... D ue from national, sta te and p ri va te banks and b a n k e r s ........... 3,054 78 T ota l cash on h a n d .......................... 2.383 98 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 64,944 79 C apital sto ck paid i n ............................. 15,000 00 Surplus f u n d ........................................................... U ndivided p r o f it s ............................ 8,327 42 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to c h e c k ................................................. 18,693 31 D em and certificates of d e p o sit.. 17,924 06 T im e certificates of d e p o s it................................ Certified check s ............................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 5,000 00 T otal $ 64,944 79 SECRETA RY Louisville. OF T H E STA TE B A N K IN G BOARD. 135 The Bank of Commerce. C harter No. 249. T o m E .P a r m e le ................................. P resid en t | Geo. H. W ood ........................................ C ashier ST A T EM E N T, DECEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and discounts ... ............. $ 47,341 04 O verdrafts, secured and u n se cu red ................................................ • 3,039 96 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 478 50 B onds ......................................................................... O ther a s s e ts ............................................................ B ankin g house, fu rn iture and fixtures ........................................... 3.000 00 Other real e s t a t e ........................... ................. C urrent exp en ses and ta x es paid ................. Prem ium on U. S. and other bonds and s e c u r it ie s ................... C hecks and other cash ite m s .. D ue from national, sta te and pri va te banks and b a n k e rs............. T o ta l cash on h a n d .......................... 7.183 47 T o ta l............................................... * 61,042 97 Capital sto ck paid i n ...................... $ 10,000 00 Surplus f u n d ........................................................... U ndivided p r o f it s .................... 350 12 D ividends u n p a id ..... .................................. Individ ual d ep osits subject to c h e c k ................................................ 17,452 87 D em and certificates of d e p o sit.. 1 T im e certificates of d e p o s it........\ 23,798 56 Certified checks ..................................................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s ................... 9.419 05 D ue to sta te and p rivate banks and b a n k e r s ................................... 22 37 N o tes and b ills r ed isco u n ted ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $61,042 97 The First B ank of Loup City. Loup City. Charter No. 250. A . P . C u lley___Cashier A . P . C u lley __ P resid en t L . H a n se n . . . . A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d is c o u n ts ...................... $ 28,679 45 O verdrafts, secured and u n se cured ....... 139 67 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 5,904 21 B o n d s.......................................................................... O ther a s s e t s ............................................................. B anking house, fu rn iture and fix t u r e s ............................................. 2 ,0 0 0 0 0 O ther real e s t a t e .............................. 2,974 70 C urrent ex p en ses and ta x es paid 1,234 08 P rem iu m on U . S and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s __ 43 24 D ue from national, sta te and p riv a te banks and b a n k e r s __ 6,381 21 T o ta l cash on h a n d .......................... 4,131 91 $ 51,488 47 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital sto ck paid in ............. ......... $ 20,000 00 Surplus fund ........................................................ U ndivided p r o f it s ............................ 2,223 87 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 25,392 87 Dem and certificates of deposit .. 3,66284 T im e certificates of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s ......................................... Due to sta te and private banks and b a n k e r s ................................... 208 89 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal $ 51.488 47 x3 6 E IG H T H Loup City. ANNUAL REPO RT OF T H E The Farmers State Bank. Charter No. 251. J. P h il J a e g e r ..P r e sid e n t C. J. Odendalil. .V ice -P re sid e n t W m . G. O dendahl.. C ashier ST A T EM E N T, D EC E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts.................. .. $ 7,532 03 O verdrafts, secured and u n se cured ................................................. 104 2 1 S to ck s, secu rities, judgm ents. claim s, e t c ..................................................... B o n d s.................................................... . . . . . . L iv e .S to c k ......................................... ¿¡4 40 B ankin g house, fu rn iture and fix t u r e s ............................................. 2,163 05 2,123 52 Other real e sta te ............................ Current ex p en ses and ta x es paid 369 48 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s . . . 68 D ue from national, sta te and private banks and b a n k e r s __ 24,260 76 3,070 48 T otal cash on h a n d ................... . . . C apital sto ck paid in ...................... $ 10 ,0 0 0 0 0 Surplus f u n d ..................................... 100 00 1,240 71 U ndivided p r o f it s ........................ , D ividends u n p a id ..................................... Individual d ep osits subject to c h e c k ................................... 19.320 8 8 D em and certificates of deposit .. 4,457 5 7 T im e certificates of d e p o s it......... 4,820 05 Certified checks ...................................................... C ashier’s checks ou tsta n d in g ............................ D ue to n ational b a n k s......................................... . D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ........ B ills payable .................. ................. T o ta l............................................... $ 39,939 21 T o t a l . .. ......................................... $ 39,939 21 Lynch. The Bank of Lynch. C harter N o. 539. Chas. T. L a n g .. .P r esid e n t A nna M. L a n g .. .V ice -P re sid e n t Chas. T. L a n g .. .C ash ier ST A T EM E N T, D E CE M B ER 2, 1899. R E SO U R C ES. L IA B IL IT IE S . L oans and discounts 9 .................'.. $ 8,034 26 Overdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s............................................... ’ ” Other a sse ts ............................... ‘’ B ankin g house, furniture and f ix t u r e s ........... ............................... 1,16155 Other real e s t a t e .................................................. Current exp en ses and ta x es paid 550 96 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s ....... H i 55 D ue from national, sta te and p ri va te banks and b a n k e r s ........... 602 81 T otal cash on h a n d .......................... 1 .562 38 T otal $ 12,026 51 C apital sto ck paid i n ...................... $ 5,000 00 Surplus f u n d ..................................... U ndi vided pro f i t s ............................ 690 56 D ividends unpaid..................................................... Individ ual dep osits subject to check . . . . .................................. 3 ,3 i 5 3 5 Dem and certificates of d e p o s it ........................ T im e certificates of d e p o sit......... 268 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............. Due to national b a n k s ........................................' D ue to sta te and private banks and b a n k e r s ........................ ................................. N o tes and bills red iscou n ted ....... 2,752 60 B ills p a y a b le ............................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $12,026 51 SECRETA RY Lyons. . OF TH E S T A T E B A N K IN G BO ARD, 137 The Farm ers Bank. Charter No. 353. W alter E v e r e tt.. P resid en t F rem o n t E v e r e tt.. V ice-P resid en t W. S. N ew m yer. .C ashier ST A T E M E N T . D E CEM BER 3. 1899. L IA B IL IT IE S . BESO URCBS. L oans and d isc o u n ts...................... $ 91,377 45 O verdrafts, secured and u n se c u red .................................................. 606 61 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................ B o n d s..............................*........................................... O ther a s s e ts ...................................................... .. B anking house, furniture and f ix t u r e s ................................................................... O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid ............... P rem iu m s on U. S. and other bonds and secu rities .................................. C hecks and other cash item s .. 1,251 56 D ue from national, sta te and p r i va te banks and b a n k e rs............. 9,33463 T ota l cash on h a n d .......................... 6,636 92 T o ta l.............................................. Madison. $109,007 17 C apital stock paid in ....................... $ 6,000 00 Surplus f u n d ............................................................ U ndivided profits .............................. 2,81548 D ividends unpaid ................................................ Individ ual dep osits subject to c h e c k ................................................ 98,477 01 D em and certificates of d e p o s it ........................ T im e certificates of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ....................... 1,7146 8 D ue to sta te and private banks and b a n k e r s .................................. N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal ............................................. $109,007 17 The Madison State. Bank. Charter No. 254. L. A. S tu a r t..P r e sid e n t T. F. M em m inger.. V ice-P resid en t E m il W in ter. .A s s ’t Cashier ST A T EM E N T. D E CE M B ER 3, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $117,663 91 O verdrafts, secured and u n se cured ................................................. 163 16 S tock s, secu rities judgm ents, claim s, e t c ....................................... 3,748 79 B o n d s ........................................................................... O ther a s s e t s ........................ .................................... B an n in g house, fu rn iture and fixtures .................................................................. O ther real e s t a t e .............................. 7,093 59 Current exp en ses and ta x es paid 8 8 8 73 P rem iu m on U. S. and other bonds and s e c u r it ie s ................... C hecks and other cash ite m s . . . . Due from national, sta te and pri vate banks and bankers ........... 13,068 77 T o ta l cash on h a n d .......................... 9,605 70 Capital stock paid in ...................... $ 50,000 00 Surplus f u n d ..................................... 6.500 00 U ndivided p r o f it s ............................ 2.375 31 D ividends u n p a id ............................ 24 00 Individ ual dep osits subject to c h e c k ................................................. 62,722 Dem and certificates of d e p o sit.. 9,177 T im e certificates of d e p o s it ....... 20,432 Certified c h e c k s .................................................. C ashier’s check s o u tsta n d in g ........................ D ue to national banks ................................. D ue to sta te and private banks and bankers .................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o ta l.............................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $151,231 65 T o ta l.................................................... $151,231 56 E IG H T H 1 3 8 Madrid. ANNUAL REPO RT OF TH E The B ank of Madrid. Charter No. 256. Jo h n M c K e n z ie ................................... P resid en t | A . E . M cK enzie ...................................... C ashier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C E S. L IA B 1U IT IE S . L oans and d is c o u n t s ...................... $ 8,456 72 O verdrafts, secured and u n se cured ....................................................................... S to ck s, secu rities, judgm ents, claim s, e t c ............................... ............................... B o n d s........................................................................... L iv e s to c k ......................................... 4,000 00 B ankin g house, furniture and fix tu r e s .................................................. 1 . 1 0 0 00 Other real e s t a t e .............................. 2.500 00 C urrent ex p en ses and ta x e s paid 300 00 P rem iu m on U. S. and other bonds and s e c u r itie s ........... ......................... C hecks and other cash i t e m s __ 255 00 D ue from national, sta te and pri 651 63 v a te banks and b a n k e r s ............. T o ta l cash on h a n d .......................... 807 95 C apital stock paid in ............. ....... 8 10.000 00 Surplus f u n d ..................................... 1,009 77 U ndivided p r o f it s .................................................. D ividends u n p a id ............................ ........... Individ ual d ep osits subject to c h e c k ................................................ 705 03 D em and certificates of d e p o sit.. ................ T im e certificates of d e p o s it ....... 4.501 50 Certified check s ................................................. C ashier’s ch eck s ou tsta n d in g ............................ D ue to national b a n k s ................. 1,855 00. D ue to state and p rivate banks and b a n k e r s.......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal S 18,071 30 Madrid. T o t a l ............................................. $ 18,071 30 The M adrid Exchange Bank. C harter No. 257. C . H . B ea u m o n t..................................P resid en t | F . E . B ea u m on t...................................... C ashier ST A T E M E N T . D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oan s and d isc o u n ts........................ <B 3.958 93 O verdrafts, secured and u n se cured .................................................. 17 05 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. O ther a s s e t s ....................................... B ankin g house, fu rn iture and fixtures .. ..................................... 1,200 00 L iv e sto ck a c co u n t.......................... 11,017 81 Current exp en ses and ta x e s paid 785 48 P rem iu m on U. S. and other bonds and s e c u r it ie s ...... ............ C hecks and other cash ite m s ....... D ue from national, sta te and p ri v a te banks and b a n k e rs............. 1.165 08 T o ta l cash on h a n d .......................... 1,255 18 T otal $ 19,399 53 C apital stock paid in ...................... $ 15,000 00 Surplus fu n d ........................................................... U ndivided p r o f it s ......................... 971 6 6 D ividends unpaid .................................................. Individual dep osits subject to c h e c k ................................................. 840 06 Demand certificates of d e p o s it... 644 97 1,942 84 T im e certificates of d e p o sit......... Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ Due to national b a n k s ....................................... .. D ue to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b l e ................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal SB 19,399 53 SECRETARY Maimo. OF THE ST A T E The Farm ers B A N K IN G BOARD. ISP Merchants Bank. Charter No. 258. P e te r R e im e rs..P r e sid e n t G. E . B red en b erg ..V ice-P res. W. H. O sten b erg..C ash ier ST A T EM E N T, D E CEM BER 2, 1899 L IA B IL IT IE S . R ESO U RCES. D oans and d isc o u n ts...................... $ 73,881 32 O verdrafts, secured and u n se cured ................................................. 932 60 S tock s, secu rities, judgm ents, claim s, e t c ............. , .................... ......................... B o n d s......... ................................................................. O th er a s s e t s .............................................................. B anking house, fu rn iture and fix tu r e s .............V ................................ 2,500 00 O th er real e s t a t e ..................................................... C urrent exp en ses and ta x e s paid 4,151 62 P rem iu m on U. 8 . and other bonds and secu rities ......................................... C hecks and other cash i t e m s __ 36 20 D ue from n a tio n a l, sta te and pri v a te banks and b a n k e r s ........... 10,268 62 T o ta l cash on h a n d ........................ 4,342 32 T o t a l ............................................. $ 96,115 68 Marquette. C apital sto ck paid in ...................... $ 7.500 00 Surplus f u n d ..................................... 1,750 00 U ndivided p r o f it s ............................ 5,716 69 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................... 29,305 36 Demand certificates of deposit .. 1.543 63 T im e certifica tes of d e p o s it ....... 46,300 00 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and p rivate banks and b a n k e r s ............................... 77,148 99 N o tes and b ills r e d isc o u n te d ............................ B ills payable .................................... 4,000 00 T o ta l............................................... $ 96,115 68 The Farleys’ Bank. C harter No. 259. J . J . P a r le y . ..P r e sid e n t W . I . P a r le y ... V ic e-P r e sid en t G. H . P a r le y — C ashier ST A T E M E N T , D ECEM BER 2, 1899. R E SO U R C E S. L I A B IL I T I E S . D oans and d isc o u n ts...................... $ 43,494 42 O verdrafts, secured and u n se c u r ed ....... .......................................... 1,450 98 S to ck s, secu rities, judgm ents. cla im s, e t c .............................................................. B onds, U. S. G overnm ent............. 2.000 00 O th er a sse ts .......................................................... B ankin g house, furniture and fix tu r e s ................................................... 3,000 00 O ther real e s t a t e ............................ 700 00 C urrent ex p en ses and ta x e s paid 1,884 58 P rem iu m on U . S. and other bonds and s e c u r it i e s ......................................... C h eck s and other cash i t e m s ............................ D ue from n ation al, sta te and p riv a te banks and b a n k e r s __ 11,472 22 T o ta l cash on hand ......................... 4,162 94 $ 68,165 14 T o ta l Capital stock paid in ...................... $ 15,000 00 Surplus f u n d ..................................... 650 00 U ndivided p r o f it s ............................ 3,287 15 D ividends u n p aid .................................................... Individ ual dep osits subject to c h e c k ................................................ 10,614 94 D em and certificates of d e p o s it.. 19,939 78 T im e certifica tes of d e p o s it ....... 18,673 27 Certified c h e c k s...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s .......................... . . . . N o tes and b ills rediscounted ... B ills p a y a b le..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal if 68,165 14 140 E IG H T H Mason City. ANNUAL REPO RT OF TH E The Bank of Mason City. C harter No. 260. P. H. Marl'ay— P resid en t 0 . J. S te v e n s __ V ice-P resid en t R. B. W a lk e r ___ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 12,850 57 O verdrafts, secured and u n se cured ................................................. 443 83 S tock s, secu rities, judgm ents, claim s, e t c ............... .............................................. B o n d s.......................................................................... G rain and w h ea t ac., I. R. S tam p s 364 79 B ankin g house, fu rn iture and fix t u r e s ............................................. 1,800 00 O ther real e s t a t e .............................. 619 40 Current ex p en ses and ta x e s paid 2,764 84 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash ite m s .............................. D ue from national, sta te and pri va te hanks and b a n k ers............. 2.668 70 2,359 73 T otal cash on h a n d .......................... T otal ............................................. $ 23,871 86 Mead. C apital stock paid i n ...................... $ 6,000 00 Surplus fu n d ............... ............................................. U ndivided p r o fits........... ............... 2,119 44 D ividends u n p a id .................................................... Individ ual dep osits subject to 10,548 21 c h e c k .................................................. Demand certificates of d e p o s it... 85426 T im e certificates of d e p o s it......... 2,799 95 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ........... ................ D ue to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers.................................................... .. C ollection a c c o u n t.......................... 300 00 1,250 00 B ills p a y a b le ................................... T o ta l............................................... $ 23,871 86 The Bank of Mead. C harter No. 262. P . L H all, C. T. Condit, T. O stenberg O w ners ST A T E M E N T , D E C E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 57,447 05 Capital stock paid in ...................... $ 8.000 00O verdrafts, secured and u n se Surplus f u n d ................................... 360 00 cured ................................................. 201 19 | U ndivided p r o fit s ............................ 2,831 20 Stock s, secu rities, judgm ents, Di vidends unpaid ................................................. claim s, e t c ............................................................. Individ ual d ep osits subject to B onds, U . S ........................................ 6,000 00 c h e c k .................................. .............. 31,596 01 Other a s s e t s ............................................................. Demand certificates of d ep osits. 910 00' B ankin g house, furniture and fix T im e certificates of d e p o s it......... 52,355 66 tu r e s ................ 2,615 07 I Certified checks .............................. Other real e s t a t e ............................ 816 38 1 C ashier’s check s o u tsta n d in g __ Current ex p en ses and ta x e s paid 2.10520 j Due to national b a n k s ................... P rem iu m on U. S. and other Due to sta te and p rivate banks bonds and s e c u r it ie s ..................................... and b a n k e r s ................................... C hecks and oth er cash ite m s __ 863 02 N o te s and b ills r e d isc o u n te d __ D ue from national, sta te and B ills p a y a b le ..................................... priv a te banks and b a n k e rs__ 22.440 31 T o ta l cash on h a n d .......................... 3,564 65 T otal $ 96,052 87 T otal 8 96,052 87 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY Meadow Grove. OF T H E STA TE B A N K IN G BOARD. I4I The Meadow Grove State Bank. Charter N o. 263. G . A . L u ik a r t..P r e sid e n t H erm an H o g r e fe ..V lce -P re s. W. A. W itzigm an ..C ash ier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 31,914 63 O verdrafts, secured and u n se c u red .................................................. 13 80 S tock s, secu rities, judgm ents. claim s, e tc ...................... ...-................................. B onds ............................................................. ........... R evenue s ta m p s................................ 37 63 B anking house, fu rn iture and fixtures ........................................... 1,300 00 O ther real e s t a t e .................................................... C urrent ex p en ses and ta x e s paid. 319 61 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash it e m s __ 1,086 83 D ue from national, sta te and pri v a te banks and b a n k e rs............. 1,537 83 T o ta l cash on h a n d .......................... 1,222 12 Capital sto ck paid i n ...................... $ 10,000 00 Surplus fund .......................................................... U ndivided p r o fits.............. 691 31 D ividends u n p a id ................................................ Individual d ep o sits subject to c h e ck .................................. 19,274 26 D em and certificates of dep osit .. 2,656 20 T im e certificates of dep osit . . . . 4,422 61 Certified c h e ck s...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s........................................... Due to sta te and pi’iv a te banks and b a n k e r s ................... 388 07 N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ..................... 3,000 00 T otal ............................................. if 10,432 45 T otal ............................................. 8 40,432 45 Merna. The Bank of Merna. Charter No. 264. J . H . B a ir .............................................. P resid en t | Mac J o h n so n ..............................................Cashier ST A T E M E N T , D EC E M B ER 2, 1899. L IA B IL IT IE S . R E SO U RCES. L oans and d isc o u n ts.................... $ 41,840 33 Overdrafts, secured and u n se cured ................................................. 26 33 S to ck s, secu rities, ju dgm ents...................... claim s, e t c ....................................... B o n d s......................................................................... O ther a s s e t s .............................................................. B anking house, fu rn iture and f ix t u r e s ............................................ 1,489 00 O ther real e s t a te ..................................... ............. C urrent ex p en ses and ta x es paid 2,364 33 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash ite m s ............................ D u e from national, sta te and pri vate banks and b a n k ers............... 5,033 78 T otal cash on han d .......................... 2,009 81 8 52,763 58 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital stock paid i n ...................... 8 10,000 00 Surplus fu n d ........................................... 2,76600 U ndivided p r o fits.................................. 8.26533 D ividends u n p a id .................................................. Individual dep osits subject to check .......................................... 25.895 12 Dem and certificates of d e p o sit.. 4,169 73 T im e certifica tes of d e p o s it......... 1,667 40 Certified c h e c k s...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers................................... N o tes and b ills rediscounted — B ills p a y a b le ..................................... T otal S 52,763 58 E IG H T H 1 4 2 Milford. ANNUAE REPO RT OF TH E The N ebraska State Bank. C harter No. 265. F . S. J o h n s o n ....P r e s id e n t J. F. J o h n so n ....V ic e -P r e s . Geo. E. S a lla d in ....C a s h ie r ST A T E M E N T . D ECEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S D oans and d isc o u n ts...................... $ 84,921 29 O verdrafts, secured and u n se cu red .................................................. 36 82 S to ck s, secu rities, judgm ents, claim s e t c ............................................................. B o n d s .......................................................................... Other a s s e ts ....................................... 230 84 B ankin g house, fu rn iture and fix t u r e s ............................................. 1,311 30 Other real e s t a te . ................. ... . 11,739 48 Current exp en ses and ta x e s paid 372 16 P rem iu m on U. S. and other bonds and s e c u r it ie s ................... 183 51 C hecks and other cash i t e m s ............................ D ue from national, sta te and p ri va te banks and b a n k ers............. 8,126 52 T otal cash on h a n d .......................... 7,378 19 T otal ............................................. $114,300 11 Millard. C apital stock paid in ...................... $ 42,500 0t> 4,477 25. Surplus fu n d ....................................... U ndivided p ro fits.............................. 1,774 33 D ividends u n p aid .................................................... Individual dep osits subject to c h e c k ................................... 24,833 61 Demand certificates of d e p o s it... 13,070 43 T im e certificates of d e p o s it......... 25,144 4ft Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s........... ............................... Due to sta te and private banks ................. and b a n k ers................................... N o tes and b ills red iscou n ted .............................. 2.500 00 B ills p a y a b le ..................................... T o t a l........................................... !. $114,300 II The German Bank of M illard. C harter No. 266. A . B. D etw eiler. .P resid en t W m. V onD ohren.. V ice-P res. W. T. D e tw e ile r ..C a sh ie r ST A T E M E N T , D E CEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 29.439 14 O verdrafts, secured and u n se cu red ......................................................................... S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s ........................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and f ix t u r e s ............................................. 5,000 00 O ther real e s t a t e ................................ 2,500 00 Current exp en ses and ta x e s paid 2,019 26 P rem ium on U. S. and other bonds and s e c u r itie s ........................................... C hecks ond oth er cash ite m s ___ 2 80 D ue from national, sta te and pri v a te banks and b a n k ers............. 6,433 70 T o ta l cash on h a n d .......................... 1,597 83 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 46,992 73 C apital stock paid in ...................... $ 15.000 0(> Surplus fund ................................... 150 00 U ndivided p r o fits............................. 2,903 43 D ividends u n p aid .................................................... Individ ual dep osits subject to c h e ck .................................................. 10,668 65 D em and certificates of d e p o s it ... 1.502 00 16,768 65 T im e certificates of d e p o sit......... Certified c h e c k s ...................................................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to national banks ............................ ......... Due to sta te and private banks and b a n k e rs........................................................... N o te sa n d b ills red iscou n ted __ B ills p a y a b le ..................................... T otal $ 46,992 73 SECRETA RY Miller. OF T H E S T A T E B A N K IN G BO ARD. T43 The F irst B ank of M iller. C harter No. 267. W. G a slin ....... P resid en t J. L. B ic k e r .........V ice-P resid en t F. D. B row n .........C ashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts....................... $ 31,101 53 O verdrafts, secured and u n se c u red .................................................. 715 91 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 10 00 B o n d s ..................................... 83 66 Other a s s e ts ............................................................. B anking house, furniture and f ix t u r e s ............................................. 1,075 55 O ther real e s t a te ............................ 1,591 31 Current ex p en ses and ta x e s paid 716 28 P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and oth er cash ite m s ....... 179 10 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 6,862 If T ota l cash on h a n d .......................... 1.021 25 T o ta l............................................... $ 43,336 73 Miller. C apital sto ck paid in ...................... $ 25,000 00 Surplus fu n d ....................................... 2,000 00 U ndivided p r o fits.............................. 3,517 76 D ividends u n p a id ................................................ •. Individ ual dep osits subject to c h e c k ................................................ 11,468 97 Demand certificates of d e p o s it... 20000 T im e certificates of d e p o s it......... 1,150 00 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s........................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal . ........................................ $ 43,336 73 The B ank of Miller. Charter No. 268. M athew M a d d o x ......................P resid en t I T. F . W a lk e r ..................... C ashier N elso n M a d d o x ....................... V ice-P resid en t | V . L . M addox..................... A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 13.427 85 S tock and g r a in .................... 4,506 65 S tock s, secu rities, judgm ents, claim s, e t c ............................ 1,300 00 B o n d s........................................................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fix tu r es.................................. 2,063 22 9,362 09 Other real e s t a t e .................. Current e x p en ses and ta x es paid 1,571 39 P rem iu m on U . S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s ............................ D ue from national, sta te and pri v a te banks and bankers .. . . . 4,050 14 T ota l cash on h a n d ............... 728 75 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 37,010 09 C apital sto ck paid i n ...................... $ 25,000 00 Surplus fu n d ............................................................ 3,211 66 U ndivided p r o fits......................... D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ....................................... . 8,798 43 Demand certificates of d e p o s it.......................... T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal $ 37,010 09 î E IG H T H 44 Milligan. ANNUAL REPO RT OP’ T H E The Farm ers State Bank. C harter N o. 493. P . W. S lo a n ......................................... P resid en t \ A . V . K o n b a ................................................C ashier ST A T E M E N T , D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U R C ES. L oans and d isc o u n ts...................... $ 8,523 96 O verdrafts, secured and un se cured ................................................. 335 98 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,800 00 B onds ......................................................................... O ther a s s e t s .............................................................. B ankin g h o u s e ................................. 2,000 00 Other real e s t a t e .......................... ......................... Current exp en ses and ta x e s paid 78 57 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s ---41 49 Due from national, sta te and p ri v a te hanks and b a n k e r s ........... 5,556 61 T otal cash on h a n d .......................... 2,432 85 T o t a l ............................................. $ 20,769 46 Minden. Capital sto ck paid in ...................... $ 6,000 00 Surplus f u n d ..................................... 200 00 U ndivided p r o fits............................ 214 24 D ividends u n p a id .................................................... Individual deposits subject to c h e c k .... 11,035 22 D em and certificates of d e p o s it.. 3,320 00 T im e certificates of d e p o s it.............................. Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s ......................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills rediscounted . . . . B ills p a y a b le ..................................... T o t a l ............................ ................ * 20,769 46 The Minden Exchange Bank. C harter No. 508. G. P . K in g sley , S r .................. P resid en t I F . R . K in g sle y ................... C ashier G . P . K in g sley , J r .................. V ic e-P r e sid en t | F . K u e n n e t h ....................... A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d is c o u n t s ...................... 8103,240 74 O verdrafts, secured and u n se 261 34 cured ................................................. S to ck s, secu rities, judgm ents, 446 21 claim s, e t c ....................................... C a sh ........................................................ B anking hou se, fu rn iture and 9,799 88 O ther real e s t a t e .............................. Current e x p en ses and ta x e s paid P rem iu m on U . S. and other 10,272 80 1,323 63 C hecks and oth er cash ite m s . . D ue from national, sta te and p ri v a te banks and bankers ........... T o ta l cash on h a n d .......................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1.042 41 C apital stock paid i n ...................... $ 30,000 00 781 80 Surplus fu n d ..................................... 4,252 97 U ndivided p r o fits............................ D ividends u n p a id ............. .............. Individ ual d ep osits subject to 67,924 55 c h e c k ......................................... . . • 32,443 10 Dem and certificates of d e p o s it.. T im e certificates of d e p o sit........ C ertified c h e c k s ................................ C ashier’s check s outstan ding — D ue to n ational b a n k s ................... D ue to stake and p rivate banks and b a n k e r s .................................... N o te s and b ills red iscou n ted ---B ills p a y a b le ..................................... 68 01 8,947 40 8135,402 42 T otal 8135,402 42 SEC RETA RY Monroe. OF TH E STA TE B A N K IN G BO ARD , T45 The B ank of Monroe. C harter No. 271. Josep h W e b ste r __ P resid en t W m . W e b ste r ___ Cashier E . R. D ack . .. A s s ’t C ashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 46,567 10 O verdrafts, secured and u n se cured ................................................ 674 31 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ........................................................................ O ther a ssets, revenue stam ps . .. 98 27 B ankin g house, fu rn iture and fix tu res ......................................... 2,200 00 O ther real esta te ............................................. Current ex p en ses and ta x es paid 860 98 P rem iu m on U. S. and other bonds and secu rities ....................................... Checks and other cash item s . . . . 167 25 D ue from national, sta te and p ri 7,392 48 v a te banks and b a n k e rs............. T o ta l cash on h a n d .. ................... 3.190 84 C apital sto ck paid i n ...................... $ 10,000 00 Surplus fu n d ..................................... 600 87 U ndivided p r o fits ............................ 1,549 28 D ividends u n p a id ..... ............................................ Individ ual d ep osits subject to check ................................................ 14,920 66 Demand certificates of d e p o s it. .. 34,080 42 T im e certificates of d e p o s i t .............................. Certified c h e c k s ............................... ................. C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l.............................................. $ 61,151 23 T otal ............................................. $ 61,151 23 Morse Bluff. The Bank of Morse Bluff. Charter No. 272. W alter F lem in g .. .P r esid e n t J. G . W ils o n .. .V ice -P re s. H. D . M ack p ran g.. Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 51,717 54 Overdrafts, secured and u n se c u red .............................................. 414 68 S tock s, secu rities, judgm ents, • claim s, e t c ............................................................. B o n d s............................... ........................................... Other a s s e ts ............................................................. B anking house, furniture and fixtures ....................................... 2,425 00 Other real esta te ................................................ Current expenses and ta x es paid 433 85 Prem ium on IT. S. and other bonds and se c u r itie s......... ................................. Checks and other cash item s . . 343 82 Due from national, sta te and pri vate banks and b a n k ers........... 4,362 75 T o ta l cash on h a n d ................... 3.915 04 C apital stock paid in ...................... $ 7,500 00 Surplus fund ..................................... 500 00 U ndivided p r o fits............................ 1,374 45 D ividends u n p a id ......................................... ......... Individ ual d ep osits su b ject to check ........................................... 15.268 46 Demand certificates of d e p o s it.. 852 50 T im e certificates of d e p o s it......... 38,117 27 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s......................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l. ...'.................................... $ 63,612 68 10 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal ............................................. $ 63,612 68 146 E IG H T H Murdock. ANNUAL REPO RT OF T H E The German Bank. Charter No. 471. F . H . S ta n d er.. .P resid en t C. E . M ockenhaupt. . . V ioe-P res. H. R. N e itz e l.. .C ashier ST A T E M E N T , D EC E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 28,990 75 O verdrafts, secured and u n se cured ....................................................................... Stock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and fixtures ........................................... 1,500 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid 528 58 Prem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s ........... ............... D ue from national, sta te and pri v a te banks and b a n k ers............. 1,473 08 T o ta l cash on h a n d .......................... 2,516 54 Capital stock paid i n ...................... $ 5,000 00 Surplus fu n d ............................................................. U ndivided p r o fits........................ 568 86 D ividends u n p a id ............... ............................ Individ ual d ep osits su b ject to c h e c k ................................................ 10,052 59 D em and certificates of d e p o sit., i T im e certificates of d e p o s it....... j 15,387 50 tiiiu u c c h u ce cc nk as ................................................. ........................................................................... ' .... Certified C ashier's check s o u tsta n d in g ............................ D ue to na tio n al b a n k s...................................... Due to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills red isco u n ted ............................ B ills p a y a b le ..................................... 4,000 00 $ 35,008 95 T o t a l ............................................. $ 35,008 95 T otal McCook. The Citizens B ank of McCook. Charter N o. 276. V . F r a n k lin ....... P resid en t C. H . W illa r d ........ V ice-P resid en t A. C. E b e r t.........C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $115,411 16 Ovei’drafts, secured and u n se cured ................................................ 2,163 23 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 1,556 02 B onds ........................................................................ O ther a ssets, revenue s ta m p s __ 936 00 B ankin g house, fu rn iture and fixtures ................................................................... O ther real e s t a te .............................. 14.938 11 Current ex p en ses and ta x e s paid 3,692 61 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash item s . . 270 90 D ue from national, sta te and p ri v a te ban ks and b a n k ers............. 11,747 33 T otal cash on h a n d .......................... 5,034 85 C apital stock paid i n ...................... $ 50,000 00 Surplus f u n d ..................................... 5,000 00 U ndivided p r o fits............................ 5,814 27 D ividends u n p a id ....................................... .......... Individual dep osits subject to c h e c k ................................................ 49,170 72 D em and certificates of deposit .. 18,763 60 T im e certificates of d e p o s it......... 14,150 00 Certified c h e c k s...................................................... 348 28 C ashier’s checks o u tstan d in g___ D ue to na tio n al b a n k s........................................... D ue to sta te and private banks and b a n k e r s ................................... 12,503 34 N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l............................................... $155,750 21 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l.............................................. $155,750 21 SECRETA RY OF TH E ST A T E B A N K IN G BOARD. HT McCool Junction. The Blue River Bank. C harter No. 277. Geo W . P o s t ....... P resid en t T . W . S m ith ........ V ic e-P r e s. R alph S ta n le y ........ C ashier ST A T E M E N T . D E CE M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 20,364 30 Overdrafts, secured and u n se cu red .................................................. 10 70 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 152 50 B onds ........................................................................ R evenue stam p a c c ' t ..................... 135 00 B ankin g house, furniture and fix t u r e s ............................................. 1,429 00 Other real e s t a t e .............................. 1 600 00 Current exp en ses and ta x e s paid 481 43 P rem ium on U. s . and other bonds and s e c u r itie s ........................................... C hecks and other cash ite m s ....... 403 60 Due from national, sta te and pri 5,130 81 v a te banks and b a n k ers............. T otal cash on h a n d ........... ........... 2,895 35 Capital stock paid i n ...................... $ 7,500 00 1,500 00 Surplus f u n d ..................................... U ndivided p ro fits............................ 678 95 D ividends un p aid .................................................... Individual dep osits subject to c h e c k ................................................ 10,986 16 D em and certificates of d e p o s it. .. 8,476 58 T im e certificates of d e p o s it......... 3,461 0 0 Certified c h e c k s ............................... C ashier’s checks ou tsta n d in g __ D ue to national b a n k s ................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l.............................................. $ 32,602 69 Nebraska City. T o ta l.............................................. $ 32,602 69 The Farm ers Bank. Charter No. 278. I M. E . C a tr o n ................... Cashier L. E n y a r t............................... P resid en t J . H . C atron............................. V ice-P resid en t | A . T. C a sse l......................... A ssista n t Cashier ¡STATEMENT, D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and discounts ...................... $129,940 11 O verdrafts, secured and u n se cured ................................................ 52 26 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. City w a r r a n ts ................................... 600 17 U. S. revenue s t a m p s .................... 143 30 B ankin g house, fu rn iture and fixtures ....... 499 50 Other real e s t a t e ............................. 1,565 71 Current exp en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s . .. 240 04 D ue from national, sta te and p r i v a te banks and b a n k ers............. 83,270 71 T o ta l cash on h a n d .......................... 24,388 94 Capital sto ck paid i n ...................... $ 50,000 00 Surplus fu n d ..................................... 2,200 00 U ndivided p r o f it s ............................ 2,293 60 D ividends un p aid .................................................... Individual dep osits subject to c h e c k ................................................ 93,671 50 Dem and certificates of d e p o sit.. 4,807 03 T im e certificates of d e p o sit......... 37,899 35 Certified c h e c k s...................................................... C ashier’s checks ou tsta n d in g ........................ D ue to national b a n k s ................... 49,829 26 D ue to sta te and p rivate banks * and b a n k e r s .................................. ............. N o tes and b ills r e d isc o u n te d ___ .. . . . . . . . . B ills p a y a b le ............................................................ T otal. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $240,700 74 T otal $240,700 74 I E IG H T H 1 4 8 Nehawka. ANNUAL REPO RT OF THE The N ehaw ka Bank. . C harter N o. 279. J . M. S to n e ....... P re sid e n t L . C. P o lla r d ........ V ice-P resid en t D. C. W est. ...C a sh ie r ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts................... $ 80,222 15 O verdrafts, secured and u n se 1,973 79 cu red .................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. Other a s s e t s ..................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 2,538 29 Other real e s t a te ............................... 4,200 0 0 Current exp en ses and ta x es paid 582 38 P rem iu m on U. S. and other bonds and s e c u r it ie s ................................. ... R evenue sta m p s ............................... 140 73 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 23,975 23 T otal cash on h a n d .......................... 2 607 41 T o ta l................................. ........... Neligh. $116,239 98 C apital sto ck paid i n .................... $ 20,000 00 Surplus fu n d ..................................... 2,000 00 U ndivided p r o fits............................ 2,938 15 D ividends u n p a id ............................ 460 00 Individual dep osits subject to c h e c k ................................................ 39.350 29 Dem and certificates of deposit . 19,906 80 T im e certificates of d e p o sit......... 31,584 74 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private ban k s and b a n k e r s ................................... N o tes and b ills red iscou n ted . .. . B ills p a y a b le ..................................... T o ta l.............................................. $116,239 98 The A tlas Bank. ♦ C harter No. 511. T. P . B irm in g h a m __ P resid en t E d F . G a lla g h er___ V ic e -P r e s. B. J. R yan — C ashier ST A T EM E N T, D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 20,780 16 Overdrafts, secured and u n se cured.................................................. 659 03 S tock s, securities, judgm ents, claim s, e t c ....................................... 2,625 44 B o n d s........................................................................... R e v e n u e .............................................. 231 82 B anking house, furniture and fixtures ........................................... 359 09 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,124 62 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and p riv a te banks and b a n k e r s __ 22,600 45 T otal cash on h a n d .......................... 7,325 38 Capital sto ck paid in ...................... $ 15,000 00 Surplus fund ....................................................... U ndivided p r o f it s ............................ 1,861 03 D ividends unpaid ................................................. Individ ual d ep osits subject to c h e c k ................................................. 29,813 18 D em and certificates of deposit .. 3,375 66 T im e certificates of d e p o sit....... 5,653 12 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ........................................... D ue to sta te and private banks and b a n k e r s ................................... N o te s and b ills red iscoun ted........ B ills p a y a b le ............... ...................... T otal. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 55,705 99 Total $ 55,705 99 SEC RETA RY Nelson. OF T H E STA TE B A N K IN G BO ARD , I 4 9 Tile com m ercial Bank. Charter N o 280. H enry W eh rm a n ................................. P resid en t | I. J. W e h r m a n ........................................ C ashier ST A T E M E N T , DECEM BER 2. 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8 43,291 01 Overdrafts, secured and u n se 261 77 cured .................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,000 00 B o n d s .................................. ....................................... 1,632.64 R evenue and corn a cco u n t............. B ankin g house, furniture and fix t u r e s ............................................. 5,434 30 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 701 37 P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and private banks and b a n k e r s ___ 3,012 91 T ota l cash on h a n d .......................... 5,214 49 Capital stock paid in ...................... $ 15.000 00 Surplus f u n d ..................................... 347 21 U ndivided p r o f it s ............................ 1,307 98 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 31,775 02 Demand certificates of deposit .. 7,148 28 'rime certificates of d e p o s i t .............................. Certified checks ................................... ...... . C a sh le i’s checks o u t s ta n d in g .......................... Due to n ational b a n k s ......................................... Due to sta te and private banks and bankers ........................................................ N otes and b ills red iscoun ted.............................. B ills p a y a b le ..................................... 5,000 00 S 60,578 49 T o ta l............................................... $ 69,578 49 T o ta l.............................................. NewcastlG. The Farm ers State Bank. C harter No. 282. E d W ilk in so n ........P resid en t » John C onnery........ V ice-P res. W. P L o g a n ___ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d is c o u n t s ...................... $ 35,747 73 Overdrafts, secured and u n se cured ................................................ 545 28 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 100 00 B onds ........................................................ A.............. Other a s s e t s ............................................................. B ankin g house, fu rn iture and f ix t u r e s ........................ , .................. 2,180 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s .......................................... C hecks and other cash it e m s ....... 61 42 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 5,529 24 T ota l cash on h a n d ............................... 3.22105 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 47,385 72 Capital stock paid in ...................... 8 10,000 00 200 00 Surplus f u n d ..................................... Undivided profits ............................ 1,324 61 D ividends u n p a id .................................................. Individual d ep osits su b ject to c h e c k ................................................ 19,213 58 Demand certificates of d e p o sit.. 1,606 65 T im e certificates of d e p o s it.......... 15,040 88 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and bankers ................................. N o tes and b ills red iscou n ted ........ B ills p a y a b le ..................................... Total. 8 47,385 72 E IG H T H IS O Newman Grove. ANNUAL REPO RT OF T H E The Newman Grove State Bank. Charter No. 283. J. A . B lo m q u ist__ P resid en t J . W . P rim m er___ V ioe-P res. W. E. H a r v e y ___ Cashier ST A T E M E N T . D E C E M B ER 2. 1899. RESO U R C ES. L IA B IL IT IE S . L oans and discounts ....................... $ 58,700 04 Overdrafts, secured and u n se cured.................................................. 767 48 Stocks, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ............................................. 4,000 00 Other real e s t a t e ........................................... ....... Current expenses and ta x es paid 331 15 P rem iu m on U . s . and other bonds and s e c u r it ie s ................... Checks and other ca sh ite m s ...... D ue from national, sta te and p ri va te banks and b a n k e rs........... 2,976 31 T o ta l cash on h a n d .......................... 4,859 51 C apital sto ck paid i n ...................... $ 20,000 00 Surplus fu n d ....................................... 2,800 00 U ndivided p r o fits ............................ 969 70 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k ................................................ 22,200 51 Dem and certificates of d e p o sit.. 175 00 T im e certificates of d e p o s it....... 20,850 18 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g __ 4,639 10 Due to n ational banks ........................................ D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o ta l............................................... $ 71,634 49 T o ta l............................................... $ 71,634 49 Newman Grove. The Citizens State Bank. C harter No. 284. C. A. R a n d a ll............................ P resid en t I E . H . G erh art................... C ashier G. W . R a n d a ll..........................V ic e-P r e sid en t | G eo. H. G erten ....................A ssista n t Cashier ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 52,293 40 O verdrafts, secured and u n se cu red .................................................. 361 02 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fixtures ........................................... 4,090 04 Other rea l e s t a t e .................................................... Current ex p en ses and ta x es paid 1,011 17 P rem iu m on U . S. and other bonds and s e c u r it ie s ..................................... C hecks and other cash ite m s ... 94 52 D ue from national, sta te and pri v a te banks and b a n k e r s ........... 9,551 42 T o ta l cash on h a n d .......................... 4,518 21 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 71,919 78 C apital stock paid in ..................... $ 14,000 00 2,100 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 1,844 43 D ividends u n p a id ............................ Individ ual d ep osits su b ject to check ................................................. 34,250 58 D em and certificates of d e p o sit.. T im e certificates of d e p o s it......... ' 16,505 43 Certified ch eck s ........................ C ashier’s check s o u tsta n d in g ___ 3,219 34 D ue to national b a n k s.................... D ue to sta te and p rivate banks and ban kers ............................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... T o ta l $ 71,919 78 SEC RETA RY Newport. OF TH E STA TE B A N K IN G BO ARD. I 5 1 The Rock County State Bank. C harter No. 517. C. M. T h o m p so n ...................... P resid en t I B . V . T h o m p so n ................Cashier B . V . T hom pson .................... V ice-P resid en t | P . H . D a v i s .........................A ssista n t Cashier ST A T EM E N T, DECEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 10,465 40 Overdrafts, secured and u n se cured .................................................. 474 48 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. R evenue s ta m p s ................................ 117 49 Other a s s e ts ............................................................ B anking house, fu rn iture and fixtu res ........................................... 500 00 Other real e s t a t e .................................................... Current exp en ses and ta x es paid . Prem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash ite m s __ 340 89 Due from national, sta te and pri v a te banks and b a n k ers............ 4.059 39 T ota l cash on h a n d ............... .......... 976 67 T o ta l............................................... $ 16,934 32 Niobrara. C apital sto ck paid i n ...................... $ 5,000 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 675 46 D ividends u n p a id ..... ........... Individual d ep osits su b ject to c h e c k ................................... ............. 11,180 12 Dem and certificates of d e p o sit.. 78 74 Tim e certificates of d e p o sit........ Certified checks .............................. C ashier’s check s o u tsta n d in g __ Due to na tio n a l b a n k s ......... . D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T otal $ 16,934 32 The N iobrara Valley Bank. Charter No. 285. * F . N e ls o n ...............................................P resid en t | G eo. W . C ham bers.................................C ashier ST A T E M E N T , D E CE M B ER 2. 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 43,657 79 Overdrafts, secured and u n se cured ................................................ 1,423 00 S tock s, secu rities, jcd gm em s, claim s, e t c .......................................................... B o n d s........................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and fix t u r e s ............................................. 1,500 00 Other real e s t a te ....................................... ............ Current ex p en ses and ta x es paid ................. P rem iu m on U. S and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s __ 6 99 D ue from national, sta te and p rivate banks and b a n k e r s __ 7,084 72 T otal cash on h a n d .......................... 6,658 33 C apital stock paid in ........... ........ $ 10,000 00 Surplus f u n d ....................... 500 00 U ndivided p r o f it s .............. 2,584 69 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k .................................. 25,351 06 Dem and certificates of deposit .. 1,810 27 T im e certificates of deposit . . . . 20,084 81 Certified c h e c k s ................................ C ashier’s checks o u tsta n d in g __ D ue to n ational b a n k s .................. D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 60,330 83 T otal 8 60,330 83 E IG H T H Î52 Norden. ANNUAL REPO RT OP T H E The Bank of Norden. Charter No. 531. H . W . L o g a n ....................................... P resid en t | Chas. W . L o g a n ...................................... C ashier ST A T EM E N T, D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts.............. ....... $ 11,086 21 O verdrafts, secured and u n se cured ................................................. 166 00 S to ck s, sec u r ities, judgm ents, claim s, e t c ....................................... B o n d s..................................................... O ther a s s e t s ....................................... B ankin g house, fu rn iture and 2,500 00 fix t u r e s ............................................. O ther real e sta te ............................ Current ex p en ses and ta x es paid P rem iu m on U. S. and other bonds and s e c u r it ie s ................... C hecks and oth er cash ite m s .. D ue from national, sta te and 2,583 58 private banks and b a n k e r s __ 3,491 90 T o ta l cash on h a n d ...................... T o ta l............................................... $ 19,827 72 C apital sto ck paid in ....................... $ 5.000 00 3,000 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 351 55 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 10,898 17 D em and certificates of deposit .. 578 00 T im e certificates of d e p o s it......... ................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s ......... .................... N o tes and b ills red iscou n ted ....... B ills payable ................ .................... North Bend. T o ta l............................................... 8 19,827 72 The Bank of N orth Bend. Charter N o. 287. I T hos. H . F o w l e r ...............C ashier M. D o w lin g ...........................P resid en t Ira D o a n ......................................V ic e-P r e sid en t | H . P . D o w lin g ..................... A ssista n t Cashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $120,588 10 O verdrafts, secured and u n se cured ................................................. 2,921 81 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 423 75 B o n d s............................................................................ Other a sse ts .............................................. — F u rn iture and f ix t u r e s ................... 1,935 00 Other real e s t a t e .............................. 1.500 00 Current ex p en ses and ta x e s paid 2,176 47 Prem iu m on U. S. and other bonds and s e c u r it ie s ................ .. ................. C hecks and other cash it e m s ............. ............... D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 10.570 66 T otal cash on hand ........................ 7,088 69 C apital sto ck paid i n ...................... $ 25,000 00 Surplus f u n d ..................................... 1,000 00 U ndivided p r o f it s ............................ 8,447 84 D ividends unpaid..................................................... Individ ual d ep osits subject to c h e c k ................................................ 48,813 70 Dem and certificates of dep osit .. I T im e certificates of d e p o s it......... f 63.915 23 Certified c h e c k s ..... ........................ , .............. C ashier’s check s o u tsta n d in g __ 27 71 D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N otes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8147,204 48 T otal $147,204 48 SEC RETA RY North Platte. OF TH E ST A T E B A N K IN G BO ARD, 153 The Bank of Charles McDonald. Charter No. 288. C harles M cD onald..............................P resid en t | W , H. M cDonald. . C ashier ST A T E M E N T . D EC E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8129,720 75 Overdrafts, secured and u n se cu red .................................................. 387 14 S to ck s, secu rities, judgm ents, claim s, 'e tc ............................ B onds ......................................... Other a s s e ts ............................. B ankin g house, furniture and f ix t u r e s ................................... 10,000 00 Other real esta te .................... Current ex p en ses and ta x e s paid 1,605 46 P rem iu m s on U. S. and other bonds and secu rities . .. C hecks and other cash item s 177 36 D ue from national, sta te and p ri va te banks and b a n k e rs... 56,499 69 T ota l cash on h a n d ................. " 20.266 23 8218,656 63 C apital stock paid in ...................... 8 30,000 0 Surplus f u n d ..................................... U ndivided profits .......................... 13,277 54 D ividends unpaid .......................... Individ ual dep osits subject to check .................... 109,737 34 Demand certificates of dep osit .. 118 75 T im e certificates of d e p o s it ....... 59,490 42 Certified c h e c k s ............................... n o 00 C ashier's check s o u tsta n d in g __ 3,063 60 Due to national b a n k s .................. Due to sta te and private banks 2,868 98 N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... Oak. T otal ....................................... 8218,656 63 The Scroggin & Co. Bank. Charter No. 503. A. C. S c r o g g in . . . . P resid en t B. F. S cro g g in . . . . C ashier R. F . S h e lle y . .. . A ss’t Cashier ST A T EM E N T, D E CEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 17,510 89 Overdrafts, secured and u n se cured ................................................ 221 80 S tock s, secu rities judgm ents, claim s, e t c ............................................................. B o n d s ........................................................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fixtures ........................................... 1,100 00 O ther real e s t a t e .................................................... Current exp en ses and ta x es paid ............... P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s .............................. Due from national, sta te and p ri v a te banks and bankers ........... 3,286 22 T ota l cash on h a n d .......................... 1,877 40 Capital stock paid in ...................... 8 5,500 00 Surplus fund ................................ U ndivided p r o fit s ............................ ' ’ ’ 561 79 D ividends u n p a id ............................ Individ ual dep osits subject to check ................................................ 17,023 27 D em and certificates of dep osit .. 639 25 T im e certificates of d e p o s it ....... 305 00 Certified c h e c k s ............................... C ashier’s checks ou tsta n d in g ___ D ue to national banks .. ... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o tal.......................................... if 24,029 31 II https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total. 24,029 31 E IG H T H 154 Oakdale. ANNUAL REPO RT OF T H E The O akdale Bank. C harter No. 290. C. W . P r ie s tle y ...........................................................................................................................................Owner ST A T E M E N T . D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 36,692 37 O verdrafts, secured and u n se cured ................................................. 5 56 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... O ther a s s e ts .............................................................. B ankin g house, furniture and fix tu r e s ............. .............................. 1,250 00 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,417 15 P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash i t e m s __ Due from national, sta te and pri 24,021 31 v a te banks and b a n k e rs............. T o ta l cash on h an d.......................... 3,222 13 T o ta l.............................................. $ 66,608 52 C apital stock paid in .................... $ 10.000 00 Surplus f u n d .................... 714 84 U ndivided p r o f it s ............................ 3,491 42 D ividends u n p a id ................................. ........... Individ ual d ep osits subject to c h e c k ................................................ 38,099 37 D em and certificates of d e p o s it.. 7,778 56 6,524 33 T im e certificates of d e p o s it ....... Certified check s .............................. ............. C ashier’s ch eck s ou tsta n d in g ............................ Due to national b a n k s ..................................— D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... Oakdale. T o t a l ............................................. 8> 66,608 52 The A ntelope County Bank. C harter No. 291. C ashier P resid en t | R. M cAdams J a s. T. H uston ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts........................ $ 18,200 81 Overdrafts, secured and u n se cu red ......................................................................... S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ............................................................/ .......... Other a s s e t s ............................................................. B ankin g house, furniture and f ix t u r e s .................................. 725 00 Other real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,544 75 P rem iu m on U . S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s .............................. D ue from national, sta te and p ri va te banks and b a n k e rs............. 10,276 98 T o ta l cash on h a n d .......................... 1,727 12 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 32,474 66 C apital stock paid in ...................... $ 10.000 00 Surplus fu n d .......................................... 1,90000 U ndivided p r o fits............................ 2,156 08 D ividends unpaid .................................................. Individ ual dep osits subject to c h e c k ................................................. 15,752 28 Demand certificates of d e p o s it... 1,166 30 T im e certificates of d e p o sit......... 1,500 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s ........................................... D ue to sta te and private banks and b a n k e r s................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T otal $ 32,474 66 SEC R ET A R Y Oakiand. OF THE STA T E B A N K IN G BOARD. 155 The Farm ers & Merchants Bank. Charter No. 293. Cashier | A. L. N e w m a n ...................A ssista n t C ashier V . N ew m an ST A T EM E N T, D E CEM BER 2, 1899 L IA B IL IT IE S RESO U R C E S. L oans and d isc o u n ts...................... $112,221 92 Overdrafts, secured and u n se cured ................................................ 405 91 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 100 00 B onds ......................................................................... Other a s s e t s ....................................... 466 42 Banking house, furniture and fix tu r e s .................................................. 5,123 27 O ther real e s t a te .................................................... Current ex p en ses and ta x es paid 1,268 41 P rem ium on U. S. and other bonds and s e c u r it ie s ............. ........................... Checks and other cash item s — 319 61 D ue from national, sta te and pri v a te banks and b a n k e r s ........... 22,441 85 T o ta l cash on h a n d ........................ 8,284 14 T o t a l ............................................. $150,631 53 Oakland. Capital sto ck paid in ...................... $ 25,000 00 Surplus f u n d ..................................... 5,000 00 U ndivided p r o f it s ............................ 4,856 39 D ividends u n p a id ........................................... — Individual d ep osits subject to c h e c k ................................................ 64,275 75 Demand certificates of dep osit .. 5,162 65 T im e certificates of d e p o s it ....... 46,336 74 ........................ Certified checks C ashier’s check s ou tstan d in g — Due to national b a n k s ................... Due to sta te and p rivate banks and b a n k e rs.................................. N o tes and b ills red iscoun ted — B ills payable .................................... T o ta l.............................................. $150,631 53 The B ank of W ells &, Trim born. C harter No. 468. Owners W ells & Trimborn ST A T E M E N T , D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 48,975 53 Overdrafts, secured and u n se c u r ed .................................................. 507 76 Stock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... O ther a sse ts ................................... B ankin g house, furniture and fix tu res .................................................. Other real e s t a te .............................. Current exp en ses and ta x e s paid P rem ium on U . S. and other bonds and secu rities — ........... C hecks and other cash item s — D ue from national, sta te and private banks and b a n k e r s ___ 6,184 44 T o ta l cash on h a n d ........................ 3,558 13 $ 59,225 86 T o ta l Capital stock paid in ...................... $ 15,000 00 Surplus f u n d ..... ............................ 1,000 00 U ndivided p r o f it s ............................ 3,186 86 D ividends un paid.................................................... Individ ual dep osits subject to c h e c k .......................................... 22,984 70 D em and certificates of d e p o sit.. 2,285 80 T im e certificates of d e p o s it ....... 14,768 50 Certified c h e c k s...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted __ B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 59,225 86 E IG H T H 1 5 6 Odell. ANNUAL REPO RT OF TH E The B ank of Odell. Charter No. 294. F . R. J o y ...............................................P resid en t | H. R. J o y ................................................... C ashier ST A T E M E N T , D E C E M B E R 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8 15,727 22 Overdrafts, secured and u n se cured ................................................. 2 , 1 1 1 98 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s............................................ O ther a s s e t s ....................................... B ankin g house, fu rn iture and fix t u r e s ................................................. 5,60715 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 2,254 18 P rem iu m on U. s . and other bonds and s e c u r itie s ........................................... C hecks and other cash item s __ 615 i i D ue from national, sta te and pri va te banks and b a n k ers............. 19.583 06 T o ta l cash on h a n d .............................. 6,43606 T o ta l ............................................. $ 5 -2 ,3 3 5 06 Ogalalla. C apital stock paid i n ...................... $ 20,000 0 0 Surplus fu n d ....................................... 2 1 1 28 U ndivided p r o fits........... ............... 3,560 48 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e c k .................................................. 20,549 44 Demand certificates of d e p o s it... 8,013 86 T im e certificates of d e p o s it......... Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s..................... D ue to sta te and private banks and b a n k ers................................... C ollection a c c o u n t.......................... B ills p a y a b le ................................... T o ta l............................................... 8 52,335 06 The Exchange Bank. C harter N o. 488. J . W. Weipton................................................... ............................................... .............................Owner ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L oans and d isc o u n ts...................... $ O verdrafts, secured and u n seC u r e d .................................................... L IA B IL IT IE S . 24 749 05 5QQ gg S tock s, secu rities, judgm ents, claim s, etc ........................................... Cash, internal r ev e n u e ....... 4 539 59 S h ort on cash ........................ . 2 07 B ankin g house, furniture and fix tu res • - ............................................. 70 00 Other real e s t a t e .................... Current ex p en ses and ta x es paid '" 2 498 46 Prem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash it e m s ... 2 985'66 D ue from national, sta te and private banks and b a n k e rs__ 1,257 3 9 1 o ta l cash on h a n d .......................... 4,539 5 9 T o ta l............................................... $ 36,602 49 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital sto ck paid in ...................... 8 5,000 00 Surplus f u n d ..................................... 750 00 U ndivided p r o fit s ............................ 2,551 67 D ividends unpaid ................................................. Individ ual d ep osits subject to c h e c k ................................................ 26,554 56 Demand certificates of d ep osits. 1,125 75 T im e certificates of d e p o s it................................ Certified ch eck s . ............................................... C ashier’s ch eck s ou tsta n d in g __ 620 51 Due to n ational b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o te s and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l............................................... $ 36,602 49 SECRETA RY Ohiowa. OF TH E STA TE B A N K IN G BO ARD , 157 The Bank of Ohiowa. C harter No. 298. W . B . L im e r ic k ...................... P resid en t I R . A . H a r v e y ....................... C ashier R . L . C lem o n s.......................... V ice-P resid en t | F . J. S ie b e r ..........................A ssista n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 50,840 07 Overdrafts, secured and u n se cu red .................................................. *1,247 68 S tock s, secu rities, judgm ents. claim s, e tc ............. .......................... Bonds .................................................. Other a s s e t s ....................................... Banking house, fu rn iture and fixtures ........................................... 1,575 00 Other real e s t a t e .............................. j,400 00 Current exp en ses and ta x e s paid. 33 0 2 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... Checks and other cash ite m s ............................ D ue from national, sta te and pri v a te banks and b a n k e rs............. 29,639 27 T otal cash on h a n d .......................... 4.346 78 T otal ............................................. $ 89,081 82 Capital stock paid i n ...................... $ 15,000 00 Surplus fund .................................. 6.000 00 U ndivided p ro fits.................. 2,024 70 D ividends u n p a id ................................................... Individ ual d ep osits su b ject to c h e ck ....................................... 32,996 52 Dem and certificates of dep osit .. 17.036 60 T im e certificates of deposit . . . . 16,024 00 Certified c h e c k s..... ........................................... C ashier’s check s o u t s ta n d in g .......................... Due to national b a n k s ........................................... Due to sta te and p rivate banks and b a n k e r s ............. ........:............................... N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ..................................... 66.057 12 Omaha. T otal ............................................. 8 89,081 82 The Omaha Loan &, T rust Co. Savings Bank. Charter No. 303. A . U . W y m a n ....... P resid en t J . J . B ro w n ........ V ic e-P r e s. F rank B ro w n ........ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts.................... 8180,941 34 Overdrafts, secured and u n se cured ........................................................................ Stock s, secu rities, judgm ents, claim s, e t c ....................................... 6,299 50 B o n d s........................................................................ Other a s s e t s ............................................................. B anking house, furniture and f ix t u r e s .................................................................. Other real e s t a te ............................... 45.610 58 Current ex p en ses and ta x e s paid 1,189 07 P rem iu m on U. S. and other bonds and secu rities ......................................... C hecks and other cash ite m s __ 910 82 D ue from national, sta te and p ri v a te banks and b a n k ers............. 101,705 59 T ota l cash on h a n d .......................... 4.614 59 Capital sto ck paid in ...................... 8 50,000 00 Surplus fu n d ....................................... 43,000 00 U ndivided p r o fits.............................. 6,684 67 D ividends u n p a id .................................................. Individual d ep osits subject to check ............................................... 172.075 99 Dem and certificates of d e p o sit.. 3.897 20 T im e certificates ofd e p o s it.......... 65.643 63 Certified c h e c k s ...................... ............................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8341,301 49 T otal 8341,301 49 E IG H T H 158 ANNUAL REPO RT OF TH E The E lkhorn V alley Bank. O’Neill. Charter No. 308. B e r n a r d M c G r ee v y ....P r e s. Mary H a g erty . . . . V ice-P res. P a tr ic k H a g e r ty ....C a s h ie r ST A T E M E N T , D ECEM BER 2, 1899. L IA B IL IT IE S RESO U R C E S. L oans and discounts ..................... $ 45,453 73 Overdrafts, secured and u n se cu red .................................................. 659 99 S tock s, secu rities, judgm ents, claim s e t c ................ ................... B o n d s .................................................... Other a s s e t s ........... ........................... B ankin g house, fu rn iture and fix t u r e s .................... ........................ 5.000 00 Other real e s t a t e .............................. 2,500 00 Current exp en ses and ta x e s paid 1,174 64 P rem ium on U . S. and other bonds and secu rities ................................ C hecks and other cash ite m s . . . 1,019 04 D ue from national, sta te and pri va te banks and b a n k e rs............. 1.64588 T o ta l cash on h a n d .......................... 4G45_36 C apital stock paid i n ...................... $ 15,000 00 Surplus fu n d ....................... 425 00 U ndivided p r o fits............. 2,458 75 D ividends u n p a id .................................................... Individual dep osits subject to c h e c k .........................................- — 31,194 53 Dem and certificates of d e p o s it... 350 00 T im e certificates of d e p o sit........... 12,740 36 Certified c h e c k s __ •................................................ C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and private banks and b a n k e r s .................................. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal ............................................. * 62,168 64 T o t a l............................................... $ 62,168 64 Ong. The Exchange Bank. Charter N o. 309. J . F . W a lk e r ...................x ___P resid en t j J . O. W a lk e r ....................... Cashier M. B a lto n ................................... V ic e-P r e sid en t | G. W . B e a r n e s ................... A ss is ta n t C ashier ST A T E M E N T , D E CE M B ER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... $103,955 27 O verdrafts, secured and u n se cured .................................................. 695 84 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 1.930 95 D em and lo a n s ..................................... 2,600 00 Other a s s e t s ....................................... 391 75 B ankin g house, fu rn iture and f ix t u r e s ............................................. 2.650 00 Other real e s t a t e ............................ 2.150 00 Current ex p en ses and ta x e s paid 1,149 32 P rem iu m on U . S. and other bonds and s e c u r i t i e s ...........................•......... C hecks ond other cash i t e ms . . . 66 65 D ue from national, sta te and pri v a te banks and b a n k ers............. 38,624 72 T o ta l cash on h a n d .......................... 6,460 08 $160,674 58 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital stock paid in ...................... $ 25,000 00 Surplus fund ................................... 1 1 .000 00 U ndivided p r o fits ............................. 4,459 45 D ividends u n p a id .................................................... Individ ual dep osits subject to c h e c k .................................................. 48.093 60 Dem and certificates of d e p o s it... 49,601 15 T im e certificates of d e p o sit......... 22,520 38 Certified c h e c k s ...................................................... C ashier’s check s o u t s t a n d in g .......................... D ue to national banks ................................... Due to sta te and private banks and b a n k e rs..................................................... ■ N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T otal $160,674 58 SECRETARY Ord. OF T H E STA T E B A N K IN G BOARD. I 59 The O rd State Bank. Charter No. 310. F . L . H a r r is__ P resid en t A . E . C harlton___ Cashier P ercy M ount___ A ss ’t C ashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... $ 51,894 52 O verdrafts, secured and u n se c u r e d ......................................... , 990 48 S to ck s, secu rities, judgm ents, claim s, etc., revenue s ta m p s ... 90 00 Bonds, in terest a c c t................... 112 93 Other a s s e ts .............................................................. B anking house, furniture and f ix t u r e s ..................................... 1,367 67 Other real e s t a te ...................... 18,058 02 Current exp en ses and ta x es paid 273 92 P rem ium on U. S. and other bonds and secu rities ....................................... Checks and other cash ite m s ............................. Due from national, sta te and p ri va te banks and b a n k e rs.............. 10,724 88 T otal cash on h a n d ................... 5,133 18 T o ta l............................................... $ 88,615 60 Orleans. Capital stock paid in ...................... $ 50,000 00 Surplus fu n d ............................................................. U ndivided profits ................., ......... 249 07 D ividends u n p aid .................................................... Individual dep osits subject to check ............................................... 22,895 66 D em and certificates of d e p o s it ... 10,500 87 T im e certificates of d e p o s it................................ Certified c h e c k s ... ..................................... C ashier’s check s o u t s ta n d in g .......................... Due to national b a n k s ........................... .............. D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 5,000 00 T o t a l ............................................. $ 88,645 60 The B ank of Orleans. Charter No. 311. S. D L a n e ....... P resid en t L . G. M eans.........V ice-P resid en t E . L . M ean s........ C ashier ST A T EM E N T, D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 44.107 52 O verdrafts, secured and u n se cured ................................................ 897 43 Stock s, securities, judgm ents, claim s, e t c ....................................... 14,765 92 B o n d s........................................................................... Other a s s e t s ................................... ........................ B anking house, furniture and fix tu r es............................................. 5,550 00 Other real e s t a t e .............................. 5,647 04 Current ex p en ses and ta x es paid ................. Prem ium on TT. S. and other bonds and s e c u r itie s ........................................ C hecks and other cash ite m s ............................ Due from national, sta te and pri v a te banks and b a n k e r s ........... 6,609 67 T otal cash on h a n d .......................... 1,780 47 Capital sto ck paid i n ...................... $ 20,000 00 Surplus fu n d ..................................... U ndivided prof i t s. . . . . . ............. " 39Ó 5Ó D ividends u n p a id ............................ Individual dep osits subject to c h e c k ..... ........................................... 31,341 55 Demand certificates of d e p o s it. .. 19,920 00 T im e certificates of d e p o sit......... Certified c h e c k s ................................ C ashier’s check s ou tsta n d in g ___ Due to national b a n k s ................... Due to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d .......................... . B ills p a y a b le ..................................... 7,500 00 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 79,158 05 T otal $ 79,158 05 i6o E IG H T H Osceola. ANNUAL REPO RT OF TH E The B ank of P olk County. C harter No. 312. H . T . A rnold........P resid en t S. O. W h a le y .........V ice-P resid en t J. P. H e a ld ........ Cashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 23,814 35 O verdrafts, secured and unse- C apital sto c k paid in ...................... $ 10,000 00 Surplus f u n d ..................................... 600 00 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. D ividends unpaid .................................................. Individ ual dep osits subject to Other a s s e t s ............................................................. B ankin g hou se, fu rn iture and D em and certificates of d e p o s it.. Tim e certificates of d e p o s it....... Current exp en ses and ta x es paid P rem iu m on U. S. and oth er 932 13 D ue to n ational b a n k s ......... .............................. Due to sta te and private banks 15 00 N o tes and b ills r ed isc o u n te d ............................ B ills p a y a b le ............................................................ C hecks and other cash ite m s ___ D ue from national, sta te and p ri va te banks and b a n k e r s ........... T otal cash on h a n d .......................... 11,378 55 4,008 20 T o t a l ............................................. $ 43,477 48 Osceola. 4 388 50 9,960 65 T o t a l ............................................. $ 43,477 48 The Osceola Bank. Charter No. 813. J . H . M ickey............................. P resid en t | O. E . M ic k e y ............................... C ashier E . L . K i n g ............................... V ic e-P r e sid en t ] S. A. Snider and E. S. M ickey. A ss ’t C ashiers ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 81,881 46 Overdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e ts ............................................................. Banking house, fu rn iture and fixtures ........................................... 12,210 00 Other real e s t a t e ..... ..................... Current exp en ses and ta x e s paid 2,768 14 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s . . ................. D ue from national, sta te and pri v a te banks and bankers ........... 12,527 81 T o ta l cash on h a n d .......................... 8,170 46 C apital sto ck paid i n ...................... $ 37,500 00 Surplus fu n d ..................................... 607 91 U ndivided p r o fits............................ 4,980 92 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ..................... 27,850 81 D em and certificates of d e p o sit.. 46,618 23 Tim e certificates of d e p o s it............................ Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s ............... ...................................... N o tes and b ills red iscou n ted .......................... B ills p a y a b le .......................................................... Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $117,557 87 Total $117,557 87 SEC RETA RY Osmond. OF TH E STA TE B A N K IN G BO ARD. IÓ I The Farm ers State Bank. Charter No. 470. C- A . K is sin g e r .......................P resid en t ! B M. S m ith ..........................C ashier W. L<. S m ith ............................V ice-P resid en t | S . M. S m ith ...........................A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts..................... * 34,344 46 O verdrafts, secured and u n se cured ............................ 149 99 S tock s, secu rities, judgm ents, claim s, e t c ............. Bonds ........................ O ther a s se ts ........................ B ankin g house, fu rn iture and fixtures ..................... 4,485 93 Other real esta te Current ex p en ses and ta x e s paid 1,617 74 P rem ium on U. S. and other bonds and s e c u r it i e s ............. Checks and other cash item s . . . . 54 76 D ue from national, sta te and p ri v a te banks and b a n k e rs__ 6.528 36 T o ta l cash on h a n d .. 2,769 44 T o ta l........................ 8 49,940 68 CaDital stock paid i n ......... $ 15,000 00 Surplus fu n d ................... 1,500 00 U ndivided profits . . . . 3,491 80 D ividends u n p a id ............................ Individ ual d ep osits subject to 22,287 94 Demand certificates of d e p o s it... 2,246 16 T im e certificates of deposit 5,414 78 Osmond. C ashier’s checks o u tsta n d in g ........................ D ue to national banks .. Due to sta te and private banks and bankers N otes and b ills red iscou n ted ............. B ills p a y a b le ............... T o t a l ........................ $ 49,940 68 The Security State B ank. Charter No. 537. W . A . H ub bard.. .P resid en t F . L . D is e r u is .. . . V ic e-P r e s. L ew is E. D a y . . . . C ashier STATEM ENT? D E C E M B ER 2, 1899. R ESO U RCES. L oans and d isc o u n ts...................... $ 12,751 54 Overdrafts, secured and u n se cu r ed ................................................ S tock s, secu rities, judgm ents, claim s, e t c ......... .. . .................................... B o n d s.............................................. ..... Other a s s e ts .............................. . . . . . . . . . .. . . . . B ankin g house, fu rn iture and fixtures ...........................................' 46 71 O ther real esta te ....................................... C urrent exp en ses and ta x es paid 772 36 P rem ium on IT. S. and other bonds and s e c u r itie s ........................................... C hecks and oth er cash item s . . 838 79 D ue from national, sta te and p ri va te banks and b a n k e rs........... 3,494 75 T otal cash on h a n d .......................... 2,127 08 T o t a l .................................................................... 12 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 2 0 ,0 3 1 23 L IA B IL IT IE S . C apital stock paid in ...................... $ 10 000 00 Surplus f u n d ................................ U ndivided p r o fits............... . . 387 23 D ividends u n p a id .................................................. Individual d ep osits subject to check .................................. 8,366 30 Demand certificates of d e p o sit.. 266 7 0 T im e certificates of d e p o s it......... 1 Oil 00 i 'lA V t ’. i f i fir? n Vt r ? . 17-o C ashier’s check s o u tsta n d in g __ D ue to national b a n k s................... D ue to sta te and p rivate banks and bankers .................................. N o tes and b ills red iscoun ted ... B ills p a y a b le ..................................... T ü t a l .................................................................. S 2 0 ,0 3 1 2 3 E IG H T H IÓ 2 Overton. ANNUAL REPO RT OF T H E The B ank of Overton. C harter No. 316. H, V . T em ple _P resid en t P . L .'T e m p le ___V ie e-P r e s. E . A . T em p le— C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 20,971 90 O verdrafts, secured and u n se cured ................................................ 609 56 S tock s, secu rities, judgm ents, 600 00 claim s, e t c ....................................... . B o n d s........................................................................... Other a s s e t s ........... ................................... ........ B ankin g house, fu rn iture and fixtures ........................................... 1,500 00 O ther real e s t a t e ............... 15,150 00 Current ex p en ses and ta x e s paid ................. P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and pri v a te banks and b a n k ers............. 2,393 53 T o ta l cash on h a n d .......................... 3,051 72 C apital stock paid i n ...................... $ 20,000 00 Surplus fu n d ..... ...................................................... U ndivided p r o fits........................ 257 26 D ividends u n p a id ................................................ Individ ual d ep osits su b ject to 13,175 74 c h e c k ................................................ D em and certificates of d e p o sit.. 1,099 71 T im e certificates of d e p o s it....... 8,744 00 Certified c h e c k s ...................................................... C ashier's check s ou tsta n d in g ............................ Due to na tion al b a n k s......................................... Due to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T o t a l............................................. 8 43,276 71 T o t a l ............................................. 8 43,276 71 Oxford. The Commercial State Bank. C harter No. 317. N. A. P e tty g r o v e _P resid en t H . E . H u ll.. .V ic e -P r e s. W . G. Springe*1___C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R ESO U RCES. L oans and d isco u n ts...................... $ 30,932 75 O verdrafts, secured and u n se cured ................................................. 1,100 54 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 25 00 B onds ......................................................................... Other a ssets, r ev en u e.................... 90 00 B ankin g house, fu rn iture and fix t u r e s ............................................. 500 00 O ther real e s t a t e .................................................... Current expenses and ta x es paid 1,767 03 P rem ium on U. S. and other bonds hnd s e c u r it i e s ......................................... Checks and other cash item s . . 755 22 D ue from national, sta te and pri v a te banks and b a n k ers............. 2,279 22 T o ta l cash on h a n d .......................... 2,546 75 8 39,996 51 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... 8 5,000 00 Surplus f u n d ......................................... 1,40000 U ndivided p r o fits................................ 2,88401 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k .................................................... 13,43372 D em and certificates of dep osit .. 17,278 78 T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s checks o u tstan d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal 8 39,996 5 SEC RETA RY Oxford. OF TH E ST A T E B A N K IN G BOARD. 1 6 3 The N ebraska State Bank. Charter No. 318. W . A . ‘A r m s ..! ................................... P resid en t | Frank J . M ille r .. , ....................................C ashier ST A T EM E N T. D E CEM BER 2. 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 10,736 12 O verdrafts, secured and u n se cu red ......................................................................... Stock s, secu rities, judgm ents, claim s, e t c .............................................................. Bonds ......................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ............................................. 492 97 Other real e s t a t e .............................. 707 10 Current exp en ses and ta x e s paid ................. P rem ium on U. S. and other bonds and s e c u r itie s ........................................... Checks and other cash ite m s ....... 1,777 20 Due from national, sta te and pri v a te banks and b a n k ers............. 3,704 29 T o ta l cash on h a n d ........... ........... 1,348 48 Capital stock paid i n ...................... $ 5,000 00 Surplus f u n d ........................................................... U ndivided p r o fits............................ 1,759 15 T o ta l............................................... 8 18,766 16 T o ta l............................................... $ 18,766 16 Page. D i v i d e n d s u n p a i d ................................................................... Individ ual dep osits subject to c h e c k ................................................ 9,118 31 D em and certificates of d e p o s it... 2,888 70 T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .................................... N otes and b ills red iscou n ted ....... B ills p a y a b le ..................................... The Farm ers Bank. Charter No. 319.' E. H . S m ith ....P resid en t E th a A d a m s___ V ic e-P r e s. Edward A dam s..........Cashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d iscounts ...................... $ 15,457 95 O verdrafts, secured and u n se cured ................................................ 17 84 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ........................................................................ Other a s s e t s ....................................... 253 11 B anking house, fu rn iture and fixtures ........................................... 1,260 00 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 712 P rem iu m on U . S. and other bonds and s e c u r itie s ......................................... Checks and other cash ite m s . .. 783 00 D ue from national, sta te and p ri v a te banks and b a n k ers............. 924 64 T o ta l cash on h a n d .......................... 1,361 85 T otal. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 20,065 51 C apital sto ck paid i n ...................... 8 5,000 00 Surplus fu n d ..................................... 170 00 U ndivided p r o f it s ............................ 160 51 D ividends u n p aid .................................................... Individual dep osits subject to c h e c k ................................................. 11,691 00 Dem and certificates of d e p o sit.. 1,819 00 T im e certificates of d e p o sit......... 1,225 00 Certified c h e ck s...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s .......................................... D ue to sta te and p rivate banks and b a n k e r s .................................... ................. N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal * 20,065 51 164 E IG H T H Palisade. ANNUAL REPO RT OF TH E The Frenchm an V alley Bank. Charter N o. 320. A . J. V en n u in .......................................P resid en t | R . J . V e n n u m ..........................................Cashier ST A T EM E N T. D E CE M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts................... $ 15,283 59 O verdrafts, secured and u n se cu red .................................................. 424 77 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds6 ......................................................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 3,000 00 O ther real e s t a te ................................ 3o0 00 Current exp en ses and ta x es paid 4.031 07 P rem ium on U. s . and other bonds and s e c u r it ie s ....... ................................ C hecks and oth er cash i t e m s __ 2,208 70 Due from national, sta te and p ri va te banks and b a n k e rs............. 7,500 72 T otal cash on h a n d .......................... 3.12102 T o ta l............................................. Palmer. $ 35,869 87 C apital sto ck paid i n .................... $ 10,000 00 Surplus fu n d ............................................................ 9,86194 U ndivided p r o fits................................ D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 10.021 14 Dem and certificates of deposit . 4.986 79 T im e certificates of d e p o s it......... 1,000 00 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and p rivate ban k s and b a n k e r s ................................... N o tes and b ills red isc o u n te d ... . B ills p a y a b le ...................................... T o ta l.............................................. $ 35,869 87 T he Palm er State Bank. Charter N o. 521. J o h n Clay, J r ....P r e s id e n t W . C. K e r r ....V ic e -P r e s id e n t H. J. T e m p lin .. . .C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 22,574 65 Overdrafts, secured and u n se c u r e d .... ......................................... 71 35 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s......................................................................! In tern a l revenue s ta m p s ............... 100 66 B ankin g house, furniture and fixtures ................................................................. Other real e s t a t e ................................................ Current ex p en ses and ta x e s paid 1,209 24 P rem iu m on U. S. and other bonds and secu rities ....................................... C hecks and other cash i t e m s __ 200 90 D ue from national, sta te and p riv a te banks and b a n k e r s __ 5.699 04 T o ta l cash on h a n d .......................... 1,728 71 T otal $ 31,583 89 Capital stock paid in ...................... $ 5,000 00 Surplus fund ....................................................... U ndivided p r o f it s ........... 1,458 04 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................ 20,740 60 Dem and certificates of dep osit .. 2.351 25 T im e certificates of deposit. . . ; . 2,034 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ........................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 31,583 89 SEC R ETA R Y Palmyra. OF T H E STA TE B A N K IN G BO ARD , 165 The B ank of Palm yra. Charter No. 322. J. H. C a tr o n .............................. P resid en t I J. H. Catron, J r ..................Cashier L. E n y a r t................................V ice-P resid en t | A . T. C a sse l ................A ssista n t C ashier ST A T E M E N T , D ECEM BER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ........ ........... $ 43,702 44 O verdrafts, secured and u n se cu red .............................. .................... 195 36 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 300 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x es paid 9 00 P rem iu m on IT. S. and oth er bonds and s e c u r it ie s ......................................... C hecks and oth er cash i t e m s ............................ D ue from national, sta te and private banks and b a n k e r s __ 27,472 34 T o ta l cash on h a n d .......................... 3,002 48 C apital stock paid in ....................... 8 10.000 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 315 98 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k ................................................ 38,281 34 D em and certificates of deposit .. 7,828 30 T im e certificates of deposit ....... 18,256 00 Certified checks ............................................... C a sh ie i’s checks o u t s ta n d in g .......................... Due to national b a n k s ......................................... D ue to sta te and private banks and bankers .................................. N o tes and b ills rediscounted. .. . B ills p a y a b le ..................................... T o ta l... ....................................... $ 74,681 62 Panama. T o ta l....................................... . 8 74,681 62 The B ank of Panama. C harter No. 823. L o u is H o e b e l__ P resid en t Sam uel T ilto n ___ V ic e-P r e s. John T. M arshall ... C ashier ST A T E M E N T . D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oan s and d is c o u n t s ...................... $ 40,674 98 O verdrafts, secured and u n se 1,160 13 cured ............. ................................ S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ......................................................................... Other a s s e t s ............................................................. B anking1 hou se, fu rn iture and fix t u r e s ............................................. 3,069 86 Other real e s t a te .................................................... Current, ex p en ses and ta x e s paid 658 70 P rem ium on U. S. and other bonds and se c u r itie s ........................................... C hecks and other cash ite m s ....... 164 28 D ue from national, sta te and pri 8,022 74 v a te banks and b a n k e rs............. T o ta l cash on h a n d .......................... 4,405 62 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 58,156 31 C apital stock paid in ...................... $ 10,000 00 Surplus f u n d ..................................... 3,000 00 U ndivided p r o f it s ............................ 1,088 87 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................................................... 13,59173 D em and certificates ofd e p o sit.. 7,318 97 T im e certificates of d e p o s it........... 23,156 74 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and private banks and bankers ................................. N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal 8 58,156 31 E IG H T H 1 6 6 ANNUAL REPO RT OF T H E Papillion. The B anking House of A. W . Clarke. C harter N o. 324. I. D. C larke.............................................................................................................................................C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 73,296 67 Overdrafts, secured and u n se cured.................................................. 339 11 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 48 20 B o n d s ......................................................................... Other a s s e t s .......................... : ................................ B anking house, furniture and fix t u r e s ................................. 8,650 00 Other real e s t a t e ................................................... Current expenses and ta x e s paid 1,759 64 P rem iu m on U . s . and other bonds and s e c u r it ie s ....................................... C hecks and other cash it e m s __ 2,889 79 D ue from national, sta te and p ri v a te banks and b a n k e rs........... 30,311 96 T otal cash on h a n d .......................... 5.480 43 C apital stock paid i n ...................... $ 25,000 00 Surplus fu n d .................................... 800 00 U ndivided p r o fits ............................ 2,911 03 D ividends u n p a id .............................. Individ ual d ep o sits su b ject to check ................................................ 52,463 19 D em and certificates of d e p o s it.. 8,751 29 T im e certificates of d e p o s it....... 32,850 29 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e rs................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o ta l.............................................. 8122,775 80 T o ta l............................................... $122,775 80 Pawnee City. The Pawnee County Bank. C harter No. 325. R euben L ip p __ Cashier Fred P a r li — P r esid en t H. K . P a r li. .. . A ssista n t Cashier ST A T E M E N T , D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 40,973 46 O verdrafts, secured and u n se cured .................................................. 780 47 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 100 00 B o n d s........................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fixtures ........................................... 5,000 00 Other real e s t a t e .............................. 159 40 Current ex p en ses and ta x es paid 997 60 P rem iu m on U . S. and other bonds and s e c u r it ie s ........................ C hecks and other cash ite m s ... . D ue from national, sta te and p ri v a te banks and bankers ........... 10.121 50 T o ta l cash on h a n d .......................... 6,787 00 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 64,919 43 C apital stock paid i n ...................... $ 15,000 00 Surplus f u n d ..................................... 365 09 U ndivided p r o f it s ............................ 4,984 32 D ividends u n p a id ............. ............................ Individ ual d ep osits subject to 27.760 16 c h e c k ................................................ D em and certificates of d e p o sit.. 16,809 86 T im e certificates of d e p o s it................................ Certified check s ............................................... C ashier’s check s o u tsta n d in g ............................ D C to UlD LnlCational X V LK JilcX L b UO DUue aiU n JA k sd ................................. ........................................... D ue to sta te and p rivate banks and ban kers ............................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ...................................... T otal $ 64,919 43 SECRETA RY Pender. OF TH E STA TE B A N K IN G BOARD. 1 6 7 The State B ank of Pender. C harter No. 327. Jno. A . W a c h t e r .....................P resid en t I Jno. F o r r e st......................... Cashier N .H . N y e ....................................V ice-P resid en t | M. S . P illin g ........................ A ssista n t C ashier ST A T EM E N T, D ECEM BER 2, 1899. L IA B IL IT IE S . B ESO U B C E S. L oans and d isc o u n ts...................... 8 50,571 89 O verdrafts, secured and u n se cu red .................................................. 31 13 S to ck s, secu rities, judgm ents, claim s, e t c ........................ B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fix tu res ........................................... 3,330 00 Other real e s t a t e ..... .............................................. Current ex p en ses and ta x es paid 1,220 71 Prem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s ............................ Due from national, sta te and pri v a te banks and b a n k ers............. 2,134 11 T o ta l cash on h a n d ........................ .. 5,152 21 $ 62,440 05 T otal Peru. Capital sto ck paid i n ...................... $ 10,000 00 Surplus f u n d ..................................... 1,700 00 U ndivided p r o f it s ............................ 3,970 93 D ividends u n p a id ..... .................................. Individ ual d ep osits subject to c h e c k ................................................. 24,774 78 D em and certificates of d e p o sit.. 3,564 82 T im e certificates of d e p o s it........ 14,429 52 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to na tio n al b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r ed isco u n ted ............................ B ills p a y a b le ..................................... 4,000 00 $ 62,440 05 T otal The Citizens State B ank. Charter No. 328. Jacob Good ................................P resid en t I E llis E . G o o d .......................Cashier R . T. M cA dam s........................ V ice-P resid en t | O. M. G ood...........................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. BESO U B C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 56,671 52 Overdrafts, secured and u n se cured ................................................ 85 91 S tock s, secu rities, judgm ents, claim s, e t c ........... .............................................. B o n d s........................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and ' fix t u r e s ............................................. 2,939 08 Other real e s t a t e ... ...................... 550 65 Current ex p en ses and ta x es paid 944 11 P rem ium on U. S and other bonds and s e c u r it i e s ......................................... C hecks and oth er cash it e m s ___ 136 28 D ue from national, sta te and p rivate banks and b a n k e r s __ 13,003 51 T otal cash on h a n d ......................... 4,123 10 8 78,454 16 T otal C apital sto ck paid in ........... ........ $ 12,000 00 Surplus f u n d ..................................... 5,000 00 U ndivided p r o f it s ............................ 1,887 29 D ividend s u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................. 42,565 89 D em and certificates of d e p o s it ........................ T im e certificates of d e p o s it ........ 17,000 98 Certified c h e c k s ...................... . C ashier’s checks o u tsta n d in g __ D ue to national banks ................. D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills rediscounted — B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 8 78,454 16 i68 E IG H T H Petersburg. ANNUAL R EPO RT OF TH E The Bank of Petersburg. Charter No. 329. J. A . R eich en b a ch ..............P resid en t I P . J o u v e n a t ..........................C ashier S . A . R e ic h e n b a c h ................ V ic e-P r e sid en t | C. W . D im ic k ........................A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts............. . .. $ 43,383 61 O verdrafts, secured and u n se cured ................................................. 299 14 S to ck s, sec u r ities, judgm ents, claim s, e t c ....................................... B o n d s............................................. ... O ther a s s e t s ....................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 3,588 68 Other real e sta te ................................................... Current ex p en ses and ta x e s paid 919 47 P rem iu m on U S. and other bonds and s e c u r it i e s ......................................... Checks and oth er cash ite m s . 989 98 D ue from national, sta te and private banks and bankers . . . . 16,461 92 T o ta l cash on h a n d ...................... 3,097 17 C apital sto ck paid in ...................... $ 24,000 00 Surplus f u n d ..................................... 1,000 00 U ndivided p r o f it s ............................ 3,061 15 D ividends u n p a id ............................ Individ ual dep osits subject to c h e c k .............................................. .. 32,009 64 D em and certificates of deposit .. 646 83 T im e certificates of d e p o s it......... 8,025 35 Certified c h e c k s ................................ C ashier’s check s ou tsta n d in g __ D ue to n ational b a n k s.................... D ue to sta te and p rivate banks and b a n k e r s .................................... N o tes and b ills red iscou n ted ........ B ills payable ..................................... T o ta l............................................... $ 68,742 97 T o ta l............................................... $ 68,742 97 Phillips. The B ank of Phillips. C harter N o. 330. J. W . W ehn, J r .. .P resid en t J . O. B a k e r ....... C ashier C. H. B u r k e ........ A ss ’t Cashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 19,701 51 O verdrafts, secured and u n se cured ................................................ 3 56 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s................................ ................. Other a sse ts ................................ B ankin g house, fu rn iture and fix t u r e s ............................................. 1,143 01 Other real e s t a t e .............................. 7,953 18 C urrent ex p en ses and ta x e s paid 1,665 33 P rem iu m on U. S. and other bonds and s e c u r it ie s .................. C hecks and oth er cash ite m s ....... D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 28,492 59 T o ta l cash on h a n d ..........................' 2.504 19 T otal $ 61,463 37 Capital sto ck paid i n ...................... SB 15,000 00 Surplus f u n d ........................................................... U ndivided p r o f it s ............................ 10,456 75 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 20,169 00 D em and certificates of dep osit .. 12,938 92 T im e certificates of d e p o sit.......... 2,898 70 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s ................... D ue to sta te and private banks and b a n k e r s ................................. . N o tes and b ills red iscoun ted........ B ills p a y a b le ............. ..................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l.............................................. $ 61,463 37 SECRETA RY Pierce. OF T H E STA TE B A N K IN G BO ARD. 1 6 9 The Pierce State Bank. Charter No. 331. L . A . P oh lm an . .....................V ice-P resid en t | W . A . S p e n c e r ........................................Cashier ST A T EM E N T. D E CEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 67,017 18 O verdrafts, secured and u n se cu r ed ............................... 580 78 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ......................................................................... Other a ssets, I. R. s ta m p s ........... 120 00 B ankin g house, furniture and f ix t u r e s ............................................ 8,200 00 O ther real e sta te .............................. 2,400 00 Current ex p en ses and ta x e s paid 365 05 P rem iu m s on U. s . and other bonds and secu rities ................................. C hecks and other cash item s 630 64 D ue from national, sta te and pri va te banks and bankers ......... 3,264 00 T o ta l cash on h a n d ......................... 2,149 59 Capital stock paid in ...................... $ 35,000 00 Surplus f u n d ..................................... 850 00 U ndivided profits .......................... 1,499 77 D ividends unpaid ................................................ Individ ual dep osits subject to c h e c k ................................................ 2 ,404 28 Demand certificates of deposit .. 5,727 59 T im e certificates of d e p o s it ....... 16,843 07 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s .................. 402 53 Due to sta te and private banks and bankers ........................................................ N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... 3, Oj 00 T o ta l.............................................. Pierce. $ 84,727 24 T otal ....................................... $ 84,727 24 The Pierce County Bank. Charter No. 489. H . S . B e c k .................................P resid en t I W oods C o n e s ............ ........Cashier B enj. L in d sa y ........................... V ice-P resid en t | M. O. S c h o f ie ld ................. A ssista n t C ashier ST A T EM E N T, D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . Capital stock paid in ...................... 8 25,000 00 L oans and d isc o u n ts...................... 8 98,660 76 Surplus fund ................................ 550 00 Overdrafts, secured and u n se 5,034 29 cured ...................................................... 34! 51U ndivided p r o fit s ............................ D ividends u n p a id .................................................. Stock s, secu rities judgm ents, Individual deposits subject to claim s, e t c ............................................................. c h e c k ....... 46,510 89 B o n d s........................................................................... D em and certificates of dep osit . 3,380 63 Other a s s e t s ............................................................. T im e certificates of d e p o s it ....... 36,35u 83 B anking house, fu rn iture and .............................................. fixtures ............................................... 8,30000 Certified checks C ashier’s checks ou tsta n d in g ............................ O ther real e s t a t e .................................................... D ue to national banks ................................ Current exp en ses and ta x es paid 1,227 43 D ue to sta te and private banks P rem iu m on U. S. and other and b a n k e r s ......................................................... bonds and s e c u r it ie s ................................... . N o tes and b ills r e d isc o u n te d __ 5,000 00 C hecks and other cash it e m s ... . 7,637 03 B ills p a y a b le ..................................... 5,000 00 D ue from national, sta te and pri v a te banks and bankers ................ 6.48503 T o ta l cash on h a n d ............................... 4,17288 T o ta l.................................................... $126,826 64 T o ta l.............................................. 8126,826 64 13 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E IG H T H 1 7 0 Pilger. ANNUAL REPO RT OF TH E The Pilger State Bank. C harter No. 832. C. G . O hm an....... P resid en t A. C. K in g .. ..V ic e -P r e s . B . H . Schaberg. ST A T E M E N T , D E CE M B ER 2, 1899. RESOURCES. L oans and d is c o u n ts ...................... 8 44,295,23 O verdrafts, secured and u n se cured ................................................ 36 04 S to ck s, secu rities, judgm ents, claim s, e t c ..................................... B o n d s ............................................. Other a ssets, revenue stam ps ... 11 00 B ankin g house, fu rn iture and fix tu res ......................................... 2,030 54 Other real e s t a t e .............................. Current ex p en ses and ta x e s paid 619 59 P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks a'nd other cash i t e m s __ D ue from national, sta te and priv a te banks and b a n k e rs............. 2,337 86 T otal cash on h a n d .......................... 3,575 29 T o ta l.............................................. 8 52,925 55 Plain view. LIABILITIES. C apital sto ck paid in .................... 8 15.000 00 Surplus f u n d ..................................... 3,000 00 U ndivided p r o f it s .......................... 1,798 73 D ividends u n p a id ............................ Individual d ep osits subject to 25,075 96 Dem and certificates of d e p o s it.. 8W 0 00 T im e certificates of d e p o s it ....... 7,151 42 Certified check s ............................ C ashier’s check s ou tsta n d in g __ D ue to n ational b a n k s ....... .. 19 44 D ue to sta te and p rivate banks N o tes and b ills rediscounted ..... B ills n a v a b le .................... .. T o t a l .......................... 8 52.925 55 The Farm ers State Bank. C harter No. 333. C has. S . B rid g e........................ P resid en t I F . C. H o lb ert.......................C ashier P . D . C o rell................................V ice-P resid en t | E . C. H am m ond.................A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts........................ 8 94,741 52 Overdrafts, secured and u n se cu red .................................................. 908 97 S tock s, secu rities, judgm ents, claim s, e t c ....................................... Bonds ....................................... .......... Other a sse ts, I. R. s t a m p s ........ 131 00 B ankin g house, furniture and fixtures ............................................. 6,595 19 Other real e s t a te .............................. Current exp en ses and ta x e s paid i jÓÌ9 35 P rem iu m on U. S. and other bonds and s e c u r it ie s ................... C hecks and other cash ite m s ....... D ue from national, sta te and p ri va te banks and b a n k ers............. 10,570 35 T o ta l cash on h a n d .......................... 2,782 65 T otal 8116,749 03 Capital stock paid in ..... ................ 8 25.000 00 Surplus fu n d ..................................... 1,200 00 U ndivided p r o fits............................ 3,875 26 D ividends unpaid ............................ Individual dep osits subject to check ................................................ 49,202 24 Demand certificates of d e p o s it... 8.214 41 T im e certificates of d e p o sit. . . . . . 29,257 12 Certified c h e c k s ............................... C ashier’s checks o u tsta n d in g .... D ue to n ational b a n k s .................... D ue to sta te and private banks and b a n k e r s................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 8116,749 03 SEC R ETA R Y Plainview. OF THE STA T E B A N K IN G BOARD, 1 7 1 The Bank of Plainview. Charter No. 467. W L M o te...............................P resid en t 1 W . L . M ote...........................Cashier Z. D. M ote.................................. V ice-P resid en t | Z. H . D eL a n a ....................A ssista n t C ashier ST A T EM E N T, D E CEM BER 2, 1899 L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 21,250 84 Overdrafts, secured and u n se cured ................................................ 43 15 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ........................................................................ Other a s s e t s ....................................... 73 65 B anking house, fu rn iture and fix tu r e s .................................................. 500 00 O ther real e s t a te .................. 1,810 67 Current exp en ses and ta x es paid 1,118 75 P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... Checks and other cash ite m s — 65 46 D ue from national, sta te and pri va te hanks and b a n k e r s ........... 2,458 25 T o ta l cash on h a n d ........................ 6.190 72 T o t a l ............................................. 8 33,541 49 Platte Center. Capital stock paid i n ...................... $ 10,000 00 Surplus f u n d ................................'. ....................... U ndivided p r o fit s ........... ................ 1,860 78 D ividends unpaid..................................................... Individual dep osits subject to c h e c k ...................................... 11,56220 D em and certificates of d e p o s it ........................ T im e certificates of d e p o s it ....... 10,118 51 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ................... — D ue to national b a n k s ..... .............................. D ue to sta te and p rivate banks and b a n k e rs.......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills payable .......................................................... T o ta l.............................................. 8 33,541 49 The P latte County Bank. C harter No. 515. R . S . D ic k in s o n .. P resid en t Max B ru ck ner.. .V ice -P re s. C. M. G ruenth er.. .C ashier ST A T E M E N T , D E CEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 31,693 54 O verdrafts, secured and u n se c u red .................................................. 6 90 Stock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a sse ts ................................... B ankin g house, furniture and fix tu res .................................................. 950 00 Other real e s t a t e ................... 1 . . . _................. ....... Current exp en ses and ta x e s paid 1,661 94 P rem ium on U . S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash item s — 18 59 D ue from national, sta te and p riv a te banks and bankers — 3,953 67 T o ta l cash on hand ............. ........... 3,578 30 $ 41,862 94 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends un p aid .............................. Individ ual dep osits subject to c h e c k ......................................... . • D em and certificates of d e p o sit.. T im e certificates of d e p o s it ....... Certified c h e c k s ............................ C ashier’s check s outstan ding — D ue to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills rediscounted — B ills p a y a b le ...................................... T otal 10,000 00 '2,047’9 i 15,777 23 ÌL037 80 $ 41,862 94 E IG H T H 1 7 2 Plattsmouth. ANNUAL REPO RT OF TH E The B ank of Cass County. Charter No. 335. C h as. C . P a r m e le ................... P resid en t I J . M P a t te r s o n ..................Cashier hi. S . R a m sey ........................... V ice-P resid en t | T. M. P a tte r s o n .................. A ssista n t C ashier ST A T EM E N T, D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ................... $185,752 56 O verdrafts, secured and u n se cured ................................................. 4,866 81 S tock s, secu rities, judgm ents, claim s, e t c ............... .................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fixtures ............................................. 12,500 00 Other real e s t a t e .............................. 8.290 61 Current exp en ses and ta x es paid 5,206 43 P rem ium on U. s . and other bonds and s e c u r itie s .................... C hecks and other cash it e m s ....... 2,563 23 D ue from national, sta te and pri va te banks and b an k ers............. 33.079 53 T otal cash on h a n d .......................... 12.043 65 T otal $264,302 82 C apital stock paid i n ...................... $ 50,000 00 Surplus fu n d ....................................... 6,600 00 U ndivided p r o fits........... .................. 10,495 75 D ividends u n p aid .................................................... Individ ual d ep osits subject to 93.824 90 c h e c k .................................................. Demand certificates of d e p o s it ... 11.420 11 T im e certificates of d e p o s it......... 91,962 06 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ Due to n ational b a n k s.................... D ue to sta te and private banks and b a n k ers................................... C ollection a c c o u n t.......................... B ills p a y a b le ................................... T otal $264,302 82 Plattsmouth. The Parm ele Savings Bank. Charter N o. 504. C has. C. P a rm ele ............................ ........................................................................................................ Owner ST A T EM E N T, D E CE M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and discou n ts .................... $ 49,755 28 O verdrafts, secured and u n se cured ................................................................ Stock s, secu rities, judgm ents, claim s, e t c ........................................... B onds ...........................................’ ” .... . . Other assets, revenue s ta m p s __ 6177 B ankin g house, furniture and fix tu res ...................................................................... Other real e s t a t e ............................ 4 .i 62 5 0 Current exp en ses and ta x es paid 1,907 04 Prem iu m on U S. and o ih er bonds and secu rities ...................................... C hecks and oth er cash it e m s ........... ! .............. D ue from national, sta te and private banks and b a n k e rs__ 6,238 03 T o ta l cash on h a n d .......................... 1,515 3 9 C apital stock paid in ...................... $ 12,000 00 Surplus f u n d ............................................................ U ndivided p r o fit s ............................ 1,960 49 D ividends unpaid ................................................. Individ ual d ep osits subject to check ............................................... 26,155 19 Demand certificates of d e p o s its ....................... T im e certificates of d e p o s it......... 23,527 33 Certified check s ............................................... C ashier’s ch eck s o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private banks and bank» r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l............................................... $ 63,643 01 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l....... , . . . . , , . ......... $ 63,643 01 SECRETARY Pleasonton. OF T H E STATE B A N K IN G BOARD, 173 The Pleasonton State Bank. C harter N o. 336. E . W . N o y e s ..............................P resid en t I J o s. G ram m er..................... C ashier F . L . G ram m er........................ V ice-P resid en t | A. H . G ra m m er.................. A ssista n t Cashier ST A T E M E N T , D EC E M B ER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oan s and d isc o u n ts...................... $ 16,549 88 O verdrafts, secured and u n se cu red .................................................. 143 67 Stock s, secu rities, judgm ents. claim s, e tc ....................................... Bonds .................................................. Other a s s e t s ....................................... Banking house, fu rn iture and 1,200 00 fixtures .......................................... Other real e s t a t e .................................................... Current exp en ses and ta x e s paid. 278 3C P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... Checks and other cash ite m s __ 44 70 D ue from national, sta te and pri v a te banks and b a n k e rs............. 5.065 47 T otal cash on h a n d .......................... 3.607 44 Capital sto ck paid i n ...................... 8 10,000 00 Surplus fund .................................. 600 00 U ndivided p r o fits... > 712 78 D ividends unpaid .................................................. Individual d ep osits su b ject to check. 9.504 63 Dem and certificates of dep osit .. 1,942 05 T im e certificates of dep osit — 3,130 00 Certified c h e c k s...... ............................................. Cashier's check s o u t s ta n d in g .......................... Due to national b a n k s ........................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ..................................... 1,000 00 T otal ............................................ 8 26,889 46 T o ta l ............................................. 8 26,889 46 Plymouth. The B ank of Plym outh. Charter No. 337. J. H . S te in m e y e r __ P resid en t C. W. H a r v e y ... C ashier C. C. H arvey — A s s ’t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L oans and d is c o u n ts .................... 8 30,519 37 Overdrafts, secured and u n se c u red .................................................. 198 56 S tock s, secu rities, judgm ents, claim s, e t c ............................................................ B o n d s........................................................................... Other assets, revenue stam ps . .. 24 00 B ankin g house, fu rn iture and f ix t u r e s ............................................. 1,500 00 Other real e s t a te ....... ........................................... Current exp en ses and ta x es paid ................. P rem iu m on U. S. and other bonds and secu rities ......................................... C hecks and other cash ite m s — 1629 D ue from national, sta te and pri v a te banks and b a n k ers............. 9,868 11 T o ta l cash on h a n d .......................... 1.317 60 T otal ............................................. 8 43,443 93 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital sto ck paid i n ...................... $ 7,500 00 Surplus fu n d ........................................... 2,50000 U ndivided p r o fits.............................. 1,950 50 D ividends u n p a id ........................ ................. — Individual dep osits subject to check ............................................. 23.620 38 D em and certificates ofd e p o sit.. 4.873 05 T im e certificates of d e p o s it.......... 3,000 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s........................................... D ue to sta te and private banks and b a n k ers................................... N o tes and b ills rediscounted — B ills p a y a b le ..................................... T o t a l........................ '•.................... 8 43,443 93 i 74 E IG H T H Ponca. ANNUAL REPORT OF TH E The B ank of Dixon County. C harter No. 338. E . E . H a lste a d ................................................................................ ........................................................... Owner ST A T E M E N T , D ECEM BER 2, 1809. RESO U R C E S. L IA B IL IT IE S L oans'and d isc o u n ts...................... 8 91,296 14 Overdrafts, secured and u n se cu red .................................................. 45 56 S tock s, ' secu rities, judgm ents, claim s etc ..................................... 7,200 00 B o n d s . ...................................................................... Other a s s e t s .............................................................. B ankin g house, fu rn iture and fix t u r e s ..... ............... 5.332 35 Other real e s t a te .............................. 11,803 64 Current exp en ses and ta x e s paid ........ P rem iu m on U. S. and other bonds and secu rities .............................. C hecks and other cash i t e m s ................... Due from national, sta te and p ri va te banks and b a n k ers............. 20,275 01 T o ta l cash on h a n d .......................... 6,598 56 Capital stock paid in ...................... $ 50.000 00 Surplus fu n d .............................................................. U ndivided p r o fits.................................................... D ividends u n p aid .................................................... Individ ual dep osits subject to c h e c k ................................. ............... 43.906 84 Dem and certificates of d e p o s it... 10,429 20 T im e certificates of d e p o s it......... 38,215 22 Certified c h e c k s ...................................................... C ashier’s checks, o u tsta n d in g ............................ Due to national b a n k s........................................... Due to sta te and private banks ................. and b a n k e rs................................... N o tes and bills red iscou n ted .............................. B ills p a y a b le ............................................................ T otal ............................................. $142,551 26 T o t a l............................................... $142,551 26 Ponca. The Security B ank of Ponca. C harter N o. 339. W m . A n g e .................................. P r e sid e n t I G. L . W o o d .......................... Cashier J. M. O’C o n n o r........................ V ic e-P r e sid en t i M. I. M ellon .........................A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $117,860 29 O verdrafts, secured and u n se cu red .................................................. 3,262 98 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,832,08 B onds ......................................................................... O ther a ssets, revenue stam ps ... 217 13 B anking house, fu rn iture and f ix t u r e s ............................................. 8,500 00 Other real e s t a t e ............................ 406 92 Current ex p en ses and ta x e s paid 3.899 70 P rem iu m on U . S. and other bonds and s e c u r i t i e s ......................................... C hecks ond oth er cash ite m s. . . 79 41 D ue from national, sta te and pri v a te banks and b a n k ers............. 20,767 40 T otal cash on h a n d .......................... 6,068 80 T o ta l.................... •........................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $162,894 71 C apital stock paid in ...................... $ 40.000 00 Surplus fund ................................... 6.005 00 U ndivided p r o fits............................. 7,641 39 D ividends u n p a id .................................................... Individ ual dep osits subject to c h e ck ................ 48.711 94 D em and certificates of d e p o s it ... 10,211 07 T im e certificates of d e p o sit......... 50,245 51 Certified c h e c k s ...................... ............................ C ashier’s check s o u t s t a n d in g .......................... D ue to national banks ................................... D ue to sta te and private banks and b a n k e rs..................................... 79 80 N o tes and b ills red iscou n ted ............................ B ills p a y a b le ................................... .. ................. T o ta l ................................................. $162,894 71 SECRETARY Prague. OF T H E STA TE B A N K IN G BOARD 175 T he Farm ers and M erchants Bank. C harter No. 340. F . J. K irehm an . .P resid en t W. C. K lrchm an. C ashier A lbert S afran ek .. A ss ’t C ashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U R C ES. L oans and d is c o u n ts...................... 8 40,141 72 O verdrafts, secured and u n se cu red ................................................ 313 20 S tock s, secu rities, judgm ents, claim s, etc .............................. .......................... B o n d s.......................................................................... Other a s s e ts ........... ................................................. B anking house, furniture and f ix t u r e s .......................... .............. ... 700 00 Other real e s t a te .................................................... Current exp en ses and ta x es paid 3,387 00 P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and other cash ite m s ............................. Due from national, sta te and p ri v a te banks and b a n k e r s ...: — 16,892 35 T ota l cash on h a n d .......................... 3,868 85 8 65,303 12 T otal Ragan. Capital stock paid in ...................... $ 7,200 00 Surplus fu n d ....................................... 36o 00 3,556 75 U ndivided p r o fits................... D ividends u n p aid .................................................... Individual dep osits subject to check .................. 12,148 42 D em and certificates of d e p o s it... 7,800 52 34,232 43 T im e certificates of d e p o s it......... ............. Certified c h e c k s ... Cashier’s check s outstan ding ... D ue to national b a n k s.................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... 8 65,303 12 T otal . The Bank of Bagan. Charter No. 341. A lbert Cross, A lexander Johnston Owners ST A T EM E N T, DECEM BER 2, 1899. L I A B IL I T I E S . RESO U RCES. L oans and d isc o u n ts...................... $ 39,851 16 O verdrafts, secured and u n se cured ................................................ 1,893 95 Grain a cco u n t................................... 6,500 00 B o n d s........................................................................... Other a s s e t s ............................................................. B anking house, furniture and fix tu r e s.................... .............. ... . . 1.579 29 Other real e s t a te .............................. 1,583 53 Current ex p en ses and ta x es paid 1,143 54 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s ............................ D ue from national, sta te and pri va te banks and b a n k e r s ........... 7.507 34 T ota l cash on h a n d .......................... 3,265 13 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 63,323 94 Capital stock paid i n ...................... Surplus fund ................................ . U ndivided p r o fits......... ............. D ividends u n p a id ............................ Individ ual dep osits subject to check .................................. Demand certificates of d e p o s it ... T im e certificates of d e p o s it......... Certified c h e c k s ............. ......... C ashier’s checks o u tsta n d in g ___ D ue to national b a n k s ............... D ue to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ...................... .............. T otal 9,000 00 10,199 ¿6 11,774 26 6,518 12 23,831 90 2,ÓÓÓ ÓÓ 8 63,323 94 E IG H T H 1 7 6 Randolph. ANNUAL REPORT OF THE The R andolph State Bank. Charter No. 342. Ja m es F . T o y .......................................P resid en t | F G. H offm an.......................................... Cashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $101,476 94 Overdrafts, secured and un se cured ................................................. 2,086 01 S to ck s, secu rities, judgm ents, claim s, e t c .............................................. ............... S ta tio n ery a cco u n t.......................... 253 36 O ther a s s e t s ........................................ 1,459 74 B ankin g house, furniture and fix tu r e s............................................. 4,092 95 Other real e s t a t e .............................. 17,809 73 Current exp en ses and ta x e s paid 1,814 69 P rem ium on U. S. and other bonds and secu rities ....................................... R evenue sta m p s ................................ 96 91 D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 5,207 12 T o ta l cash on h a n d .......................... 5.8H 71 T o t a l ............................................. $140,192 16 Randolph. Capital sto c k paid in ...................... $ 50,000 00 Surplus f u n d .......................................... 5,00010 U ndivided p ro fits............................ 14,415 88 D ividends unpaid .......................... 3,.84 00 Individ ual dep osits subject to c h e c k .... 29,125 63 D em and certificates of d e p o sit.. 1,176 65 T im e certificaies of d e p o s it....... 29,080 40 Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s ........................................ 8,20960 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $140,192 16 The Security State Bank. Charter N o. 343. P a u l B u o l...................................P resid en t W .P . H ill.................................. V ice-P resid en t I C. H. R a n d a ll.................... C ashier | F r e d M , B u o l......................A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2. 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 79,065 96 Overdrafts, secured and u n se cured ................................................. 3,198 11 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s ....................................... 1,071 74 B anking house, furniture and fix tu res ... .................................... 1,603 20 Other real e s t a t e .............................. 5.000 00 Current ex p en ses and ta x e s paid 935 59 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and oth er cash i t e m s ............................ D ue from national, sta te and pri va te banks and bankers ........... 3,511 14 T o ta l cash on h a n d ........... 2.486 09 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 96,871 83 C apital stock paid i n ..... ................ $ 24,910 00 Surplus fu n d .............................. 2,000 00 U ndivided p r o fits..................... 6,043 89 D ividend s u n p a id .................... 42 00 Individ ual d ep osits subject to c h e c k ......................................... 27,573 69 D em and certificates of d e p o sit.. 79373 T im e certificates of d e p o s it... . 21,23814 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s ..................................... . D ue to stdte and p rivate banks 2,194 02 and b a n k e r s ............................ N o tes and b ills red iscou n ted ___ 5,076 36 B ills p a y a b le .............................. 7,000 00 T otal $ 96,871 83 SEC R ETA R Y Ravenna. OF THE STATE B A N K IN G BOARD, 177 The State B ank of Ravenna. Charter No. 344. A . T. Sh ellen barger. .P r esid e n t L ym an Cary. ..V ic e -P r e s. S. N . B e n tle y .. .Cashier ST A T EM E N T, D E CE M B ER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 40,264 70 O verdrafts, secured and u n se cured ................................................ 284 25 Stock s, secu rities, judgm ents, claim s, e t c ....................................... B onds .............................................. .. O ther a s s e ts ,..................................... B ankin g house, fu rn iture and fixtures ......................................... 2,000 00 Other real e sta te ............................................. Current exp en ses and ta x e s paid 1,030 44 P rem ium on U. S. and other bonds and s e c u r it i e s ........................................ C hecks and other cash it e m s ....... 26130 D ue from national, sta te and pri 3.698 41 v a te banks and b a n k e rs............. T o ta l cash on h a n d ......................... 3,076 65 Capital stock paid i n ...................... $ 10,000 00 Surplus fund .................................. 5,000 00 U ndivided profits .......................... 2,u81 94 D ividends u n p a id .................................................. Individ ual d ep osits subject to check ............................................... 27,734 96 Demand certificates of d e p o s it... 1.082 41 T im e certificates of dep osit ....... 2,850 00 Certified c h e c k s .............................. ............. C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s ................... 216 44 Due to sta te and private banks and bankers ........................................................ N otes and b ills red iscou n ted .............................. B ills p a y a b le ....................................... 1,650 00 T o ta l............................................... 8 50,615 75 T otal ............................................. 8 50,615 75 Red Cloud. The State B ank of Red Cloud. C harter No. 345. J . H . A u ld ......... P resid en t W . T . A u ld ...........C ashier M. F in c h ..........A ssista n t C ashier ST A T E M E N T . D E C E M B ER 2. 1899. RESO U R C E S. L oans and d isc o u n ts...................... $ 79,778 73 Overdrafts, secured and u n se cu red ................................................ 1,848 65 S tock s, secu rities, judgm ents, claim s, e t c ........... ............................................... B o n d s........................................................................... Other a s s e ts ............................................................. B ankin g house, fu rn iture and fixtures ............... .................................................. Other real e sta te ................................................ Current exp en ses and ta x es paid 1,313 88 Prem ium on IT. S. and other bonds and se c u r itie s ......... ........... ................. C hecks and oth er cash item s . . 231 59 D ue from national, sta te and p ri v a te banks and b a n k e rs........... 31.07525 T otal cash on h a n d .......................... 6.110 19 T o ta l............................................... 8120,388 29 14 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid in ...................... 8 15,000 00 Surplus fund ..................................... 10.000 00 U ndivided p r o fits................................ 6,16346 D ividends u n p a id .................................................. Individual d ep osits su b ject to check 77,093 52 Demand certificates of d e p o sit.. 10.632 96 T im e certificates of d e p o s it.......... 2,498 35 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and bankers ............................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $120,388 29 E IG H T H 1 7 8 ANNUAL REPORT OF THE Red Cloud. The Peoples Bank of Bed Cloud. Charter No. 346. J . L . M iner__ P resid en t W . A . Sh erw ood___ C ashier C. H . M iner___ A ss’t Cashier ST A T E M E N T , D E CEM BER 2. 1899. R E SO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 61,852 91 O verdrafts, secured and u n se cured ................................................. 1,112 70 W arrants-and s ta m p s .................... 260 50 B o n d s ........................................................................... Other a s s e t s ............................................................. B ankin g house, fu rn iture and fixtures ........................................... 944 36 O ther real e s t a t e ..................................................... Current exp en ses and ta x es paid 1,749 25 Prem iu m on U. S. and other bonds and s e c u r itie s ..... ................................... C hecks and other cash i t e m s __ 87 49 D ue from national, sta te and pri va te banks and b a n k e rs............. 32.734 25 T o ta l cash on h a n d .......................... 5,810 05 Capital sto ck paid i n ...................... $ 15,000 00 Surplus fund ..................................... 10.000 00 U ndivided p r o fits........................ 4,225 90 D ividends unpaid ................................................ Individ ual d ep osits su b ject to c h e c k ........... .................................. 56.906 96 D em and certificates of d e p o sit.. 18,380 15 T im e certificates of d e p o s it....... 38 50 Certified c h e c k s .................................................... C ashier's check s ou tsta n d in g ............................ D ue to n ational b a n k s......................................... D ue to sta te and p rivate banks and b a n k e rs.......................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $104,551 51 T o t a l ............................................. $104,551 51 Republican City. The Bank of R epublican City. C harter No. 347. J . S . G iffo rd ............... ................................................................................................................................ Owner ST A T EM E N T, D E CE M B ER 2, 1899. R E SO U RCES. L IA B IL IT IE S . L oans and d isco u n ts...................... $ 5,442 19 O verdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c ....................................... ................. B onds ......................................................................... O ther a s s e t s ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 500 00 Other real e s t a t e .............................. 1,100 00 Current exp en ses and ta x es paid P rem iu m on U. S. and oth er bonds and s e c u r it i e s ................... C hecks and other cash item s ... D ue from national, sta te and p ri va te banks and b a n k ers............. 7,227 08 T o ta l cash on h a n d .......................... 1,378 85 C apital stock paid i n ...................... $ 5,000 00 Surplus f u n d ..................................... 422 50 U ndivided p r o fits ... ........................................... D ividends u n p a id .................................................. Individual deposits subject to c h e c k ................................................ 9,925 62 Dem and certificates of d e p o s it ........................ T im e certificates of d e p o s it......... 300 00 Certified c h e c k s ...................................................... C ashier’s checks ou tstan d in g............................ D ue to n ational b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l. ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ... $ 15,648 12 T otal $ 15,648 12 SEC RETA RY Reynolds. OF T H E STA TE B A N K IN G BOARD, 179 The B ank of Reynolds. C harter No. 348. Josep h S a u n d ers........................................................................................................................................ Owner ST A T E M E N T , D ECEM BER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d is c o u n ts ...................... $ 13,822 98 Overdrafts, secured and u n se c u r ed .................................................. 8 71 S tock s, secu rities, judgm ents, cl iim s, e t c ....................................... 619 91 B onds ......................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fixtures ......... 2,160 00 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 586 61 P rem iu m on D. and other bonds and s e c u r it i e s ......................................... C hecks and other cash it e m s ......... 120 78 Due from motional, sta te and pri v a te banks and b a n k ers............. 16.61921 T otal cash on h a n d .......................... 961 63 T o ta l............................................... $ 34,929 83 Rising City. Capital stock paid i n ...................... $ 6,500 00 Surplus fund .......................................................... 1,86368 U ndivided p ro fits................................ jdividends un p aid .................................................... Individ ual dep osits subject to ch' c k ................................................ 18.967 43 Dem and certificates of d e p o s it... 6,528 72 Tim e certificates of d e p o s i t . .. . .. 1,070 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l.............................................. $ 34,929 83 The Rising City Bank. Charter No. 349. S . A . R eich en b a ch ..............................P resid en t | J . A . R e ic h e n b a c h ................................ C ashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and discounts ...................... $ 67,581 13 o v erd ra fts, secured and u n se cured ..... 296 87 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds ........................................................................ Other a ssets, revenue sta m p s — 199 00 B ankin g house, fu rn iture and fixtures ........................................... 4,000 00 Other real esta te ............................ 3,903 88 Current exp en ses and ta x es paid ................. P rem iu m on U. S. and other bonds and secu rities . ................................. C hecks and other cash item s ... 18 88 D ue from national, sta te and p ri va te banks and b a n k ers............. 6 969 19 3.6 <7 36 T o ta l cash on h a n d .......................... $ 86,626 31 T otal, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... $ 20,000 00 Surplus fund .............................. 4,(00 00 U ndivided p r o f it s ............................ 1,699 65 D ividends u n p a id .................................................. Individual dep osits subject to check ............................................... 28,665 64 D em and certificates of deposit . 24.841 6? T im e certifica tes of d e p o s it......... 1,419 35 Certified c h e c k s ...................... ............................ C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............... ..................... 6,000 00 T otal $ 86,626 31 i8o E IG H T H Riverton. ANNUAL REPO R T OF TH E The Riverton State Bank. C harter No. 546. J . B . McGrew P resid en t | N . R . Morrow C ashier ST A T EM E N T, D ECEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 10,834 80 Overdrafts, secured and u n se cu red .................................................. 30 97 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... Other a ssets,in tern a l rev. sta m p s 69 CO B ankin g hou se, fu rn iture and fixtures ................................................................... Other real e s t a t e ...................................................... Current ex p en ses and ta x es paid 2 88 P rem iu m on U. S. and other bonds and s e c u r it ie s ..................................... C hecks and other cash i t e m s __ 96 75 D ue from national, sta te and p r i 9,667 55 v a te banks and b a n k e rs............. T o ta l cash on h a n d .......................... 1.87183 T o ta l............................................. Rogers. $ 22,573 78 C apital sto ck paid i n .................... $ 5,000 00 Surplus fu n d ............................................................ 91 11 U ndivided p r o fits............................ D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 16,902 67 Dem and certificates of d e p o sit.. 280 00 T im e certificates of d e p o s it........... 300 00 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s ......................................... D ue to sta te and private ban k s and bankers . .................................. N o tes and b ills r ed isc o u n te d ... . B ills p a y a b le ..................................... T o ta l.............................................. $ 22,573 78 The B ank of Rogers. C harter No. 532. E. F . F o ld s Owner ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ....................... $ 20,257 88 Overdrafts, secured and u n se cured.................................................. 14 42 S tock s, secu rities, judgm ents, claim s, e t c ................................ ....... B o n d s.................................................... Other a s s e t s ....................................... B anking house, furniture and fix tu res ........................................... 1,000 00 O ther real e s t a t e .............................. Current ex p en ses and ta x e s paid P rem iu m on U. S . and other bonds and s e c u r it ie s ................... 48 71 C hecks and oth er cash i t e m s __ D ue from national, sta te and 4,059 60 private banks and b a n k e r s __ 2.068 83 T o ta l cash on h a n d .......................... C apital sto ck paid in ...................... $ 5,000 00 Surplus fund ................................................. . U ndivided p r o f it s ............................ 464 84 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to c h e c k ................................................. 12,113 91 D em and certificates of dep osit .. 2, 45 (>0 T im e certificates of d e p o sit.......... 7,825 69 C ertified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to n ational b a n k s.................... ................. D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ................................ . T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 27,449 44 T otal $ 27,449 44 SECRETARY Rlllo. OF THE STA T E B A N K IN G BOARD. l8 l The Bank of Rulo. Charter No. 354. G eorge B o w k e r . . P res. B . F. C u n n in g h a m ..V ice-P res. W. J. C u nn ingham ..C ash ier ST A T E M E N T , D EC E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 30,290 64 Overdrafts, secured and u n se cured .................................................. ................. S tock s, secu rities, judgm ents, claim s, e t o ........................................................... B o n d s....................................... ................................... Other a s s e ts ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. \ . . . . ......... O ther real e s t a t e .............................. 367 55 Current ex p en ses and ta x e s paid 536 05 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and p rivate banks and b a n k e r s __ 24,251 60 T o ta l cash on h a n d .......................... 1,578 84 C apital sto ck paid in ....................... 8 20.000 00 4,000 00 Surplus f u n d ..................................... 3,725 06 U ndivided p r o f it s ............................ D ividends u n p a id ............................ Individ ual d ep osits su b ject to 22,899 62 check ................................................ 6,400 00 D em and certificates of deposit .. T im e certificates of deposit ....... Certified c h e c k s ................................ C a sh ie i’s check s outstan ding ... Due to n ational b a n k s ................... D ue to sta te and private banks and bankers .................................. N o tes and b ills red isco u n ted ... . B ills p a y a b le..................................... T o ta l............................................... 8 57,024 68 Rushville. $ 57,024 68 T otal The Citizens Bank. C harter N o. 355. L ogan C. M u sser................................................................................................................B u sin ess Manager ST A T EM E N T, D E C E M B ER 2, 1809. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8 30,378 28 Overdrafts, secured and u n se c u red .................................................. 121 50 S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ......................................................................... Internal revenue s ta m p s............. 108 83 F u rn itu re and fix tu r e s ................. 866 44 Other real e s t a te .............................. 4,000 00 Current ex p en ses and ta x e s paid 3,571 28 P rem iu m on U. S. and other bonds and se c u r itie s .......................................... C hecks and other cash ite m s .............................. D ue from national, sta te and pri v a te banks and b a n k ers............. 20,372 15 T o ta l cash on h a n d .......................... 8,23130 C apital sto ck paid in ...................... 8 20,000 00 Surplus f u n d ..................................... 2,620 00 U ndivided p r o f it s ............................ 6,646 41 D ividends u n p a id .................................................. Individual d ep osits su b ject to c h e c k ................................................. 37,619 10 D em and certificates of d e p o s it.. 75 00 T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e rs................................... 629 27 N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T o ta l...................... ! ...................... 8 67,589 78 T o ta l............................................... $ 67,589 78 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 2 E IG H T H Rushville. ANNUAL REPO RT OF T H E The Exchange Bank. C harter No. 356. J . G. A rm stro n g................................. P resid en t | Geo. B . J a c k .............................V ice-P resid en t ST A T E M E N T . D E C E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 8,504 04 Overdrafts, secured and u n se cu red .................................................. 114 00 Stock s, secu rities, judgm ents, claim s, etc ..................................... 150 0 ) Bonds ................................................................... Other a s s e t s ............................................................. B ankin g house, furniture and fix tu res ......................................... 4,300 00 Other real e s t a t e .................................................. Current exp eu ses and ta x es paid 2,368 40 P rem iu m on U . -. and oth er bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s ............................ D ue from national, sta te and pri va te banks and b a n k ers........... 3,6(9 '5 T o ta l cash on h a n d .......................... 3,186 86 C apital sto ck paid i n ...................... $ 10,000 00 i-urplus fu n d .............................................................. 2,523 58 U ndivided p r o fits............................ I dvidends u n p a id .................................................... Individ ual d ep o sits su b ject to c h e c k ................................................ 8,190 01 D em and certificates of d e p o sit.. 1,030 00 T im e certifh a tes of d e p o s it....... 416 00 cer tifie d check s .................................................. C ashier’s check s o u tsta n d in g ............................ Due to national banks ..................................... D ue to sta te and p rivate banks and b a n k e rs.......................................................... N o tes and b ills r ed isco u n ted .......................... B ills p a y a b le ............................................................ T o ta l.............................................. Rushville. $ 22,159 59 T o ta l.............................................. $ 22,159 59 The Stockmens Bank. C harter No. 505. A. M. M o d isett......................... P re sid e n t j H . C D a le ............................C ashier H . A . D a w so n ........................... V ice-P resid en t | A . I. S te w a r t....................... A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oan s and d isc o u n ts...................... $ 35,856 61 O verdrafts, secured and u n se cu red .................................................. 1,946 57 S tock s, secu rities, judgm ents, claim s, e t c ............................................................ B onds ................................................................... O ther a sse ts, revenue stam ps . .. 169 72 B ankin g house, fu rn iture and fixtures ......................................... 610 99 Other real e s t a t e ............................................. . .. Current exp en ses and tax»s paid 795 04 P rem iu m on U. S. and other bonds and secu rities ......................................... C hecks and other cash ite m s ........................ D ue from national, sta te and pri v a te banks and bankers ........... 7,476 16 T o ta l cash on h a n d .......................... 13,204 78 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 60,01,9 87 C apital sto ck paid i n ...................... 8 15,000 00 Surplus f u n d ..................................... 225 00 U ndivided p r o fit s ............................ 2,797 57 D ividends u n p a id .................... 35 00 Individ ual d ep osits subject to c h e c k ................................................ 38,586 17 Dem and certificates of d e p o sit.. 276 63 T im e certificates of d e p o s it......... 3,139 50 Certified check s ........................ C ashier’s check s o u tsta n d in g ___ D ue to national b a n k s.................... D ue to sta te and p rivate banks ........................ and ban kers N o tes and b ills red iscou n ted ....... B ills p a y a b le ...................................... Total $ 6J.059 87 SE C R ET A R Y Salem. OF TH E ST A T E B A N K IN G BOARD. 183 The B ank of Salem. C harter No. 359. S . P . G is t...................................P resid en t S. H . B a y n e ............................... V ice-P resid en t I S. A. T i s d e l ........................ C ashier | S. R . G i s t ............................ A ssista n t C ashier ST A T EM E N T, DECEM BER 2, 1899. L IA B IL IT IE S . R ESO U RCES. L oans and d isc o u n ts...................... 8 81,707 50 Overdrafts, secured and u n se 1,557 38 cured .................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a s s e t s ........................................ B ankin g house, furniture and 2,986 85 fix tu res ........................................... 12,707 66 Other real e s t a t e .......................... 3,079 22 Current exp en ses and ta x e s paid Prem ium on U . S. and other bonds and s e c u r it ie s ................... C hecks and oth er cash item s — D ue from national, sta te and pri 10,240 08 v a te banks and b a n k ers............. 2,298 01 T o ta l cash on h a n d .......................... 8111.576 70 T otal Sargent. Capital sto ck paid i n ...................... $ 50,000 00 Surplus f u n d ..................................... 10,000 00 U ndivided p r o f it s ............................ 6,657 99 D ividends u n p a id ..... .................................. Individual d ep osits subject to c h e c k ................................................ 24,502 71 Demand certificates of d e p o sit.. 1,416 00 T im e certificates of d e p o s it.............................. Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s ......................................... Due to sta te and private banks and b a n k e r s ................................... 2,000 00 N o tes and b ills red isco u n ted ............................ B ills p a y a b le ..................................... 20,000 00 8114,576 70 T otal The Farm ers and M erchants Bank. C harter No. 360. A . P . C u lley....... P resid en t G. W . P o s t .........V ice-P resid en t Chas. N ic o la i........ C ashier ST A T EM E N T, D E CEM BER 2, 1899. R ESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... 8 11,367 96 O verdrafts, secured and unse. cured ___ — ........................................................ Stock s, secu rities, judgm ents, claim s, e t c .......................................................... B o n d s......................................................................... Other a sse ts ............................................................ B anking house, fu rn iture and fix t u r e s ............................................. 403 74 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 484 69 P rem iu m on U- S and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s ............................ D ue from national, sta te and p rivate banks and b a n k e r s __ 12,294 75 T o ta l cash on h a n d .......................... 1,261 29 8 25,812 43 T otal C apital sto ck paid in ........... .......... 8 5,000 00 Surplus f u n d ..................................... 1,000 00 U ndivided p r o f it s ........... ................ 1,755 79 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 17,187 89 Demand certificates of deposit .. 868 75 T im e certificates of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ D ue to nation al b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 8 25,812 43 E IG H T H 1 8 4 Sargent. ANNUAL REPO RT OF TH E The Custer County Bank. Charter No. 361. Ja s. H agerty .... President I. W. Waynick — Vice-Pres. JennieG . Gardner__ Cashier ST A T EM E N T, D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ............... . .. $ 11,516 93 Overdrafts, secured and u n se cured ................................................. 290 35 S to ck s, sec u r ities, judgm ents, claim s, e t o ............................................................. B o n d s.................................................... 900 00 Other a s s e ts .............................................................. B ankin g house, fu rn iture and fix t u r e s ................................................................. O ther real e sta te ............................ 975 20 Current ex p en ses and ta x e s paid 170 75 P rem iu m on U S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s 3 i 00 D ue from national, sta te and private banks and b a n k e r s __ 3,238 48 T o ta l cash on han d .......................... 3,19138 C apital sto ck paid i n ...................... $ 5.000 00 Surplus fund .................................. l,00n 00 U ndivided p r o f it s ............................ 88147 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ........... ..................................... 8,250 03 Dem and certificates of deposit .. 935 09 Tim e certificates of deposit ........ 4,245 50' Certified c h e c k s .................... ................................. C ashier’s checks o u tsta n d in g ............................ l >ue to n ational b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills payable . ........................................................ T o ta l............................................... $ 20,315 09 T o ta l............................................... $ 20,315 09 Saronville. The Farm ers State Bank. Charter N o. 362. Geo. A. Tenney.......Pres. M. L . Luebben....... Vice-Pres. J . W. Israelson........Cashier ST A T EM E N T, D EC E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ........... ........... 8 28,589 10 C apital sto ck paid i n ...................... 8 5,000 00 O verdrafts, secured and u n se Surplus f u n d ........................................................... cured ..............................................................’.... U ndivided p r o f it s ............................ 1,267 21 S tock s, secu rities, judgm ents, D ividends u n p a id ........................ . ’ claim s, e t c ............................................. 973 94Individ ual dep osits subject to B onds ....................................................................... . c h e c k ................................................ 4,415 32 Other a sse ts ...................................................... D em and certificates of d e p o s it ................... B ankin g house, fu rn iture and T im e certificates of d e p o sit......... 40,073 32 fix t u r e s ................................................... 500 00 O ther real e s t a t e .................................................... C ashier’s check s o u tsta n d in g __ Current ex p en ses and ta x e s paid 485 35 D ue to national b a n k s ................... P rem iu m on U. K. and other D ue to sta te and private banks bonds and s e c u r it ie s ......................................... and b a n k e r s ................................... C hecks and other cash ite m s ....... 652 35 N o tes and b ills red iscoun ted........ D ue from national, sta te and p ri B ills p a y a b le ..................................... va te banks and b a n k e r s ........... 16,977 33 T o ta l cash on h a n d .......................... 2.577 78 T o ta l............. ................................ 8 50,755 85 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l............................ ................. $ 50,755 85 SECRETARY Schuyler OF THE STA T E B A N K IN G BOARD. 185 The B anking House of F. Folda. Charter No. 363. M rs. F . F o ld a ....... P resid en t E . F . F o ld a ........ C ashier M. F . F o ld a ........ A s s ’t Cashier ST A T EM E N T, D EC E M B ER 2. 1899. L IA B IL IT IE S . RESO U R C ES. L oans and d isc o u n ts...................... 5170,809 71 O verdrafts, secured and u n se 111 37 cu red .................................................. S to ck s, secu rities, judgm ents, 1,121 60 claim s, e t c ....................................... B onds .................................................. Other a s s e t s ....................................... B anking house, fu rn itm e and 6,662 20 fixtures ............................................ 12,578 95 O ther real e s t a t e .............................. Current ex p en ses and ta x e s paid P rem iu m s on U. S. and other ............... bonds and secu rities ........... ............... C hecks and other cash item s . . D ue from national, sta te and p ri 20,409 32 v a te banks and b a n k e rs............. 18,328 83 T otal cash on han d .......................... T o ta l............................................... $230,021 98 Schuyler. Capital stock paid in ...................... $ 25,000 00 Surplus f u n d ..................................... 10.000 00 U ndivided profits .......................... 2,660 68 D ividends unpaid ................................................ Individ ual dep osits su b ject to c h e c k .................................................... 80.03306 Demand certificates of deposit .. 4.687 32 T im e certificates of d e p o s it ....... 103,707 72 Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and bankers ................................ 3,933 20 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... ................. T otal ................................... $230,021 98 The Schuyler Savings Bank. » Charter No. 364. C has. S u m m er....... P resid en t H . C. W r ig h t.........V ic e-P r e s. J . E. A rnold.........C ashier ST A T EM E N T, D E CEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 14,216 70 Overdrafts, secured and u n se cured ................................................. S tock s, secu rities judgm ents, claim s, e t c ....................................... B o n d s .................................................... B anning house, fu rn iture and fixtures ......................................... O ther a s se ts ................................... 173 35 Current exp en ses and ta x es paid P rem iu m on U. S. and other bonds and s e c u r it ie s .................. C hecks and other cash it e m s ... . Due from national, sta te and pri 26,700 53 v a te banks and bankers ........... 532 34 Cash ....................................... .............. 243 05 P r o fits .................................................. C apital stock paid in ...................... $ 12,000 00 Surplus fund ................................. 600 00 U ndivided p r o fit s .................................................. D ividends u n p a id .................................................. Individual deposits subject to check ...................... .......................... 29,265 97 D em and certificates of d e p o s it ....................... T im e certificates of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national banks .............................. D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l.............................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 41,865 97 T o ta l............................................. $ 41,865 E IG H T H 1 8 6 Scribner. ANNUAL R EPO R T OF TH E The Scribner State Bank. C harter No. 367. John B a r k e r ............................. P re sid e n t | John M ohr............................ C ashier A . P . H o w e s ............................. V ic e-P r e sid en t | Geo. F o s te r .......................... A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 74,857 19 O verdrafts, secured and u n se cured ............. ................................... 164 25 S to ck s, secu rities, judgm ents, claim s, e t c ............. .............................. 2,55806 B o n d s ........................................................................... O ther a ssets, revenue stam ps . 46 05 B ankin g house, fu rn iture and fix tu r e s ....................................................... 3,97973 Other real e s t a t e .............................. ............... Current ex p en ses and ta x e s paid 1,279 61 P rem ium on U. S. and other bonds and s e c u r itie s ............................ ........... C hecks and other cash i t e m s ............................ D ue from national, sta te and pri v a te banks and b a n k e rs............. 35,351 96 T o ta l cash on han d ............................... 7.29477 T o ta l.............................................. Scribner. SU125,531 62 C apital sto ck paid in _____ ____ 8 25.000 00 Surplus f u n d ..................................... 1,000 00 2.528 25 U ndivided p r o f it s ........................... D ividends u n p a id ............................ ........... Individ ual dep osits subject to c h e c k ................................................. 40,198 17 D em and certificates of d e p o sit........................ T im e certificates of d e p o s it ....... 56,796 45 Certified check s .................................................. C ashier’s ch eck s ou tsta n d in g ............................ Insurance a c c o u n t .................. .. . 8 75 D ue to sta te and p rivate banks and bankers ........................................................ N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o t a l ............................................. 8125,531 62 The M erchants and Farm ers Bank. C harter No. 368. J o h n O . M illig a n .................... P re sid e n t I C. Geo. B o w lu s.................. C ashier C. W. M arquardt................... V ic e-P r e sid en t | H . V a n D e u s e n ...................A ssista n t C ashier ST A T E M E N T , D E C E M B E R 2. 1899. RESO U RCES. L oans and d isc o u n ts........................ 8122,754 66 Overdrafts, secured and u n se cu red .................................................. 1,998 35 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... Other a s s e t s .................................. ................. B ankin g house, fu rn iture and 3,900 00 f ix t u r e s ............................................ Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 5,108 94 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... C hecks and other cash ite m s ....... 125 85 D ue from national, sta te and p ri va te banks and b a n k e rs............. 12,035 46 T o ta l cash on h a n d .......................... 7.840 83 T o ta l ............................................. 8153,764 09 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid in ...................... 8 15.000 00 Surplus fu n d ..................................... 3,000 00 U ndivided p r o fits................................ 8,59190 D ividends unpaid ................................................ . in d iv id u a l dep osits subject to c h e c k ................................................. 41,893 28 Demand certificates of d e p o s it... 10,418 52 T im e certificates of d e p o sit......... 64,860 39 Certified c h e c k s ...................................................... C ashier's check s ou tsta n d in g ............................ D ue to national b a n k s ........................................... D ue to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills r e d isc o u n te d ___ 10.000 00 B ills p a y a b le .............................................. .’ .......... T otal ............................................. 8153,764 09 « SE C R ET A R Y Seward. OF THE STATE B A N K IN G BOARD. 18 7 The State B ank of N ebraska. Charter No. 369. John C attle, S r ........... .............. P resid en t I W alter C a ttle ......................2d V ic e-P r e sid en t John C attle, J r .........................V ice-P resid en t | C. W . B a r k le y ..................... Cashier ST A T EM E N T, D E CEM BER 2, 1899 L IA B IL IT IE S RESO U R C E S. L oans and d isc o u n ts...................... $169,805 11 O verdrafts, secured and u n se cured ..................................... .............................. S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 121 82 B onds ......................................................................... Other a s s e t s .............................................................. Banking house, furniture and fixReal e s t a t e ........................................ 22,816 33 Current exp en ses and ta x es paid P rem iu m on U. s . and other bonds and secu rities ............... Checks and other cash item s — D ue from national, sta te and pri v a te banks and b a n k e r s .............................. C ash on hand and in b a n k s ......... 66.117 09 T o t a l .................................. . $258,860 35 Shelby. Capital sto ck paid i n ...................... $ 60,000 00 Surplus fund and undivided prof its less ex p en ses and ta x es paid 12,291 55 D ividends u n p a id ................................................ Individual dep osits su b ject to c h e c k ................................... ••• 96.599 96 Demand certificates of dep osit .. 44,598 84 T im e certificates of d e p o s it ....... 45,370 00 Certified check s .............................................. C ashier's checks o u tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and b a n k ers............................ .............................. N otes and b ills r ed isc o u n te d ............................ B ills payable .......................................................... T o ta l............................................... $258,860 35 The B ank of Shelby. Charter No. 370. A . P . A n d e r so n ....P r e sid e n t J . S . S m it h .. . .V ice-P res. E. L. A n d e r so n ....C a sh ier ST A T EM E N T, DECEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 39,112 33 Overdrafts, secured and u n se c u red .................................................. 10 00 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 2,608 59 B onds . .. ...................................................... ........... O ther a sse ts .......................................................... B ankin g house, furniture and fix tu r e s .................................................. 2,00') 00 Other real e s t a te .............................. 338 49 Current exp en ses and ta x e s paid 1,667 85 P rem ium on U S. and other bonds and s e c u r it i e s ........................................ C hecks and other cash i t e m s ............................ D ue from national, sta te and p rivate banks and b a n k e r s ___ 5,417 76 T o ta l cash on h a n d ..... .................. 1.034 10 C apital stock paid in ...................... $ 10.000 00 Surplus f u n d ..................................... 1 3,000 1 0 U ndivided p r o f it s ............................ 4,147 99 D ividends un p aid ............................................... Individual dep osits subject to c h e c k ................................................. 12.094 Dem and certificates of d e p o sit.. 6,82j 13,123 T im e certificates of d e p o s it ....... Certified c h e c k s ................................................. C ashier’s checks o u tsta n d in g ....................... D ue to n ational b a n k s .................................... D ue to sta te and private banks and b a n k e r s .................................................... N o tes and b ills r e d is c o u n te d ........................... B ills p a y a b le..................................... 3,000 00 T o t a l ............................................. $ 52,187 12 T o t a l ............................................. $ 52,187 12 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis i88 E IG H T H Shelton. ANNUAL REPO RT OF TH E The Shelton Bank. Charter No. 525. S . H . G r a v e s ....P r e s id e n t L. F. S to c k w e ll....V ic e -P r e s . C. A. R o b in so n ....C a sh ie r ST A T E M E N T , D E C E M B E R 2. 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and discou n ts J ..................... $ 36,627 03 Overdrafts, secured and u n se cured ................................................. 746 13 S to ck s, secu rities, judgm ents, claim s, e t c ............... ..................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 1,000 00 Other real e s t a t e .............................. 1 , 2 5 9 00 Current exp en ses and ta x e s paid 1 248 44 P rem iu m on U . s . and other bonds and s e c u r itie s ........................................... C hecks and other cash ite m s ........ 1,279 68 D ue from national, sta te and pri va te banks and b a n k ers............. 6.616 01 T otal cash on h a n d .......................... 3,407 99 C apital stock paid in ...................... § 10,000 00 Surplus fu n d .............................................................. U ndivided p r o fits........... .................. 2,527 36 D ividends u n p a id .................................................... Individual d ep osits subject to c h e c k ...................................................... 25.91404 Demand certificates of d e p o s it... * 2.638 52 T im e certificates of d e p o s it......... 11,104 36 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g __ D ue to n ational b a n k s.................... D ue to sta te and p rivate banks and b a n k ers................................... N o tes and b ills red iscou n ted ___ B ills p a y a b le ..................................... T o ta l ............................................. 8 52,184 28 Shelton. T o ta l............................................... $ 52,184 28 M eisner’s Bank. C harter No. 372. G eo M e is n e r ........................P r e s id e n t | M. G. L ee ............................Cashier M. j . Rob D i n s ........................V ice-P resid en t I F . D. M o re........................... A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 48,246 46 Overdrafts, secured and u n se cured ................................................. 1,911 05 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other ass< 4?....................................... F u rn iture and fix tu r e s ......... .......... l ,000 00 Other real e s t a t e .............................. 2,132 00 Current ex p en ses and ta x e s paid 4.637 26 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... Checks and oth er cash ite m s ............................ D ue from national, sta te and private banks and b a n k e rs__ 22,959 24 T o ta l cash on h a n d .......................... 3,362 50 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 84,248 51 C apital stock paid in ...................... 8 10,000 00 Surplus f u n d ..................................... 250 00 U ndivided p r o fit s ............................ 7,997 64 D ividends unpaid ................................................. Individ ual d ep osits su b ject to c h e c k ................................................ 42,927 71 D em and certificates of d ep osits. 3,509 65 T im e certificates of d e p o s it......... 19,563 51 Certified ch eck s . ............................................... C ashier’s ch eck s o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o te s and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal 8 84,248 51 SECRETA RY Shickley . OF T H E STA TE B A N K IN G B O A RD , 1 8 9 The State Bank of Shickley. C harter N o. 373. H arry P a t e e __ P resid en t J . H . Sp rin ger___ V ice-P resid en t C. W . P r io e ... Cashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . B ESO U B C E S. L oans and d isc o u n ts...................... 8 69,224 39 O verdrafts, secured and u n se cu red .................................................. 227 00 S tock s, secu rities, judgm ents, 342 28 claim s, e tc ........................... Bonds ......................................................................... O ther a s s e t s ............................................................. Banking house, fu rn iture and fixtures ........................................... 2,600 00 Other real e s t a te .............................. 1,612 76 Current exp en ses and ta x es paid. 1,012 39 P rem ium on U. S. and other bonds and se c u r itie s......................................... Checks and other cash ite m s __ 1S6 00 D ue from national, sta te and pri v a te banks and b a n k e rs............. 5,016 32 T ota l cash on h a n d .......................... 7.125 64 T o ta l ............................................. $ 87,356 78 Shllbert. Capital sto ck paid i n ...................... 8 20,000 00 Surplus fund .............................. 4,000 00 2,6s5 95 U ndivided p r o fits.............................. D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e ck ....... 24.674C7 Dem and certiiicates of dep osit .. 10,066 36 T im e certiiica tes of deposit ____ 25,93040 Certified c h e c k s...................................................... C ashier's check s o u tsta n d in g ............................ Due to national b a n k s........................................... D ue to sta te and p rivate banks and b a n k e r s ................................... ................. N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le .......................................................... T otal ............................................. 8 87,356 78 The Farm ers State Bank. Charter No. 374. J R . C ain.................................. P resid en t I J . M. E v a n s .........................C ashier W arren H u tch in s....................V ice-P resid en t I J . R . Cain, J r ....................... A ssista n t C ashier . ST A T E M E N T . D EC E M B ER 2. 1899. B ESO U BC ES. L oans and discou n ts ................... 8 47,235 44 Overdrafts, secured and u n se c u red ........................................................................ S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.......................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and f ix t u r e s ................................................. 2,50000 Other real e s t a te ...... ............... ................ ............ Current exp en ses and ta x e s paid 856 92 P rem iu m on U. S. and other bonds and secu rities ......................................... C hecks and other cash ite m s __ 259 98 D ue from national, sta te and p ri v a te banks and b a n k ers............. 15,405 18 T otal cash on h a n d .............................. 3.21526 T otal ............................................. 8 69,472 78 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital stock paid i n ...................... 8 12,500 00 Surplus fu n d .............. 700 00 U ndivided p r o fits.............................. 2,298 15 D ividends u n p a id .................................................. Individ ual dep osits subject to check 33.922 90 D em and certificates of d e p o sit.. 3.615 04 T im e certifioat>-s of dep osit ....... 15,655 73 Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to national b a n k s........................................... Due to sta te and private banks and b an kers.................................... 780 96 N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le..... ....................................... .............. T o ta l............................................... 8 69,472 78 I 9 E IG H T H O Sidney. ANNUAL REPO RT OF TH E The American Bank. Charter No. 375. J . J . M cIn to sh __ P r esid en t J. T. M cIntosh___ C ashier G eo. E . T a y lo r ___ Y ic e-P r e s. ST A T E M E N T , DECEM BER 2, 1899. RESO U R C E S. IN A B IL IT IE S D oans and discounts ..................... $ 72,502 96 O verdrafts, secured and u n se cu red ......................................................................... Stock s, secu rities, judgm ents, cla im s e t c .................................. ............................ Bonds .......................................................................... Other a s s e ts .............................................................. B ankin g house, fu rn iture and 1,000 00 f ix t u r e s .................... ........................ Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 2,282 95 P rem iu m on U. S. and other bonds and secu rities ....................................... Checks and other cash i t e m s .................... ....... D ue from national, sta te and pri va te banks and b a n k ers............. 14,604 '9 12.005 11 T otal cash on h a n d .......................... T otal ............................................. $102,395 21 Sidney. C apital stock paid in ....................... $ 25.000 00 Surplus fu n d ....................................... 5 ,1 00 00 6,769 80 U ndivided p ro fits.............................. D ividends u n p a id .................................................... Individ ual d ep osits subject to 49.234 72 c h e c k ......................... Dem and certificates of d e p o s it... 3,640 30 T im e certificates of d e p o sit......... 12,345 95 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s........................................... D ue to sta te and private banks and bankers .................................. 404 44 N o tes and bills red iscou n ted .............................. B ills p a y a b le ............................................................ T otal $102,395 21 The Bank of Nebraska. C harter N o. 316. M. A h r e n s.................................................. Cashier | L eroy M a r tin ..................... A ssista n t Cashier ST A T E M E N T . D E CE M B ER 2. 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 17,403 04 O verdrafts, secured and u n se cured .................................................. 65 87 S ta ck s, secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. Other a s s e t s ...................................... B ankin g house, fu rn iture and f ix t u r e s ............................................. 900 00 Other real e sta te .............................. ................. Current exp en ses and ta x e s paid 1,174 35 P rem ium on U . s . and other bonds and secu rities ......................................... C hecks ond other cash ite m s . . . 467 98 D ue from national, sta te and pri v a te banks and b a n k ers............. 5,408 07 T o ta l cash on h a n d ...... •.................. 5,138 82 Capital stock paid in ...................... $ 10.000 00 Surplus fund .................................. 1000 00 U ndivided p r o fits............................. 2,285 65 D ividends unpaid .................................................. Individ ual dep osits subject to c h e c k .................................................. 13.478 48 Dem and certificates of d e p o s it... 822 00 T im e certificates of d e p o sit......... 2,9i2 U0 Certified c h e e k s ...................................................... C ashier’s check s outstan d in g . .. . , ............. Due to national banks ................................... D ue to sta te and private banks T i................................. ............................................. and bU cltlllV a n k CeLrs........... .'....... .............................. N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T o ta l............................................... $ 30,558 13 T otal ................................................. $ 30,558 13 t https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SECRETA RY OF T H E S T A T E B A N K IN G BOARD. I9 I Silver Creek. The Silver Creek State Bank. Charter No. 377. S o lC . T o w sle e .......................... P resid en t I M. L . R o s s it e r ............. .C ashier N. L . S q u ie r ..........................V ic e-P r e sid en t | Ida M. R o ss ite r ................... A ssista n t Cashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... $ 48,592 12 O verdrafts, secured and u n se c u red .................................................. 271 13 S to ck s, secu rities, judgm ents, claim s, etc ..................................... 275 23 B o n d s........................ '..................... .......................... Other a s s e ts ....................................... 286 61 B ankin g house, furniture and f ix t u r e s ............................................. 2,600 00 Other re tl e s t a t e ........................ / ................. Current exp en ses and ta x e s paid 970 78 P rem ium on U. S. and oth er bonds and secu rities ....................................... C hecks and other cash ite m s ............................. Due from national, sta te and p ri v a te banks and b a n k e rs............. 6,152 52 T o ta l cash on h a n d .......................... 4,289 26 T o ta l............................................... $ 63,436 65 Snyder. Capital stock paid in ...................... $ 10,000 00 Surplus fu n d ....................................... 1,000 00 U ndivided p r o fits .............................. 3,944 52 D ividends u n p a id .................................................... Individ ual dep osits subject to check ................... 24.824 00 Dem and certificates of d e p o s it ... 746 25 20,921 88 T im e certificates of d e p o s it......... Certified check s .................................................... C ashier’s check s o u t s ta n d in g .......................... Due to national b a n k s........................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ..................................... 2,000 00 T o t a l ............................................. $ 63,436 65 The Snyder State Bank. C harter N o. 379. Conrad S c h n eid er ..P re sid e n t W. A. A. H am an n.. V ice-P res. J o h n L o o s c h e n __ Cashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts...................... $ 57,942 13 O verdrafts, secured and u n se 1,357 10 cured ................................................ Stock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... Other a s s e t s ............................................................. B anking house, furniture and fix tu r es............................................. 400 00 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 665 71 Prem ium on IT. S. and other bonds and s e c u r itie s ......................................... Checks and other cash ite m s ............................ D ue from national, sta te and pri v a te banks and b a n k e r s ........... 509 38 T o ta l cash on h a n d .......................... 2,733 78 $ 63,608 10 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital sto ck paid i n ...................... $ 9,000 00 Surplus fund .............................. . 1,400 00 U ndivided p ro fits......... ............. 1,618 19 D ividends u n p a id .................................................. Individ ual dep osits subject to check .. ................................ 20,979 66 Demand certificates of d e p o s it.......................... T im e certificates of d e p o s it......... 30,610 25 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T otal $ 63,608 10 E IG H T H I9 2 South Omaha. ANNUAL REPO RT OF T H E The South Omaha Savings Bank. C harter No. 381. T. W. T a lia p e r r o ....P r e s id e n t A . C. F o s t e r .... V ice-P res. H. C. B o s tw ic k ... C ashier ST A T E M E N T , D E CE M B ER 2. 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $102,174 89 O verdrafts, secured and unse cured ...... ........................................................ Stock s, secu rities, w arrants, e t c ...................................................... 12,821 85 B o n d s........................................................................... O ther a s s e t s .............................................................. B ankin g house, fu rn iture and fix tu r e s .................................................................... O ther real e s t a te .............................. 18,272 26 Current exp en ses and ta x es paid 1,332 43 P rem ium on U. S. and oth er bonds and secu rities ......... .......................... C hecks and other cash ite m s ............................ D ue from national, sta te and p ri v a te banks and b a n k e r s .................................. T otal cash on h a n d .......................... 7,886 21 T o ta l ............................................. $142,487 64 Spencer. C apital sto c k paid i n ...................... $ 25,000 00 Surplus f u n d ............................................................ U ndivided p r o fits........................... 7,69635 D ividends unpaid .................................................. Individ ual dep osits subject to c h e c k .... 103,19129 D em and certificates of d e p o s it........................ T im e certificates of d e p o s it....... 6,600 00 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to n ational b a n k s .................................... Due to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o t a l ............................................. $142,487 64 The Boyd Comity Bank. Charter No. 383. Sanford P a r k e r ..P r e sid e n t I. L . P a r k e r ..V ic e -P r e sid e n t F . W . W o o d s__ Cashier ST A T E M E N T , D E C E M B E R 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and discounts ............... $ 4,579 83 O verdrafts, secured and u n se cured ................................................. 51 13 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,546 10 O ther a sse ts, liv e sto ck and fo re closu res ......................................... 159 75 Banking house, fu rn iture and fixtures ......................................... •. 1,039 02 Other real e s t a t e ............. ............. 1,050 00 Current ex p en ses and ta x e s paid 430 22 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s . .. 533 90 Due from national, sta te and pri va te banks and bankers ........... 2,092 45 T otal cash on h a n d .......................... 727 13 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis \ $ 12,209 53 C apital sto ck paid in ..................... $ 5,000 00 144 00 Surplus fu n d ...................... U ndivided p r o f i t s . . . . . . . . 622 55 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................. 6,242 98 D em and certificates of d e p o sit.. 100 00 'l im e certificates of d e p o s it... . 10000 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ D ue to national b a n k s ..................................... . D ue to sta te and p rivate banks and b a n k e r s ......... .......................... ................. N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T otal 9 12,209 53 * SECRETA RY Springfield. OF TH E ST A TE B A N K IN G BOARD, 193 The J . D. Spearman & Co. Bankers. Charter No. 384. S . E . Spearm an, E . J. Calhoun, C. K . S p e a r m a n ................................................................... Owners ST A T E M E N T . D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... i 52,262 35 Overdrafts, secured and u n se cu red .................................................. 1,265 49 S tock s, secu rities, judgm ents, 861 25 claim s, e t c ....................................... B onds ............... ....................................................... Other assets, in terest p a i d ......... 142 07 B anking house, furniture and fix t u r e s ............................................ 2,000 00 Other real esta te, revenue stam ps 182 00 Current exp en ses and ta x e s paid 45 51 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... 904 84 C hecks and other cash ite m s ....... Due from national, sta te and pri v a te banks and b a n k ers............. 3,161 55 2,843 28 T otal cash on h a n d .......................... Capital stock paid i n ...................... $ 15,000 00 Surplus f u n d ........................................................... U ndivided p r o fits............................ 291 58 d iv id en d s u n p aid ...................... ............................. Individual d ep osits subject to c h e c k ................................................ 17,598 13 D em and certificates of d e p o sit.......................... Tim e certificates of d e p o s it......... 16,099 39 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g __ 1,924 42 Due to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .......................................................... 12,754 82 N o tes and b ills red iscou n ted ....... B ills p a y a b le ........................................................... T o ta l.............................................. Springfield. $ 63,668 34 T o ta l.............................................. 8 63,668 34 The Sarpy County State Bank. Charter No. 385. W . H. D a v id so n __ P r e s. W. M. S a tte rfield ___ V ice-P res. I. L. F r e e m a n ___ C ashier ST A T EM E N T, D E CEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d iscounts ...................... $ 36,436 21 o v e r d r a f t , secured and u n se cured ....... 445 63 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 215 83 B o n d s ........... ............................................................. Other a ssets ............................................................ Banking house, fu rn iture and fixtures ........................................... 5,88> 00 Other real esta te ...... 1,213 72 Current exp en ses and ta x e s paid 284 83 P rem ium on U. S. and other ........................ ........ bonds and secu rities Checks and other cash ite m s ................. D ue from national, sta te and p ri v a te banks and b an k ers........... 22,824 81 T o ta l cash on h a n d .......................... 2 46s 20 C apital stock paid i n ...................... 8 18,000 00 Surplus fund .............................. U ndivided p r o f it s ............................ 862 69 D ividends u n p a id ........................... Individual dep osits subject to check ............................................... 18,754 16 Dem and certificates of deposit . 22,615 23 T im e certificates of d e p o s it......... Certified c h e c k s................................ C ashier's checks ou tsta n d in g __ " 9,572 15 D ue to national banks ................. Due to sta te and private banks and b a n k e r s .. ....... ......... N otes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T o ta l................... ........................ 8 69,804 23 T o ta l............................................... 8 69,804 23 16 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E IG H T H I 94 Stamford. ANNUAL REPO RT OF TH E The Stamford Bank. Charter N o. 386. R . N . C lark ................................P resid en t I M. E . C lark....................... C ashier J . O. C lark................................. V ice-P resid en t | W . N . C lark........... ......... ..A ss is ta n t Cashier ST A T E M E N T , DECEM BER 2, 1899. RESO U R C E S. U IA B IU IT IE S L oans and d isc o u n ts...................... $ 11,446 10 Overdrafts, secured and u n se cu red .................................................. 351 38 S tock s, secu rities, judgm ents, claim s e t c ....................................... B o n d s .................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 1,200 00 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 920 30 P rem iu m on U. S. and other bonds and secu rities ...................................... C hecks and other cash ite m s . . . 418 14 D ue from national, sta te and p ri v a te banks and h a n k e rs............. 4.219 90 T otal cash on h a n d .......................... 2,359 66 C apital stock paid in ...................... 8 5,000 00 Surplus fu n d ....................................... 125 00 U ndivided p ro fits.............................. 1,050 52 D ividends u n p a id .............................. Individual d ep osits subject to c h e c k .................................. ................ 9,923 01 Dem and certificates of d e p o s it... 2,424 95 T im e certificates of d e p o sit....... 2,392 00 Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ Due to national b a n k s........................................... D ue to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal ............................................. $ 20,915 48 T o t a l............................................... 8 20,915 48 Stanton. The Citizens Bank. C harter N o. 381, F. P. H a n lo n _P resid en t J. E b e rly ___ C ashier W . C. N eu m a n ___ A ssista n t C ashier ST A T E M E N T , D E CEM BER 2, 1899. RESO U RCES. U IA B IU IT IE S . Loans and d isc o u n ts...................... $ 90,528 32 Overdrafts, secured and u n se 497 10 cu red .................................................. Stock s, secu rities, judgm ents, claim s, e t c .................... ........................................ B onds, U . S ......................................... 3,500 00 Other a s s e t s .............................................................. B ankin g house, fu rn iture and f ix t u r e s ............................................. 4,500 00 Other real e s t a t e ................................ 1,044 78 Current ex p en ses and ta x e s paid 1,123 21 R evenue sta m p s ................................ 103 97 C hecks ond oth er cash ite m s . . .. 37150 D ue from national, sta te and pri va te banks and b a n k ers............. 29,048 95 T o ta l cash on h a n d .......................... 7,459 53 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8138,177 36 C apital sto ck paid in ...................... 8 50.000 00 Surplus fu n d ..................................... 8,765 00 U ndivided p r o fits............................. 3,114 46 D ividends u n p a id .................................................... Individ ual dep osits subject to c h e c k .................................................. 43.982 04 Dem and certificates of d e p o s it... 3,476 20 28,839 66 T im e certificates of d e p o sit......... Certified c h e c k s ...................................................... C ashier’s check s outstan ding . .. ................. D ue to national banks ..................................... D ue to sta te and private banks and b a n k e rs..................... .......... N o te s and b ills r ed isc o u n te d .... B ills p a y a b le ..................................... T otal 8138,177 36 SEC RETA RY Staplehurst. OF T E E STA TE B A N K IN G BO ARD. J95 The Bank of Staplehurst. Charter No. 498. E. J a c o b s.............................................. P resid en t | J. H. J o rg en son ........................... ............ C ashier ST A T EM E N T. D E CEM BER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 37,683 07 O verdrafts, secured and u n se cured ................................................ 61 00 S tock s, secu rities, judgm ents, claim s, e tc ........................ ................................... B o n d s.............................................................. ......... Other a s s e ts ............................................................. B ankin g house, furniture and f ix t u r e s ............................................. 1,416 49 Other real e s t a t e .................................................... Current exp en ses and ta x es paid 1,691 76 P rem ium on U. S. and other bonds and secu rities .......................... ......... C hecks and other cash ite m s ....... 736 35 Due from national, sta te and p r i va te banks and b a n k e rs............. 5,56154 T otal cash on h a n d .......................... 2,985 56 Capital stock paid in ...................... 8 6,000 00 Surplus fu n d ...................... 450 00 U ndivided profits ............................ 2,247 08 D ividends u n p aid .................................................... Individ ual dep osits subject to check ............................................... 17,324 59 Demand certificates of d e p o sit. .. 2,810 00 T im e certificates of d e p o s it__ .. 21,304 10 Certified check s .. ................. C ashier’s check s outstan ding ... Due to national b a n k s.................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o ta l............................................... 8 50,135 77 T o t a l ............................................. $ 50,135 77 St. Edward. The State Bank of St. Edw ard. C harter No. 389. A. D . H inm an. .P r esid e n t N els H a sselb a ch .. V ice-P resid en t W . G. G ain es..C ash ier ST A T EM E N T, D E CE M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . Loans and d isc o u n ts...................... 8 98,371 55 Overdrafts, secured and u n se cured ................................................ 1,589 31 Stock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... Other a s s e t s ............................................................. Banking house, furniture and fix tu r e s............................................. 6.429 40 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 676 01 Prem ium on IT. S and other bonds and s e c u r itie s ........................................ C hecks and other cash ite m s __ 4,989 50 Due from national sta te and pri v a te banks and b a n k e r s ........... 5.333 10 T otal cash on h a n d .......................... 5,7 1 4 43 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8123,103 30 Capital sto ck paid i n ...................... Surplus fund ................................ U ndivided p r o fits......... ............. D ividends u n p a id .......................... Individual dep osits subject to check .......................... Demand certificates of d e p o s it ... T im e certificates of d e p o sit......... Certified c h e c k s ............................... C ashier’s check s ou tsta n d in g __ Due to national b a n k s .................. Due to sta te and private banks arid b a n k e r s ............. ............. N o tes and b ills r e d isc o u n te d __ B ills p a y a b le .................... ................. T otal $ 20.000 00 2,000 00 “ 1,547 48 38,324 23 14.065 69 29,165 90 18,000 00 8123,103 30 E IG H T H 1 9 6 Steinauer. ANNUAL REPO RT OF TH E The Bank of Steinauer. C harter No. 501. J . A . S tein a u er........................ P resid en t I John S tein a u e r ................... Cashier John S te in a u e r ........................ V ice-P resid en t | N . A . S tein a u e r ................. A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899 L IA B IL IT IE S . RESO U RCES. L oans and d isc o u n ts........................ $ 68,503 74 O verdrafts, secured and u n se cu red .................................................. 1,336 63 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ....................................................................... O ther a s s e t s ................................. ................. B ankin g house, furniture and f ix t u r e s ............................................. 5,000 00 ' Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 1,826 43 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash it e m s .__ 40 65 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 23,664 90 T o ta l cash on h a n d .......................... 4,347 53 T otal .............................................$104,719 78 Stella. C apital stock paid i n ...................... $ 30,000 00 Surplus fu n d ..................................... 2,300 00 U ndivided p r o fits............................ 4,020 78 D ividends unpaid .................................................. in d iv id u a l d ep osits subject to c h e c k ................................................. 47,493 12 Demand certificates of d e p o s it... 20,905 88 T im e certificates of d e p o sit................................ Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ........................................... D ue to sta te and private banks and b a n k e r s................................... N o tes and b ills r e d isc o u n te d __ B ills p a y ab le. .................................. T otal ............................................. $104,719 78 The State Bank of Stella. 1 Charter No. 393. J . L . S lo c u m ..............................P resid en t I J . R. C a m .............................C ashier I. W . H a r r is..............................V ice-P resid en t | J . R. Cain, J r ............ .........A ssista n t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 98,081 86 O verdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,650 00 B onds ......................................................................... O ther a sse ts .............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 2,000 00 O ther real e s t a te .................................................... Current exp en ses and ta x es paid 1,234 77 P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash item s ... 700 60 D ue from national, sta te and p ri v a te banks and b a n k ers................. 62,47969 T o ta l cash on h a n d .............................. 12,78637 $178,933 29 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C apital stock paid i n ...................... $ 30,000 00 Surplus f u n d ..................................... 26,500 00 5,45679 U ndivided p r o fits................................ D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................ 100,655 68 D em and certificates of dep osit .. 20 T im e certificates of d e p o s it......... 16,320 62 Certified c h e c k s ...................................................... C ashier’s check s o u tstan d in g............................ D ue to national b a n k s........................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T otal $178,933 29 SE C R ET A R Y Sterling. OF THE ST A T E B A N K IN G BOARD. I9 7 The Farm ers and Merchants Bank. C harter No. 394. D. M. B o a tsm a n _P resid en t T B. F r a se r ___ V ice-P res. Jno. B oatsm an — C ashier ST A T EM E N T, DECEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 98,104 68 Overdrafts, secured and u n se cured ................................................ 359 52 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... O ther a s s e t s ....................................... B ankin g house, fu rn iture and fixtu res ........................................... 8,000 00 Other real e s t a t e .................................................... Current exp en ses and ta x es paid 1,175 07 P rem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash it e m s .... 200 00 Due from national, sta te and pri v a te banks and b a n k ers............. 8,088 53 T otal cash on h a n d .......................... 3,610 74 T o ta l.............................................. 1119,538 54 Stockvilie. Capital stock paid i n ...................... $ 25,000 00 Surplus f u n d ..................................... 6,000 00 U ndivided p r o f it s ............................ 4,154 6 4 D ividends u n p a id ..... .................................. Individual d ep osits subject to c h e c k .................................................... 52,05848 Demand certificates of d e p o sit.. 2,017 50 T im e certifica tes of d e p o s it.......... 25,307 92 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to n ational b a n k s ......................................... Due to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r ed isco u n ted ............................ B ills p a y a b le ..................................... 5,000 00 T o t a l ............................................. $119,538 54 The Merchants State Bank. Charter No. 509. R . E . W a r d ............................... V ice-P resid en t | M. T. W ard............................................. .C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 7,029 79 Overdrafts, secured and u n se cured ....................................................................... S tock s, secu rities, judgm ents, claim s, e t c .......................................................... B o n d s.......................................................................... Other a s s e t s ............................................................. B anking house, fu rn iture and fix t u r e s ............................................. 500 00 O ther real e s t a t e .................................................... Current exp en ses and ta x es paid ................. P rem ium on U- S and other bonds and s e c u r it ie s ......................................... C hecks and other cash it e m s ___ 113 34 D ue from national, sta te and private banks and b a n k e r s __ 3,659 26 T otal cash on h a n d .......................... 1,466 33 C apital sto ck paid in ...................... $ 5,000 00 Surplus f u n d ........................................................... U ndivided profits, le ss expenses and ta x e s p a id .............................. 85 34 D ividend s u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 7,523 38 D em and certificates of dep osit .. 160 00 T im e certificates of d e p o s it .............................. Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to n ational b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 12,768 72 T otal $ 12,768 72 E IG H T H 1 9 8 St. Paul. ANNUAL REPO RT OF TH E The St. Paul State Bank. Charter No. 478. N . J . P a u l ..............................................................................................................................................P resid en t ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8 19,314 05 O verdrafts, secured and u n se cured .......... . .. ................... 1,441 93 S to ck s, secu rities, judgm ents, claim s, e t c ........... ....................... . 4,012 91 Bonds ....................................................................... O ther a ssets, revenue sta m p s . .. 200 00 F u rn itu re and fix tu r e s ................., 700 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 930 40 P rem iu m on U. S. and other bonds and s e c u r itie s .......................................... C hecks and other cash item s . . . . 13 64 Due from national, sta te and pri v a te banks and b a n k e rs............. 21.297 32 T o ta l cash on han d .......................... 8,964 23 C apital stock paid in .................... 8 10.000 00 Surplus f u n d ..................................... 200 00 U ndivided p r o f it s .......................... 2.094 04 D ividends u n p a id ............................ ........... Individ ual d ep osits subject to c h e c k ................................................ 28.514 70 Dem and certificates of d e p o sit.. 9.412 05 T im e certificates of d e p o s it ....... 3,600 00 Certified check s ................................................. C ashier’s check s ou tsta n d in g ............................ Due to national banks . . . . . ....... 1,478 95 D ue to sta te and p rivate banks and bankers .................................. 1,024 70 N o tes and b ills r e d isc o u n te d ............................ C ollections to be r e m itte d ........... 560 04 T o ta l.............................................; 8 56,884 48 T o t a l ............................................. $ 56,884 48 St. Paul. The F irst State Bank. C harter No. 506. A. E . C ady................................... .........P resid en t | G eo. E . L e a n ............................................Cashier ST A T E M E N T , D E C E M B E R 2, 1899. R E SO U R C E S. L oans and d isc o u n ts...................... 8 73,767 42 O verdrafts, secured and u n se cured ................................................. 334 36 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 1,597 45 B o n d s .................................................... Other a sse ts, revenue stam ps ... Ì25 05 B ankin g house, fu rn iture and fixtures ......................................... 7,500 00 O ther real e s t a t e ............................ 320 00 Current ex p en ses and ta x es paid 1,253 36 Prem iu m on U. S. and other bonds and s e c u r itie s ................... C hecks and other cash i t e m s __ 392 i 5 D ue from national, sta te and pri va te banks and b a n k e rs............. 13.826 75 T otal cash on h a n d .......................... 8.048 75 T otal 8107,165 29 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital stock paid in ...................... 8 15,000 00 Surplus fund ................................ 5.000 00 U ndivided p r o fits........................ 9,030 35 D ividend s unpaid ............................................... Individ ual dep osits subject to c h e c k ................................. .. 43.687 78 D em and certificates of d e p o sit.. 20,447 16 14,000 00 T im e certificates of d e p o s it....... Certified ch eck s ........................ C ashier's check s ou tsta n d in g __ D ue to na tion al b a n k s................... D ue to sta te and private banks and b a n k e r s................................... N otes'and b ills red iscou n ted __ B ills p a y a b le ..................................... T otal 8107,165 29 SECRETA RY Strang. OF T H E S T A T E B A N K IN G BOARD. 199 The Union State Bank. Charter No. 396. Geo. W . S m ith __ P resid en t J. S h ep pard___ V ice-P res. E . J . D em p ster___ C ashier ST A T EM E N T. DECEM BER 2. 1899 R ESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 22,1,85 50 Overdrafts, secured and u n se cured ................................................ 37 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s................................................................... Other a ssets, revenue s ta m p s ... 50 00 Banking house, fu rn iture and fix tu r e s .................................................. 1,200 00 Real e s t a t e ............................................................... Current exp en ses and ta x es paid 551 48 P rem iu m on U. S. and other bonds and s e c u r it ie s ................... ................ Checks and other cash i t e m s __ 492 07 D ue from national, sta te and pri 1.416 04 va te banljs and b a n k e r s ........... C ash on hand and in b a n k s ......... 4.311 69 Capital stock paid in ...................... 8 10,000 00 Surplus fu n d ..................................... 100 00 U ndivided p r o fits ............................ 790 53 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................... 10,210 52 Demand certificates of d e p o s it ........................ T im e certificates of deposit . . . . . 7,254 60 Certified c h e c k s ...................................................... 1,881 50 C ashier’s checks o u tsta n d in g __ Due to national b a n k s ......................................... D ue to sta te and private banks and b a n k ers.......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills payable .......................................................... T o t a l ............................................. 8 30,237 15 T o ta l.............................................. $ 30,237 15 Stratton. The Commercial Banking Co. C harter No. 398. C. C .V e n n u m ...................................................................................................... ............................ P resid en t ST A T EM E N T, D ECEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... 8 16,884 47 O verdrafts, secured and u n se c u red .................................................. 44 26 Stock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a sse ts ................................... B anking house, furniture and fixtu r e s .................................................. 2.976 97 Other real e sta te . .......................... 1.129 72 Current exp en ses and ta x e s paid 3,444 99 P rem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and p riv a te banks and b a n k e r s ___ 3,122 06 T o ta l cash on h a n d ........................ 2.040 20 C apital stock paid in ...................... 8 15,000 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 3,641 96 Dividends un p aid .................................................... Individual dep osits subject to c h e c k ................................................ 8,243 98 D em and certificates of d e p o sit.. 256 73 T im e certificates of d e p o s it ........ 2,500 00 Certified c h e c k s...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills rediscounted ... B ills p a y a b le..................................... T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 29,642 67 T otal 8 29,642 67 200 E IG H T H Stromsburg. ANNUAL REPO RT OF TH E The Strom sburg Bank. Charter N o. 399. J . B . B u c k le y ....... P resid en t L. H. H eadstrom ___ V ice-P res. Ira B a n ta ........ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 44,646 22 O verdrafts, secured and u n se cured......................................................................... Stock s, secu rities, judgm ents, claim s, e t c .............................................................. Bonds ..... .................................................... Other a ssets, revenue sta m p s __ 108 00 B ankin g house, furniture and fix tu res ........................................... 400 00 Other real e s t a t e .................................................. Current exp en ses and ta x es paid 984 71 P rem iu m on U . and other bonds and s e c u r it ie s ....................................... C hecks and other cash ite m s __ 2,079 64 D ue from national, sta te and pri 10,122 12 v a te banks and b a n k e rs........... T o ta l cash on h a n d .......................... 10.998 70 C apital stock paid i n ...................... $ 15,000 00 Surplus fu n d ....................................... 60 uO U ndivided p r o fits............................ 2,246 06 1 'ividends u n p a id .............................. Individ ual d ep osits subject to 13,192 01 check ................................................ D em and certificates of d e p o sit.. 17.147 94 21,693 38 T im e certificates of d e p o s it....... Certified check s .............................. C ashier’s check s o u tsta n d in g __ Due to n ational banks . . . . ... D ue to sta te and p rivate banks and b a n k e rs................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T otal 8 69,338 39 Stromsburg. T otal 8 69,339 39 The Farm ers and M erchants B ank C harter No. 519. John W ils o n . . . . P resid en t J . W . W ils o n . . . . C ashier N ath an W ils o n . . . . A s s ’t C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L oans and d isc o u n ts...................... 8127,759 54 O verdrafts, secured and u n se cu red .................................................. 656 17 S tock s, secu rities, judgm ents, 417 47 claim s, e t c ....................................... B onds ......................................................................... Other a sse ts, revenue sta m p s __ 60 50 B ankin g house, fu rn iture and fixtures ........................................... 3,520 00 O ther real e s t a t e .............................. 200 oO Current ex p en ses and ta x es paid 1,504 18 P rem iu m on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash it e m s __ 284 15 D ue from national, sta te and pri v a te banks and bankers ........... 11,758 15 T otal cash on h a n d .......................... 6.919 20 T otal 8153,079 36 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital sto ck paid i n ...................... 8 25.000 00 5,000 00 Surplus f u n d ..................................... U ndivided p r o fit s ............................ 4,673 16 D ividends u n p a id ............. ............................ Individ ual d ep osits subject to c h e c k '................................................... 18,86897 D em and certificates of d e p o sit.. 19.627 62 T im e certificates of d e p o s it......... 79,909 61 Certified check s ......................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and private banks and bankers ................................ N o tes and b ills red iscou n ted ....... B ills p a y a b le ............... ..................... T otal 8153,079 36 SEC R ETA R Y Stuart. OF THE STA T E B A N K IN G BOARD, 201 The Citizens B ank of Stuart. Charter No. 402. E rhard O p p ...........................................P resid en t | J . M. F la n n ig a n .......................................C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . D oans and d isc o u n ts...................... 8 63,090 45 Overdrafts, secured and u n se 3,436 34 cured ................................................ Stock s, secu rities, judgm ents, claim s, e t c ....................................... 594 42 B onds ........................................................................ Other a s se ts .............................................................. B ankin g house, fu rn iture and fixtures ......................................... 1,000 00 Other real esta te ............................................. Current ex p en ses and ta x es paid ................ P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and other cash it e m s ....... 475 94 D ue from national, sta te and p ri 20.871 22 v a te banks and b a n k e rs............. T o ta l cash on h a n d .................... 8,815 60 T o ta l.............................................. Sumner. 8 98,283 97 Capital stock paid in ...................... 8 5.000 00 Surplus fu n d ..................................... 6,000 00 U ndivided p r o fits ............................ 3,266 76 D ividends u n p a id .................................................. Individ ual d ep osits subject to c h e c k ................................................ 60.310 33 Demand certificates of d e p o s it. .. 23,706 88 T im e certificates of d e p o s i t .............................. Certified c h e c k s .............................. ................. C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .................................. N o tes and b ills red iscou n ted ....... B ills p a y a b le....................................... T otal ............................................. 8 98,283 97 The Security Bank. Charter No. 403. M. Maddox, S r __ P resid en t N . M a d d o x ....V ic e -P r e sid e n t T. H. C heney___ C ashier ST A T E M E N T . D E C E M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... 8 13,925 39 Overdrafts, secured and u n se cu red ................................................ 218 17 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... Other a s s e ts ............................................................. B anking house, fu rn iture and fixtures ........................................... 2,538 02 O ther real esta te ............................ 3,282 40 Current exp en ses and ta x es paid 1,132 74 P rem iu m on IT. S. and other bonds and s e c u r itie s ........................................... C hecks and oth er cash i t e m s .......................... D ue from national, sta te and p ri v a te banks and b a n k e rs........... 11,146 28 T otal cash on h a n d .......................... 1.500 88 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 833,743 88 C apital sto ck paid in ...................... 8 12,000 00 S u rp lu sfu n d ............................................................. U ndivided p r o fits................................ 7,64644 D ividends u n p a id .................................................. Individual dep osits subject to check ........................................... 11,545 99 D em and certificates of d e p o sit.. 2,551 45 T im e certificates of d e p o s it........................ Certified c h e c k s ...............................................<.... C ashier’s check s ou tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le ..................................... T o ta l 8 33,743 88 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SEC RETA RY Sutherland. OF T H E STA TE B A N K IN G BOARD. 203 The B ank of Sutherland. C harter No. 405. E. C. Brown, C. B . M cK in stry................ ......... ............................................................................Owners ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U R C E S. L IA B IL IT IE S . L oans and d iscounts.'.................... $ 4,984 74 O verdrafts, secured and u n se c u red .................................................. 25 10 Stock s, secu rities, judgm ents. claim s, e tc ....................................... 255 67 Bonds ......................................................................... O ther a s s e t s ....................................... 3,971 10 Banking house, fu rn iture and fixtures ......................................... 1,218 79 Other real e s t a t e .............................. 1,399 40 Current exp en ses and ta x es paid. 1.392 97 P rem ium on U. S. and other bonds and s e c u r itie s ......................................... Checks and other cash it e m s ............................ D ue from national, sta te and pri va te banks and b a n k e rs............. 8.970 96 T o ta l cash on h a n d .......................... 1,091 33 T otal ............................................. $ 23,310 06 Swanton. Capital stock paid i n ...................... $ 5,000 00 Surplus fund .................................. 69 07 U ndivided p r o fits..... 1,352 61 D ividends u n p a id .................................................... ■ Individual d ep osits su b ject to check. 16,888 38 D em and certificates of d e p o s it ........................ Tim e certificates of d e p o s i t ........... ................ Certified c h e c k s...................................................... Cashier's check s o u t s ta n d in g .......................... Due to national b a n k s ........................................... Due to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ............................................................ T otal ............................................. $ 23,310 06 The Bank of Swanton. Charter No. 407. M. B aker P resid en t ! C. A . B a k e r ................. .........................C ash ier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts.................... $ 17,220 65 O verdrafts, secured and u n se c u red ................................................. 210 79 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 500 0C B o n d s........................................................................... Other a s s e t s ............................................................. B anking house, furniture and f ix t u r e s ............................................ 3,318 00 Other real e s t a te ..... ...................... , 1,920 66 Current exp en ses and ta x es paid 105 38 P rem iu m on U. S. and other bonds and secu rities ......................................... C hecks and other cash ite m s __ 1,645 65 D ue from national, sta te and pri v a te banks and b a n k ers............. 3.846 07 T otal cash on h a n d .......................... 2,6'»9 39 Capital sto ck paid i n ...................... $ 10,00f 00 Surplus fu n d ............................................................. U ndivided p r o fits.............................. 794 30 D ividends u n p a id .................................................. Individual dep osits subject to check ............................................... 8,594 20 Demand certificates ofd e p o sit.. 6,351 24 T im e certificates of dep osit ....... 4.637 45 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g .......................... . Due to national b a n k s........................................... Due to sta te and private banks and b a n k ers............. ............................................. N otes and b ills r e d isc o u n te d ............................ B ills p a y a b le..................................... 1,000 00 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 31,377 19 T otal $ 31,377 19 204 E IG H T H Syracuse. ANNUAL REPORT OF THE The Bank of Syracuse. C harter No. 408. L ou is H o e b e l....... P resid en t H ans L a rso n ___ ‘V ice-P resid en t O. H orn e____C ashier ST A T EM E N T, D EC E M B ER 2, 1S99. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts..................... $ 46,166 06 Overdrafts, secured and u n se 3,913 41 cured .................................................. S t o c k s ,. secu rities, judgm ents, claim s, e t c ....................................... B onds .................................................. Other a s s e t s ....................................... B ankin g house, fu rn iture and fixtures ............................................. 4,414 37 Other real e s t a te ............................... 10,650 00 Current ex p en ses and ta x es paid P rem iu m on U. s . and other 1,411 02 bonds and s e c u r it ie s ................... C hecks and other cash i t e m s __ D ue from national, sta te and p r i 1,613 17 v a te banks and b a n k e rs............. 17.175 11 T otal cash on h a n d .......................... T o ta l............................................. $ 85,343 14 C apital sto ck paid i n .................... $ 25,000 00 Surplus fu n d ..................................... 1,000 00 3,224 94 U ndivided p r o fits............................ D ividends u n p a id .................................................. Individual d ep osits subject to 38,720 52 c h e c k ................................................ Dem and certificates of d e p o sit.. 1,265 92 T im e certificates of d e p o sit......... - 15,907 08 Certified c h e c k s ...................................................... C ashier’s checks o u tstan d in g ............................ D ue to n ational b a n k s ......................................... D ue to sta te and private ban ks and b a n k e r s ................................... 224 68 N o tes and b ills red iscou n ted ..... ........................ B ills p a y a b le ............................................................ T o ta l.............................................. $ 85,343 14 Table Rock. The State B ank of Table Rock. C harter No. 409. D . R em iok............................ .......P resid en t I D avid K . M ille r ................. C ashier Jno. C. D a v id ............................V ice-P resid en t | C. J . W o o d ............................ A ssista n t Cashier ST A T EM E N T, D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 75,045 81 Overdrafts, secured and u n se cured.................................................. 211 15 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s ....................................... 60 59 B anking house, furniture and fixtures ........................................... 5,000 00 O ther real e s t a t e .............................. 2,500 00 Current ex p en ses and ta x e s paid 15149 P rem iu m on U. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and p riv a te banks and b a n k e r s __ 15,058 14 T o ta l cash on h a n d .......................... 4.053 29 $102,080 47 T otal Capital stock paid i n ...................... 8 50,000 00 Surplus f u n d ..................................... 3,000 00 U ndivided p r o f it s ............................ 815 75 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................. 22,661 31 D em and certificates of deposit .. 15,424 52 T im e certificates of d e p o sit.......... 10,178 89 C ertified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to n ational b a n k s........................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $102,080 47 SECRETA RY Talmage. OF T H E STA TE B A N K IN G BOARD 205 The Bank of Talmage. Charter No. 4J0. Herm . A r e n d s ..........................P resid en t I T heo. F rerich s ............. Cashier J . H. D a m m e ........................... V ice-P resid en t | Chas. E . W ood .................... A ssista n t C ashier ST A T E M E N T , D ECEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 71,383 01 Overdrafts, secured and u n se 1,357 48 cured.................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a s s e t s ....................................... B ankin g house, fu rn iture and fix t u r e s ............................................. 3,800 00 Other real e s t a t e .................................................... Current exp en ses and ta x es paid 389 57 P rem ium on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash i t e m s ............................ Due from national, sta te and private banks and b a n k e r s ___ 26,151 57 T o ta l cash on h a n d ......................... 8,429 31 T o ta l... ....................................... $111,510 96 Capital stock paid in ....................... $ 20.000 00 Surplus f u n d ..................................... * 10,000 00 1,412 57 U ndivided p r o f it s ............................ D ividends u n p a id .................................................. Individual dep osits subject to c h e c k .................................................... 51,79859 Demand certificates of dep osit .. 4.661 59 T im e certificates of dep osit ........... 20.63821 Certified c h e c k s .................................................... C a sh ie i’s checks outstan ding ... D ue to n ational b a n k s ................... Due to sta te and private banks and bankers ................................. N o tes and b ills red isc o u n te d ... . B ills p a y a b le ..................................... T o ta l............................................... $111,510 96 Tecumseh. The Cham berlain B anking House. Charter No. 412. W . R . B a rto n ............................P resid en t I C has. M. C ham berlain. ..C ash ier F. A . T a y lo r ..........................V ice-P resid en t [ G. D . B e n n e tt..................... A ssista n t C ashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 93,897 71 O verdrafts, secured and u n se cured ........................................... 11,931 26 S tock s, secu rities, judgm ents, claim s, etc ..................................... 65 90 Bonds and S to c k .............................. 8,360 00 Other a s s e t s ............................................................. B anking house, fu rn iture and fix t u r e s ............................................. 8,000 00 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid ................. Prem ium on U. s . and other bonds and s e c u r itie s ........................................... Internal r ev en u e.............................. 27 73 Due from national, sta te and p ri v a te banks and b a n k e rs................................... Cash and sig h t e x ch a n g e............... 11,764 36 Capital stock paid in ....................... $ 50.000 00 Surplus f u n d ..................................... 7.000 00 U ndivided profits ............................ 1,755 72 D ividends u n p a id .................................................. Individ ual d ep osits su b ject to c h e c k ................................................ 34,925 34 Dem and certificates of d e p o sit.. 18.612 96 3,204 96 T im e certificaies of d e p o s it......... Certified c h e c k s .. ................................................. C ashier’s check s ou tsta n d in g ............................ D ue to banks and b a n k e rs........... 4,075 84 D ue to sta te and private banks and bankers ................................................... N o tes and b ills rediscounted, ca ttle paper .................................. 14,472 14 B ills p a y a b le ............................................................ T o ta l............................................... $131,046 96 T o ta l............................................... $134,046 90 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 20 6 E IG H T H Tekamah. The B urt County State Bank. ANNUAL REPORT OF THE C harter No. 417. R . L . A d a m s.. .P r esid e n t H. S. M. S p ielm a n .. .V ice -P re s. H. M. H o p e w e ll.. .C ashier ST A T E M E N T . D E C E M B E R 2. 1899. L IA B IL IT IE S . RESO U RCES. L oans and d is c o u n t s ...................... $ 83,826 85 O verdrafts, secured and u n se cured .* ............................................. 473 42 S tock s, secu rities, judgm ents, 903 33 claim s, e t c ................ B o n d s .......................................................................... Other a s s e t s .............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 10,000 00 Other real e s t a t e .............................. 5,000 00 Current exp en ses and ta x es paid 40 40 P rem iu m on U. s . and other bonds and s e c u r itie s ....... ................................. C hecks and other cash ite m s ....... 148 23 D ue from national, sta te and pri 2.288 22 v a te hanks and h a n k ers............. T otal ca sh on h a n d ................ 6,761 76 T o ta l ............................................. $109,442 21 Thayer. C apital stock paid in ...................... $ 30,000 00 Surplus fu n d ....................................... 2,2u0 00 U ndivided p r o fits........... ............... 1,44174 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k .................................................. 38,703 66 Demand certificates of d e p o s it.......................... T im e certificates of d e p o s it......... 32,756 07 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g __ 174 00 Due to na tio n al h a n k s..................... 3,614 07 D ue to sta te and p rivate hanks and b a n k ers................................... 552 67 N o tes and h ills red iscou n ted ............................ B ills p a y a b le ............................................................ T o ta l............................................... $109,442 21 The B ank of Thayer. C harter N o. 414. Geo. W . P o s t ....... P resid en t E . J . W ightm an.........V ice-P res. O tto W u tk e ........ C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 16,660 59 Overdrafts, secured and u n se cured ....................................................................... Stock s, secu rities, judgm ents, claim s, e t c ............................................................. B onds ......................................................................... Other a sse ts ............................................................ B ankin g house, furniture and fixtures ..................................... 225 00 Other real e s t a t e ........... ................. ........... Current ex p en ses and ta x es paid 364 14 P rem iu m on U. S. and other bonds and secu rities ....................................... Checks and oth er cash ite m s __ 96 09 D ue from national, sta te and p rivate banks and b a n k e rs__ 4.012 93 T otal cash on h a n d .......................... 915 38 $ 22,274 13 T otal C apital stock paid in ...................... $ 5,000 00 Surplus f u n d ..................................... 50 00 U ndivided p r o fit s ............................ 1,086 40 D ividends unpaid ................................................. Individ ual d ep osits subject to c h e c k ................................................ 6,581 93 Demand certificates of d ep osits. 6.553 15 T im e certificates of d e p o s it......... 3,0u2 65 Certified check s ............................................... C ashier’s ch eck s o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and p rivate banks and bankf r s ............................................... .......... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 22,274 13 SECRETA RY Thedford. OF T H E S T A T E B A N K IN G BO ARD. 2 0 7 The Thedford Bank. Charter No. 415. E . W . R a n k in ....... P re sid e n t J . C. M artin........ V ic e-P r e s. J. M. M cM illan........ C ashier ST A TEM EN T, D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts................. .. $ 10,950 14 Overdrafts, secured and u n se cured ................................. .................................. S tock s, secu rities, judgm ents, claim s, e t c . ............................................................ B o n d s........................................................................... Other a s s e ts ............................................................. B ankin g house, fu rn iture and fix t u r e s ............................................. 1,586 57 O ther real e s t a t e ................................................. Current ex p en ses and ta x es paid 175 12 P rem ium on U S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash it e m s .. 1,75820 D ue from national, sta te and private banks and b a n k e r s ___ 2,037 36 785 29 C a s h ...................................................... T o ta l............................................... $ 17,292 68 Tilden. Capital sto ck paid in ...................... $ 5.075 00 Surplus f u n d ..................................... 1,500 00 U ndivided p r o f it s ............................ 269 98 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 6,647 70 D em and certificates of d e p o s it ........................ T im e certificates of d e p o s it......... ' 800 00 Certified c h e c k s ......... ............................................ C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s........................................... D ue to sta te and private banks and b a n k e r s ........•.......................... 3,000 00 N o tes and b ills red iscou n ted .............................. B ills payable . ........................................................ T o ta l............................................... $ 17,292 68 The Tilden State Bank. Charter N o. 416. G. A . L u ik a r t........................P resid en t I A. J . D u n lev y ...................... C ashier J. A . D e W o lf .......................... V ice-P resid en t | E . N . B ra a sc h ....................A ssista n t C ashier ST A T EM E N T, D E CEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 62,872 27 O verdrafts, secured and u n se cured ................................................ 218 64 Stock s, secu rities, judgm ents, claim s, e tc ............................................................. B o n d s......................................... ................................. Other a ssets, revenue s ta m p s 220 78 B anking house, furniture and f ix t u r e s ............................................. 7,000 00 O ther real e s t a t e .................................................... Current exp en ses and ta x e s paid 1,083 95 P rem ium on U. S . and other bonds and s e c u r it ie s .................. ................. C hecks and oth er cash ite m s ....... 170 94 D ue from national, sta te and p ri v a te banks and b a n k e r s ........... 12,738 61 T otal cash on h a n d .......................... 8. 38 31 C apital sto ck paid i n ...................... $ 30,000 00 Surplus fund ... .... .......................... 840 00 U ndivided p r o f it s ............................ 2,435 37 D ividends unpaid..................................................... Individual dep osits subject to c h e c k ................................................ 30,577 52 Dem and certificates of deposit .. 28,590 61 T im e certificates of d e p o s it................................ Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............................................................ T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 92,443 50 T otal $ 92,443 50 2o 8 E IG H T H Tilden. ANNUAL REPO R T OF TH E The E lkhorn Valley Bank. Charter No. 417. L illie A . S tu a r t....................... P resid en t I C. E . B u r n h a m ................... C ashier G. B u e ttn er ............................V ice-P resid en t | C. A . S m ith ..........................A ssista n t Cashier ST A T E M E N T . D E CEM BER 2. 1899. L IA B IL IT IE S . C apital stock paid in ....................... $ 25,000 00 2,500 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 7,076 50 D ividends unpaid ............................................ Individ ual d ep osits subject to check .................... 23,323 Dem and certificates of deposit .. 892 13,528 T im e certificates of d e p o s it ....... Certified c h e c k s ................................................. C ashier's check s o u tsta n d in g ........................ D ue to n ational b a n k s ............... .................... Due to sta te and private banks and b a n k e r s .................................. N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T o ta l.............................................. Tobias. $ 72,320 56 : SSS? BESO URCES. L oans and d isc o u n ts...................... i 53,542 29 O verdrafts, secured and u n se 306 71 c u r e d .. .. ........................................... S to ck s, secu rities, judgm ents, claim s, e t c ................................. ........................ B o n d s........................................................................... Other a s s e t s ....................................... 335 31 B anking house, furniture and f ix t u r e s ............................................. 1,423 28 Other real e sta te .............................. 3,810 19 Current ex p en ses and ta x e s paid 2.518 39 Prem iu m s on U. S. and other bonds and secu rities ........................................ C hecks and other cash ite m s .. . 286 00 D ue from national, sta te and p ri va te banks and b a n k ers............ 6,452 98 T o ta l cash on h a n d .......................... 3.645 41 T o ta l............................................... 8 72,320 56 The Peoples Bank. Charter No. 418. S ta n ley L a r s o n ......................................... C ashier | E . E n g leh o rn ....................... A ssista n t C ashier ST A T E M E N T , D E CEM BER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts........... t.......... 9 10,396 75 O verdrafts, secured and u n se cured ................................................. 2C4 56 S to ck s, secu rities judgm ents, claim s, e t c ....................................... B o n d s.................................................... O ther a sse ts ..................................... B annin g house, furniture and fixtures .................................... 2,000 00 Other real e s t a t e .................................................. Current exp en ses and ta x es paid 1,180 82 P rem iu m on U. S. and other bonds and s e c u r it i e s ......................................... Checks and other cash it e m s ... . 433 50 Due from national, sta te and pri v a te banks and bankers ........... 1,607 15 T o ta l cash on h a n d .......................... 2.634 47 C apital stock paid in ...................... $ 6,000 00 Surplus fund .............................. 60 00 U ndivided p r o fit s ............................ 1,640 22 D ividends u n p a id .................................................. Individ ual dep osits subject to c h e c k ................................................ 5,596 93 D em and certificates of dep osit . 1 6 0 00 T im e certificates of d e p o s it ....... 6,019 90 Certified checks .............................................. C ashier’s check s o u tsta n d in g ............................ D ue to national banks .......................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 18,477 05 T otal 8 18,477 05 SECRETA RY Tobias. OF T H E S T A T E B A N K IN G BO ARD. 2 0 9 The Citizens State B ank of Tobias. C harter No. 490. W . O. S o u th w ick ...................P resid en t I S. F . N u n e m a k e r .............. C ashier L . E . Sou thw ick .....................V ice-P resid en t | C. W . N u n e m a k er .. . . . . A ssista n t C ashier ST A T EM E N T, DECEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... $ 38,338 84 O verdrafts, secured and u n se 67 10 cu red .................................................. S to ck s, secu rities, judgm ents, claim s, etc ........................................................... B o n d s......................................................................... Other a s s e ts ............................................................. B ankin g house, furniture and f ix t u r e s ............................................. 6,000 00 Other real e s t a te .................................................... Current exp en ses and ta x es paid 839 27 P rem iu m on U. S. and other bonds and secu rities :. ................................. C hecks and other cash ite m s ....... 932 44 D ue from national, sta te and p ri v a te banks and b a n k ers............. 11,755 18 T o ta l cash on h a n d ................... 6,632 64 T o ta l............................................... $ 64,565 47 Trenton. Capital stock paid in ...................... $ 20,000 00 Surplus fu n d ........................................ 600 00 U ndivided p r o fits.............................. 1.913 65 D ividends un p aid .................................................... Individual dep osits subject to check .................. 15,975 67 Demand certificates of d e p o s it... 26,076 15 T im e certificates of d e p o sit................................ Certified c h e c k s ...................................................... C ashier’s check s o u t s ta n d in g .......................... Due to national b a n k s........................................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l ............................................. $ 64,565 47 The Trenton State Bank. Charter No. 420. W . O. R o b in so n ..P r esid e n t A . O. R ob in son ..C ash ier L . D. R o b in so n ..A ss’t C ashier ST A T EM E N T, D EC E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 9.194 CO Overdrafts, secured and u n se cured ....................................................................... Stock s, secu rities, judgm ents, claim s, e t c ....................................... 25 00 B o n d s...................... ................................................ Other a s s e t s ............................................................. B anking house, furniture and fix tu r es.............. 1,666 66 Other real e s t a te .................................................... Current ex p en ses and ta x es paid 2.207 99 Prem ium on IT. S. and other bonds and s e c u r itie s ......................................... C hecks and other cash ite m s __ 164 90 Due from national, sta te and p ri va te banks and b a n k e r s ........... 11,74585 T otal cash on h a n d ... m................... 3,853 79 C apital sto ck paid i n ...................... 8 5,000 00 Surplus fu n d ........................................................... U ndivided p ro fits.......................... 2,420 50 D ividends u n p a id .................................................. Individual dep osits subject to check ............................................... 16,064 99 Demand certificates ofd e p o sit. . . 5,092 70 T im e certificates of d e p o sit......... 280 00 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ Due to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s .................................... N o tes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T o t a l ............................................. $ 28,858 19 T otal ............................................. $ 28,858 19 16 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 IO E IG H T H Ulysses. ANNUAL REPO RT OF THE The F irst B ank of Ulysses. Charter No. 422. G. W . L o rd ........................... P resid en t I G eorge D o b so n ....................C ashier J . D. M o d lin ..............................V ice-P resid en t | Geo. B . C am pb ell............ A ssista n t Cashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts .......... .......... $122,719 60 Overdrafts, secured and u n se cured ..................................................... 1,51112 S tock s, secu rities, judgm ents, claim s, e t c ........... .................................................. B o n d s....................................... .................................. Other a ssets, revenue stam ps . .. 347 08 B ankin g house, fu rn iture and iix t u r e s ............................................. 1,706 41 Other real e s t a t e .................................. 2,86238 Current exp en ses and ta x e s paid 1,356 68 P rem iu m on U. S. and other bonds and s e c u r itie s ........................................... Checks and other cash ite m s .............................. D ue from national, sta te and p ri va te banks and b a n k ers............. 15.867 48 T otal cash on h a n d .............................. 7,08504 T o ta l ............................................. $153,455 79 Unadilla. C apital sto ck paid in ...................... $ 25,000 00 Surplus fu n d ....................................... 2,000 00 U ndivided p r o fits........... .................. 2,350 89 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k .................................................. 52,714 84 Demand certificates of d e p o s it... 8,373 85 Tim e certificates of d e p o s it......... 63,016 21 Certified c h e c k s ................................ C ashier’s check s o u tsta n d in g . . . . Due to n ational b a n k s........... . D ue to sta te and private banks and b a n k ers......... ;......... ...... N o tes and b ills red iscou n ted __ B ills p a y a b le ............... ...................... T o ta l............................................... $153,455 79 The B ank of Unadilla. Charter N o. 433. N . A . D uff......... P resid en t M. E . D uff.......... V ice-P resid en t H . A . B u t t .......... C ashier ST A T E M E N T , D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts....................... $ 38,262 83 O verdrafts, secured and u n se cured ................................................. 567 57 Stock s, sec u r ities, judgm ents, claim s, e t c ............................................................. B o n d s.............................................................. Other assets, revenue stam ps . .. 107 00 B anking house, furniture and fix t u r e s ............................... 2,440 99 O ther real e s t a t e ......................................... Current ex p en ses and ta x e s paid 457 79 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s __ 1,008 61 D ue from national, sta te and p rivate banks and b a n k e r s .... 8,471 85 T o ta l cash on h a n d ............. 2,593 46 C apital stock paid in ...................... $ 15,000 00 Surplus f u n d ..................................... 1,100 00 U ndivided p r o fit s ............................ 1,729 44 D ividends unpaid .......................... 7 50 Individ ual dep osits subject to c h e c k ......................... 23.975 76 Demand certificates of d ep osits. 5,025 85 T im e certificates of d e p o s it......... 7,071 55 Certified c h e c k s ...................................................... C ashier’s ch eck s ou tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ............................................................ T o ta l............................................... $ 53,910 10 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o ta l.............................................. $ 53,910 10 SECRETA RY Union. OF T H E ST A T E B A N K IN G BO ARD , 2 11 The Union Bank. Charter No. 424. H. F . T a y lo r .... P resid en t M. H. S h o e m a k e r ....V ic e -P r e s. A . E . T a y lo r. . . . C ashier STA TEM EN T. D ECEM BER 2, 1899. L IA B IL IT IE S . ItE S O U R C E S . L oans and d isc o u n ts.................. ... 8 10,936 50 Overdrafts, secured and u n se cured ................................................. 25 82 S to ck s, sec u r ities, judgm ents, claim s, e t c ........................ ............. B o n d s............................................. ... Other a s s e ts ...................................... B ankin g house, fu rn iture and fix tu r e s ............................................. 100 00 Other real esta te ................................................ Current ex p en ses and ta x es paid 972 91 Prem ium on U S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash item s . 1,443 19 D ue from national, sta te and private banks and b a n k e r s ___ 14,562 75 C a s h ...................................................... 5,030 26 T o ta l............................................... $ 33,071 43 Capital stock paid in ...................... $ 10,000 00 182 00 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 1,468 69 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k ................................................ 21,250 71 Demand certificates of deposit .. 17003 'rime certificates of d e p o s it.......................... . Certified c h e c k s ................................ ................. C ashier’s checks ou tsta n d in g ............................ Due to national b a n k s........................................... Due to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ........................ ............ T o ta l............................................... $ 33,071 43 University Place. The W indom Bank. Charter No. 425. W . H . H o rn e__ P resid en t A. W . W e lls ___ V ice-P resid en t H. K. F rantz — Cashier ST A T EM E N T, D E CEM BER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d is c o u n ts ...................... 8 36,238 19 O verdrafts, secured and u n se cured ................................................ 829 61 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds .................... ......... ....................................... Other a s s e t s .............................................................. B ankin g house, fu rn iture and fixtures .. ..................................... 925 40 O ther real e s t a t e .............................. 260 55 Current exp en ses and ta x es paid Prem iu m on U. S. and other bonds and s e c u r it ie s .................. C hecks and other cash ite m s ....... D ue from national, sta te and p ri v a te banks and bankers ............ 2,468 11 T o ta l cash on h a n d .......................... 3,353 55 8 44,102 41 T otal Capital sto ck paid i n ...................... 8 10,000 00 Surplus f u n d .......................................................... U ndivided p r o f it s ............................ 390 36 D ividends unpaid.....................................................• Individ ual dep osits subject to check ... 25,373 15 D em and certificates of d e p o s it ........................ T im e certificates of d e p o s it......... 7,585 50 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g __ 753 40 D ue to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills red iscou n ted .............................. B ills p a y a b le ............. ........................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal 8 44,102 41 E IG H T H 212 Upland. ANNUAL REPO RT OF T H E The U pland B anking Co. Charter No. 426. H enry G und........P resid en t C. K o e h le r ........ V ice-P resid en t Ed L . M orse........ Cashier ST A T E M E N T , D ECEM BER 2, 1899. R ESO U RCES. L IA B IL IT IE S L oans and d isc o u n ts...................... $ 9,122 45 Overdrafts, secured and u n se cu red ............................................... . 115 92 S tock s, secu rities, judgm ents, cla im s e t c ......... .................................. 3,02717 B o n d s ........... ........................................................... Other a s s e t s ...................... ................................ .. B anking house, fu rn iture and fix t u r e s ................................................ 3,00000 Other real e s t a t e .................................. 3.15614 Current exp en ses and ta x e s paid 2,381 59 P rem iu m on U. S. and other bonds and secu rities .................................... C hecks and other cash ite m s . . . 35 63 D ue from national, sta te and p ri 14,565 79 v a te banks and b a n k ers............. T otal cash on h a n d .............................. 3,78803 T otal ............................................. $ 39,192 72 Utica. Capital stock paid i n ...................... $ 10.000 00 Surplus fu n d ....................................... 2,000 00 U ndivided p ro fits.............................. 4,326 03 D ividends u n p aid .................................................... in d iv id u a l d ep osits subject to c h e c k .................................................. 12,345 45 Dem and certificates of d e p o s it. .. 9,921 24 T im e certificates of d e p o sit....... 600 00 Certified c h e c k s ................................ C ashier’s checks o u tsta n d in g __ Due to national b a n k s.................... Due to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ..................................... T o t a l............................................... $ 39,192 72 The Utica Bank. C harter N o. 427. F r itz B eck a rd ......... P resid en t Josep h J o n e s .......... V ice-P res. G. G. J o n e s .......... Cashier ST A T E M E N T , D E CE M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 13,893 28 Overdrafts, secured and u n se cured ......................................................................... S tock s, secu rities, judgm ents, claim s, e t c ....................................... 100 00 B o n d s ........................................................................... Other a s s e ts .............................. ................ ......... B ankin g house, fu rn iture and f ix t u r e s ............................................. 2,900 00 Other real e s t a t e ................................ ' ................. Current exp en ses and ta x e s paid 930 45 P rem ium on U. S. and other bonds and s e c u r itie s ........................................... C hecks ond oth er cash ite m s ....... 762 67 D ue from national, sta te and pri va te banks and b a n k ers............... 13,867 63 T ota l cash on h a n d .......................... 3,518 66 T otal, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 35,972 69 Capital sto ck paid in ...................... $ 14.000 00 Surplus fu n d ........................... .. . 353 84 U ndivided p r o fits................................. 2,11042 D ividends u n p aid .................................................... Individ ual d ep osits subject to c h e ck .................................................. 13,609 23 Dem and certificates of d e p o s it... 5,899 20 T im e certificates of d e p o sit................................ Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national banks ................................... Due to sta te and private banks and b a n k e rs........................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ T otal $ 35,972 69 SEC RETA RY Utica. OF T H E S T A T E B A N K IN G BO ARD , 2 1 3 The Merchants Bank. C harter No. 428. G eo. F . H u rlb u rt. . . . Pres. C. G. H u r lh u r t.. . .Cashier M amie T h y g e so n .. ..A s s ’t C ashier ST A T EM E N T, D E CEM BER 2, 1899 L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... 8 19,124 54 Overdrafts, secured and u n se 117 59 cured ................................................ S to ck s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s......... ....................................... 9.000 00 Other a sse ts (grain on hand) — 2,450 59 Banking house, furniture and fix tu r e s ........................................ 7,000 00 Other real e s t a t e .............................................. Current exp en ses and ta x es paid 1,705 86 P rem ium on U. S. and other bonds and s e c u r it ie s .................. 1,596 25 C hecks and other cash item s — 245 60 D ue from national, sta te and pri v a te hanks and b a n k e r s ........... 3.900 59 Cash on hand and in b a n k s ......... 2,934 00 T o t a l ............................................. 8 48,075 02 Valentine. Capital stock paid in ...................... 8 20,000 00 Surplus fu n d ............................................................ U ndivided p r o fits ................................ 1,90811 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................................................... 19,54910 Demand certificates of d ep osit .. 3,375 95 T im e certificates of d e p o s it ....... 3,241 86 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and p rivate banks and b a n k e rs.................................. N o tes and b ills r e d isc o u n te d __ B ills payable .................................... T o ta l............................................... 8 48,075 02 The Cherry County Bank. C harter No. 429. Owners E . Sparks, J . A . Sparks ST A T E M E N T , D ECEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. 5 L oans and d isc o u n ts...................... 8 58,061 51 O verdrafts, secured and u n se 1,127 67 c u red ........ ....................................... Stock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... 152 00 Other a sse ts, revenue stam ps — B anking house, furniture and fix 5,000 00 tu r e s .............................. .................... Other real e s t a te .............................. "89133 Current exp en ses and ta x e s paid P rem ium on U . S. and other bonds and s e c u r it ie s .................. C hecks and other cash item s — D ue from national, sta te and 14,843 16 private banks and b a n k e r s ___ 4,775 80 T o ta l cash on h a n d ........................ 8 84.851 47 T otal » https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Capital stock paid in ...................... Surplus f u n d ..................................... U ndivided p r o f it s ............................ D ividends un paid.............................. Individual dep osits subject to c h e c k .........................................: • Dem and certificates of d e p o s it.. T im e certificates of d e p o s it ....... Certified c h e ck s............................ C ashier’s checks outstan ding — D ue to nation al b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o te s and b ills rediscounted . .. B ills p a y a b le................. i .................. T otal 15,000 00 1.000 00 2,515 27 39,219 14 13,806 54 13,310 52 8 84.851 4i E IG H T H 214 Valentine. ANNUAE REPO RT OF TH E The B ank of Valentine. C harter No. 430. C. H . C ornell............................................................... *.................................i . . . . . . . . . ......................Owner ST A T E M E N T , D E CE M B ER 2. 1899, RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts...................... S 44,096 97 Overdrafts, secured and unse cured ................................................. 1,277 79 S tock s, secu rities, w arrants, e t c ...................................................... 572 29 B on d s........................................................................... Other a ssets, revenue sta m p s __ 190 00 B ankin g house, furniture and fix tu r e s............................................. 2,135 00 O ther real e s t a te .............................. 540 30 Current exp en ses and ta x es paid ................. P rem ium on IT. S. and other bonds and secu rities ............... ................. C hecks and other cash ite m s ___ 55 95 D ue from national b a n k s ............. 19,902 61 T otal cash on h a n d .......................... 4,953 86 C apital sto c k paid in ...................... $ 6,000 00 Surplus f u n d ............................................................ U ndivided p r o fits............................ 669 09 D ividends unpaid .................................................. Individ ual dep osits subject to c h e c k ..... 54,463 61 Dem and certificates of d e p o sit.. 3,102 59 T im e certificates of d e p o s it....... 9,489 48 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ........................ D ue to national b a n k s ..... ............................ ... Due to sta te and p rivate banks and b a n k e r s .......................... ................ N o tes and b ills r e d isc o u n te d ............. B ills p a y a b le ............................................. T o t a l ............................................. $ 73,724 77 T o t a l ............................................. $ 73,724 77 Valley. The V alley State Bank. Charter N o. 526. C. I . R o g e rs........P re sid e n t A. H . N o r to n ........ V ic e -P r e s. F . C. K e n n ed y ........ C ashier ST A T E M E N T , D E C E M B E R 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and discounts .................... $ 17,669 37 Overdrafts, secured and u n se cured ....................................................................... S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s ....................................... ................ B anking house, fu rn iture and f i x t u r e s .................................................................. w Other o u c i real i c a i ceosLti caiitt e c ;.................................................................................................... ................................................... . Current ex p en ses and ta x es paid 645 54 P rem iu m on U. S. and other bonds and s e c u r itie s......................................... C hecks and other cash item s . . 25 00 Due from national, sta te and pri va te banks and bankers ........... 3,582 55 T o ta l cash on h a n d .......................... 1,742 04 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 23,664 10 C apital sto ck paid i n ...................... $ 5,000 00 Surplus fu n d ............................................ U ndivided p r o fits............................ 716 71 D ividends u n p a id ........... ............................. . . . . Individ ual dep osits subject to c h e c k ................................................ 14,439 19 D em and certificates of d e p o sit.. 228 20 T im e certificates of d e p o s it... . 3,280 00 Certified c h e c k s .......................................... i.......... C ashier’s checks o u tsta n d in g ............................ D ue to national b a n k s .................. ......... . . D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills r ed isc o u n te d ... B ills p a y a b le ..................................... T otal $ 23,664 10 SE C R ET A R Y Valparaiso. OF TH E STATE B A N K IN G BOARD, 2 1 5 The Oak Creek Valley Bank. C harter No. 522. F . J . K irch m a n ___P r e s. J. J. J o h n so n ..........V ice-P res. Ju l P e te r m ie h e l.........C ashier ST A T E M E N T , D EC E M B ER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 58,544 13 Overdrafts, secured and u n se cured .................................................. 126 32 Stock s, secu rities, judgm ents. claim s, e tc .............................................................. Bonds ................................................ . ................. Other a ssets,reven u e stam ps ... 86. Oil Banking house, fu rn iture and fixtures ........................................... 985 00 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid. 2,229 93 P rem ium on U. S. and other bonds and s e c u r itie s .......................... .............. Checks and other cash ite m s __ 242 68 D ue from national, sta te and pri v a te banks and b a n k e rs............. 5,802 98 T o ta l cash on h a n d .......................... 2,380 73 T otal ............................................. 8 70,397 77 Verdigre. Capital sto ck paid i n ...................... 8 10,000 00 Surplus fund ............................................................ U ndivided p r o fits.............. 2,926 50 D ividends u n p a id .................................................... Individual d ep osits subject to c h e ck .................................. 24,612 72 Dem and certificates of dep osit .. 10,039 17 Tim e certificates of deposit . . . . 17,819 38 Certified c h e ck s.......................... , ....................... C ashier’s ch eck s o u tsta n d in g ............................ Due to national b a n k s ........................................... Due to sta te and private banks and b a n k e r s .............................. .......................... N o tes and b ills r e d isc o u n te d .......................... B ills p a y a b le ...................................... 5,000 00 T otal ............................................. $ 70,397 77 The B ank of Verdigre. Charter No. 541. R obt. M. P e y to n ................................. P resid en t | B . S . L o n g ................................................. C ashier y ST A T E M E N T , D E CEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d isc o u n ts.................... 8 3,102 25 O verdrafts, secured and u n se cured ........................................................................ S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s........................................................................... Other a s s e t s ............................................................. B anking house, furniture and f ix t u r e s ............................................. 1,250 00 Other real e s t a te .................................................. Current ex p en ses and ta x es paid 208 08 P rem iu m on U. S. and other bonds and secu rities ......................................... C hecks and other cash ite m s ............................ D ue from national, sta te and pri v a te banks and b a n k ers............. 6,70149 T otal cash on h a n d .......................... 1,177 55 Capital sto ck paid i n ...................... 8 5,00f 00 Surplus fu n d .......................................................... U ndivided p r o fits.............................. 364 55 D ividends u n p a id ................................................... Individual d ep osits subject to check ........... 6,975 82 Dem and certificates of d ep o sit.. 100 0C T im e certificates of d e p o s it............................... Certified c h e c k s...................................................... C ashier’s checks o u tsta n d in g ............................ Due to national b a n k s........................................... Due to sta te and private banks and b a n k ers.......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le .......... ....................................... — T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 12,440 37 T otal 8 12,440 37 2 1 6 E IG H T H Verdon. ANNUAL REPO RT OF THE The Verdon State Bank. Charter No. 433. J . H . H a ll......... P resid en t W . W . P a r s o n s .......... V ic e-P r e s. G. E . H a ll.......... Cashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 43,202 01 O verdrafts, secured and u n se cured ................................................ 353,01 S to ck s, secu rities, judgm ents, claim s, e t c ........... ........................... 725 00 B o n d s........................................................................... Other a s s e ts ............................................... . . . . . . F u rn iture and fix tu r e s .................. i,408 72 Other real e s t a t e ....................................... . Current ex p en ses and ta x e s paid 763 77 P rem ium on U. S. and other bonds and s e c u r itie s ........................................... C hecks and other cash it e m s 28 75 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 1,665 24 T o ta l cash on h an d.......................... 2,639 53 C apital stock paid in .................... $ 10.500 00 Surplus f u n d ..................................... 1,500 00 U ndivided p r o f it s .......................... 1.835 82 ........... D ividends u n p a id ............................ Individ ual d ep osits subject to c h e c k ..................................‘............. 26,429 73 Dem and certificates of d e p o s it.. 527 50 T im e certificates of d e p o s it ....... 7,992 98 Certified check s ................................................. C ashier’s check s ou tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and p rivate banks and b a n k e rs.......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... 2,000 00 T o ta l.............................................. Vesta. 8 50,786 03 T o t a l ............................................. 8 50,786 03 The Exchange Bank. C harter No. 434. D. R . O str a n d e r .... P resid en t O. A . B a ile y .... V ice-P res. L . R. B a ile y . . . . C ashier v. ST A T E M E N T , D E C E M B E R 2, 1899. RESO U R C E S. L oans and d isc o u n ts...................... $ 14,647 75 O verdrafts, secured and u n se cured ................................................ 76 57 Stock s, secu rities, judgm ents, cla im s^ etc. .'................................ 23 49 B o n d s........................................................................... Other a s s e t s .......................................................... [ ’ B anking house, furn iture and fixtures ...................................... 1,400 00 Other real e s t a t e ............................ Current ex p en ses and ta x es paid 289 77 P rem iu m on U. S. and other bonds and s e c u r itie s .................. C hecks and other cash i t e m s __ ' 35280 D ue from national, sta te and pri v a te banks and b a n k e rs............. 1,162 28 T o ta l cash on h a n d .......................... 1.837 82 T otal $ 19,790 48 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Capital stock paid in ...................... 8 5,000 00 Surplus fund ................................ 124 00 U ndivided p r o fits........................ 455 58 D ividends unpaid .................. ............................. Individ ual d ep osits su b ject to c h e c k .... .................................. 13.620 90 Dem and certificates of deposit... 590 00 T im e certificates of d e p o s it.............................. Certified checks .................. .......................... C ashier's check s o u tsta n d in g ............................ D ue to nation al b a n k s......... .............. .. . . . . . . . . D ue to sta te and private banks and b a n k e rs.................................................. N o tes and b ills red iscou n ted ................... B ills p a y a b le .................................................. ; ___ T otal 8 19,790 48 SEC R ET A R Y Waco. OF THE STA T E B A N K IN G BOARD. 2 1 7 The F armers and Traders Bank. Charter No. 436. G eo. W . P o s t __ P resid en t E . J . W ig h tin a n ___ V ice-P res. L. R. B ic k le y ___C ashier ST A T E M E N T , DECEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d is c o u n ts ...................... $ 19,002 27 Overdrafts, secured and u n se cu red ......................................................... 267 52 S tock s, secu rities, judgm ents, claim s, e tc .............................................................. B onds ........................................................................ Other a s s e t s ........................................................... . B anking house, furniture and fix t u r e s ............................................ 1,660 00 Other real e s t a t e .................................................... Current exp en ses and ta x e s paid 468 53 P rem iu m on U. S. and other bonds and s e c u r itie s .................... C hecks and other cash ite m s ....... Due from national, sta te and p ri 5,777 76 va te banks and b a n k ers............. T otal cash on h a n d .......................... 786 54 T o ta l.............................................. 8 27,971 62 Wahoo. Capital stock paid in ...................... 8 5.000 00 1,000 00 Surplus f u n d ...............»..................... 1,089 49 U ndivided p r o fits............................ uividends un p aid .............................. Individual dep osits subject to 9,899 60 check ................................................ 5.199 32 D em and certificates of d e p o s it... 5,783 21 T im e certificates of d e p o s it......... Certified c h e c k s ................................ C ashier’s checks outstan ding — Due to national b a n k s ................... Due to sta te and private banks and b a n k e r s ................................... N otes and b ills red iscou n ted ....... B ills p a y a b le ..................................... 8 27,971 62 Total The Citizens State Bank. Charter No. 437. E. E. L y le ..... P resid en t H enry H a s tin g s ..,. ..V ic e -P r e s. C. A. C o llin s..........Cashier ST A T EM E N T, D E CEM BER 2, 1899. L IA B IL IT IE S . RESO U R C E S. L oans and discounts ...................... 8 64,686 05 O verdrafts, secured and u n se cured ....... 1,351 97 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 866 13 Bonds, ta x title c er tific a te s......... 145 99 Other assets, revenue sta m p s — 5500 B anking hous'e, fu rn iture and fixtures ........................................... 1,358 60 Other real e sta te .................................................. Current exp en ses and ta x e s paid 3,193 36 P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and other cash ite m s .. 2,164 10 D ue from national, sta te and p ri va te banks and b a n k ers............. 9,536 27 T o ta l cash on h a n d .......................... 5.608 41 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 88,965 88 C apital stock paid i n ...................... 8 20,000 00 Surplus fund .................................................... U ndivided p r o f it s ............................ 4,678 85 D ividends u n p aid .................................................... Individual dep osits subject to c h e c k ........................................... .. 37,804 38 Dem and certificates of deposit . 15 00 26,467 65 T im e certificates of d e p o s it......... Certified c h e ck s........... ............................. ............ C ashier’s checks outstan ding — Due to n ational b a n k s ................... Due to sta te and p rivate banks and b a n k e r s ............. ................. N otes and b ills r e d isc o u n te d ___ B ills p a y a b le ..................................... T otal $ 88,965 88 2i 8 E IG H T H Wakefield. ANNUAL REPO RT OF THE The W akefield State Bank. Charter No. 438. W . P . M a n ley....... P resid en t L ev i K im b a ll...........C ashier O. J . E llis .......... A ss’t Cashier ST A T E M E N T . D EC E M B ER 2. 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 78,658 34 O verdrafts, secured and u n se cu red ................................................... 128 90 S to ck s, secu rities, judgm ents, claim s, etc ............................................................ Other a sse ts, docum entary sta m p s ............................................... 243 64 B ankin g house, furniture and f ix t u r e s ............................................ 4,037 87 Other real esta te .............................. 3,400 00 Current ex p en ses and ta x e s paid 1,043 83 P rem iu m s on U. S. and other bonds and secu rities ..................................... C hecks and other cash ite m s . . . 48 04 D ue from national, sta te and p ri v a te banks and b a n k e rs............. 8,345 58 T otal cash on h a n d .......................... 3,010 24 C apital stock paid in ....................... $ 35,000 00 3,000 00 Surplus f u n d ..................................... U ndivided profits ............ 3,531 49 D ividends unpaid ................................................ Individ ual dep osits subject to c h e c k .................................................... 16,26716 D em and certificates of deposit .. 6,878 96 26,238 83 T im e certificates of d e p o s it ....... Certified c h e c k s ...................................................... C ashier's check s o u tsta n d in g ............................ D ue to national b a n k s .........................■............... D ue to sta te and private banks and b a n k e r s ........................................................ . N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... 8,000 00 T o ta l............................................... $ 98,916 44 T otal ......... .................................. $ 98,916 44 Wakefield. The Farm ers and Traders Bank. Charter No. 439. John D . H a s k e ll............................... P resid en t | D. M a th ew son ..........................................C ashier ST A T E M E N T , D EC E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d isc o u n ts...................... $127,995 12 Overdrafts, secured and u n se cured ................................................. 258 93 S to ck s, secu rities judgm ents, claim s, e t c ....................................... B o n d s .................................................... O ther a s s e t s ....................................... B ankin g house, fu rn iture and fixtures .............•................. ■.......... 3,448 44 Other real e s t a t e .............................. Current exp en ses and ta x es paid Prem iu m on U. S. and other bonds and s e c u r it ie s ................... C hecks and other cash ite m s . . . . D ue from national, sta te and pri va te banks and bankers ........... 8,977 80 T o ta l cash on h a n d .......................... 3.392 27 Capital stock paid in ...................... $ 40,000 00 Surplus fund ................................. 10,000 00 U ndivided p r o f it s ............................... 19,35823 D ividends u n p a id .................................................. Individ ual deposits subject to c h e c k .................................................... 28,75143 Dem and certificates of deposit . 4,688 94 T im e certificates of d e p o s it ........ 26,273 96 Certified c h e c k s ...................................................... C ashier’s checks o u tsta n d in g ..... ................. JAue U.L to LA/ IICl UILiiiCbl banks UCb LIIA.'S . .............................. ................................... D national D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... 15,000 00 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $144,072 56 T otal $144,072 56 SEC R ETA R Y Wauneta. OF T H E STATE B A N K IN G BOARD. 2 1 9 The W auneta Falls Bank. Charter No. 443. J . A . S h a w ............................................ P resid en t 1 P . T .D im ic k ..............................................C ashier ST A T E M E N T , D E CEM BER 2, 1899. RESO U R C ES. L IA B IL IT IE S . L oans and d is c o u n ts ......... ............. $ 7,015 18 O verdrafts, secured and u n se cured ......................................................................... S tock s, secu rities, judgm ents, claim s, e t c ........................................................... B o n d s .. .... .................................................................. Other a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ..................................... . 1,437 40 Other real e s t a t e .................................................... Current ex p en ses and ta x es paid 74 80 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash item s . .. 175 20 D ue from national, sta te and 3,836 44 private banks and b a n k e r s ___ T otal cash on h a n d .......................... 2,004 65 Capital stock paid in ...................... $ 6.600 00 Surplus f u n d ............................................................ 915 84 U ndivided p r o f it s .......................... D ividends u n p a id .................................................. Individual dep osits subject to check ................................................. 6,827 83 Demand certificates of dep osit .. 200 00 T im e certificates of d e p o s i t .............................. Certified checks ................. .......................... C a sh ie i’s checks o u ts ta n d in g .......................... Due to national b a n k s ......................................... D ue to sta te and p rivate banks and bankers ........................................................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le............................................................. T o ta l.............................................. Wausa. 8 14,543 67 T o ta l.............................................. $ 14,543 67 The Farm ers State Bank. Charter No. 444. P h il M itch ell..............................President I J. E . B a h n so n ......................C ashier E . W . H u r s t..............................V ice-P resid en t | T. A. A n th o n y ..................... A ssista n t C ashier ST A T EM E N T, D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... 8 98,730 13 Overdrafts, secured and u n se cured ..................................... 4,698 53 Stock s, secu rities, judgm ents, claim s, e t c ........................................................... . B onds ......................................................................... Other a ssets, revenue stam ps. . 240 00 B anking house, fu rn iture and fix t u r e s ............................................. 2.386 39 Other real e s t a te .............................. 6.915 16 Current ex p en ses and ta x e s paid 720 49 P rem iu m on U. S. and other bonds and s e c u r itie s .......................................... Internal rev e n u e .............................. 604 98 D ue from national, sta te and pri v a te banks and b a n k ers.. .•........ 10,926 19 Cash and sig h t e x ch a n g e............. 4,308 16 C apital stock paid in ...................... 8 20,000 00 Surplus f u n d ........................................................... U ndivided profits ............................ 12,134 82 D ividends u n p a id .................................................. Individual dep osits su b ject to c h e c k ................................................ 25,164 76 Demand certificates of d e p o sit.. 1,788 10 T im e certificates of d e p o s it......... 63,942 35 Certified c h e c k s .............................................. — C ashier’s checks o u tsta n d in g .................... — D ue to national b a n k s......................................... D ue to sta te and private banks and bankers .................................................. N o tes and b ills rediscounted ... ... B ills p a y a b le .................................... 6,500 00 T o ta l............................................... 8129,530 03 T o ta l............................................... 8129,530 03 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 220 Wausa. E IG H T H ANNUAL REPO RT OF TH E The Commercial Bank. Charter No. 445. Ed R e n a r d ............... ............. P resid en t ) G. H. R enard....................... Cashier A. R en a rd .................................. V ice-P resid en t | Chas. C ook............................. A ssista n t Cashier ST A T EM E N T, D EC E M B ER 2, 1899 RESO U R C ES. L oans and d isc o u n ts......................... Overdrafts, secured and u n se cured ............. ..................................... Stock s, secu rities, judgm ents, claim s, e t c ....................................... Bonds .................................................. Other a ssets .............................. B ankin g house, furniture and fixtures ........................................... Other real e s t a t e ......... .................... Current exp en ses and ta x e s paid P rem iu m on U . S. and other bonds and s e c u r it ie s ................... C hecks and other cash ite m s ....... D ue from national, sta te and p ri v a te hanks and b a n k e rs............. T o ta l cash on h a n d .......................... L IA B IL IT IE S . 320 00 4,366 51 3,497 05 T otal ............................................. 8130,790 70 Waverly. C apital stock paid in ...................... $ 15.000 00 Surplus fund 1,500 00 U ndivided p r o fits............................ 15,801 36 D ividends unpaid ............................ Individual d ep osits subject to check ................................................. 12,197 98 46,229 71 Demand certificates of d e p o s it... 29,713 93 T im e certificates of d e p o sit......... Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ Due to national b a n k s ........................................... D ue to sta te and private banks and b a n k e rs.......................................................... N o tes and b ills r e d isc o u n te d 8,347 72 B ills p a y a b le ..................................... 2,000 00 T otal ............................................. $130,790 70 The Bank of W averly. C harter No. 446. N . H . M eeker....................................... P resid en t 1 T J . B e a le ......................................... ST A T E M E N T , D E C E M B ER 2, 1899. R ESO U RCES. L oans and d isco u n ts...................... $ 20,821 49 O verdrafts, secured and u n se cured ................................................ S tock s, secu rities, judgm ents, claim s, e t c ............................................................. Bonds . ’ ................................................................... Other assets, grain a c c t................. 4,009 00 B anking house, fu rn iture and fixtures ............................................. 1,500 00 o th e r real e s t a t e .............................. Current exp en ses and taxes paid 558 60 P rem iu m on U. S. and other bonds and s e c u r it ie s ................... Checks and other cash item s ...................... D ue from national, sta te and pri19,529 72 T otal cash on h a n d . 3.135 58 T o ta l................... 49.554 39 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . Surplus fund ...................................... D ividends u n p a id ........................ . Individ ual deposits subject to $ 5,000 00 2.000 00 1,841 60 Dem and certificates of deposit .. T im e certificates of d e p o s it......... 25,495 86 9,531 26 5,677 81 C ashier’s checks o u tstan d in g ___ Due to national b a n k s..... ............... D ue to sta te and private banks 7 86 N o tes and b ills red iscou n ted .............................. B ills p a y a b le .......................................................... T o tal. $ 49,554 39 SEC RETA RY Way ne. OF »TH E S T A T E B A N K IN G BOARD. 221 The Citizens Bank. Charter No. 447. A . L . T u ck er___P resid en t D . C. M ain___ Cashier G . E. F r e n c h ___ A ssista n t C ashier ST A T EM E N T, D ECEM BER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oans and d isc o u n ts...................... 8171,014 58 O verdrafts, secured and u n se cured .................................................. 4,036 38 S tock s, secu rities, judgm ents, claim s, e t c ............................................................. B o n d s.......................................................................... Other assets, revenue stam ps . .. 61 00 B ankin g house, furniture and fixtu res ........................................... 8,000 00 Other real e s t a te .............................. 7,300 00 Current exp en ses and ta x es paid 893 70 P rem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s — 716 57 Due from national, sta te and pri vate banks and b a n k ers............. 18,3(4 55 T otal cash on h a n d .......................... 6,696 20 T o ta l............................................... 8217,035 98 Way ne. C apital sto ck paid i n ...................... 8 75,000 00 Surplus fund . . ..................................... 15,00000 8,044 57 U ndivided p r o f it s ............................ D ividends u n p a id ..... .................................. Individ ual d ep o sits subject to c h e c k .................................................... 61,45152 Demand certificates of d e p o s it........................ T im e certificates of d e p o sit........ 57.539 89 Certified c h e c k s ............................... C ashier's checks o u tsta n d in g __ D ue to n ational b a n k s ................... D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red isco u n ted __ B ills p a y a b le ..................................... T o t a l ............................................. $217,035 98 The State B ank of W ayne. Charter No. 448. H enry L e y ......... P resid en t C. A. Chase H. B. J o n e s .........C ashier V ice-P resid en t ST A T E M E N T , D EC E M B ER 2, 1899. R E SO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... $ 64.485 17 Overdrafts, secured and u n se cured ................................................ 796 05 Stock s, secu rities, judgm ents, claim s, e t c .......................................................... B o n d s.......................................................................... Other assets, revenue stam ps ... 89 00 B anking house, furniture and fix t u r e s ............................................. 7.617 25 Other real e s t a t e ... 3,134 93 Current ex p en ses and ta xes paid 940 33 P rem iu m on U. S and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash it e m s ___ 44 20 D ue from national, sta te and p rivate banks and b a n k e r s __ 7,549 84 T otal cash on h a n d .......................... 6,595 36 C apital sto ck paid in ........... ........ $ 30,000 00 Surplus f u n d ..................................... 1,150 00 U ndivided p r o f it s ............................ 1,908 45 D ividends u n p a id .......................... 6 00 Individual dep osits subject to c h e c k ................................................ 38,015 82 D em and certificates of d e p o s it ........................ T im e certificates of dep osit . .. . 18,471 86 Certified c h e c k s ...................................................... C ashier’s checks ou tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and private banks and b a n k e r s .......................................................... N o tes and b ills r e d isc o u n te d ............................ B ills p a y a b le ..................................... 2,000 00 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 91,552 13 T otal $ 91,552 13 222 E IG H T H Weeping Water. ANNUAL REPO RT OF TH E The Farm ers Tank. C harter No. 495. Geo. W . A d a m s........................ P resid en t I Jno. A . D o n e la n ...............C ashier Jacob D o m in g o .......................V ic e -P r e sid e n t | C. W . B i s k ........................... A ssista n t Cashier ST A T EM E N T, D E CEM BER 2, 1S99. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts................... $ 37,591 38 Overdrafts, secured and u n se 2,990 22 cured .................................................. Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ......................................................................... Other a ssets, revenue stam ps ... 20 94 B ankin g house, fu rn iture and fix t u r e s ............................................. 3,000 00 Other real e s t a te .................................................... Current ex p en ses and ta x es paid ................. P rem ium on U . S. and other bonds and s e c u r it ie s ......................................... 26 08 C hecks and other cash item s __ Due from national, sta te and p r i v a te banks and b a n k e rs............. 5,648 76 T o ta l cash on h a n d .......................... 1,513 14 T o ta l............................................. Western. $ 50,790 52 C apital stock paid i n .................... $ 10,000 00 Surplus fu n d ..................................... 3,500 00 Undivided p r o fits............................ 40 48 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k ................................................ 22,441 55 Dem and certificates of d e p o sit.. 14,357 74 T im e certificates of d e p o sit............................... Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... D ue to sta te and private ban k s and bankers . .................................. 450 75 N o tes and b ills red iscou n ted .............................. B ills p a y a b le ........... ............................................... T o ta l.............................................. * 50,790 52 The Saline County Bank. Charter No. 450. G eo. F . S a w y e r .. .P r esid e n t J. F. B la n d in __ V ice-P resid en t Frank Z a b e l___ C ashier ST A T EM E N T, D E C E M B ER 2, 1899. RESO U RCES. L IA B IL IT IE S . L oans and d is c o u n ts ...................... * 58,876 48 Overdrafts, secured and u n se cured...... ................................ 1,532 05 S tock s, secu rities, judgm ents, claim s, e t c .............................................................. B o n d s........................................................................... Other a s s e t s ....................................... 2,613 62 B ankin g house, furniture and fixtures ........................................... 6,537 05 O ther real e s t a t e ................................. 1,892 13 Current ex p en ses and ta x e s paid 1,056,95 P rem ium on U. S. and other bonds and secu rities ....................................... C hecks and other cash item s . . . . ................. D ue from national, sta te and p rivate banks and b a n k e r s __ 7,320 59 T o ta l cash on h a n d .......................... 2,973 14 Capital stock paid in ...................... $ 30,000 00 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis * 82,802 01 Surplus fund .............................. 3,300 00 U ndivided p r o f it s ............................ 3,013 27 D ividends unpaid ................................................. Individ ual dep osits subject to c h e c k ................................................. 13,600 81 D em and certificates of deposit .. 8>95 88 T im e certificates of d e p o sit.......... 23,992 05 Certified c h e c k s ...................................................... C ashier's checks o u tsta n d in g ............................ D ue to national b a n k s........................................... D ue to sta te and private banks and b a n k e r s ............................ ............................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le ................. ........................................ T otal $ 82,802 01 E IG H T H Weston. ANNUAL REPO RT OF T H E 2 2 3 The W eston Bank. Charter No. 452. C has. P e r k e y ....... P resid en t H . F . B lu n k ........ V ice-P res. Frank K o n d ele ........ C ashier ST A T EM E N T, D E C E M B ER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 31,491 64 Overdrafts, secured and u n se cured .................................................. 527 79 Stock s, secu rities, judgm ents, claim s, e t c ....................................... 1,046 45 B onds ......................................................................... Other a s s e t s ... ...................................................... B anking house, furniture and fix t u r e s ............................................. 2,702 90 Other real e s t a t e .................................................. Current exp en ses and ta x e s paid 845 82 P rem ium on U . S. and other bonds and s e c u r it ie s ....................................... C hecks and other cash ite m s __ 19 93 D ue from national, sta te and p ri v a te han ks and b a n k e rs........... 13,15436 T otal cash on h a n d .......................... 3,763 36 T o ta l.............................................. $ 53,552 25 Capital stock paid in ...................... $ 12,000 00 352 00 Surplus fu n d ....................................... U ndivided p r o fits............................ 1,078 80 D ividends u n p a id .................................................... Individ ual d ep osits subject to c h e c k ................................................ 19,502 47 Dem and certificates ofd e p o sit,. 10,618 88 10,000 00 T im e certificates of d e p o s it....... Certified c h e c k s ................................ 40,121 35 C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and p rivate banks and b a n k ers.......................................................... N o tes and b ills red iscou n ted .......................... B ills p a y a b le ............................................................ West Point. T o ta l.............................................. $ 53,552 25 The N ebraska State Bank. C harter No. 453. R . F . K lo k e ....... P resid en t J. L . B a k e r ........ V ice-P resid en t L. R o se n th a l........ C ashier t ST A T EM E N T, D E CEM BER 2, 1899. R E SO U R C E S. L oans and d isc o u n ts...................... $142,453 28 O verdrafts, secured and u n se 689 82 cu red .................................................. S tock s, secu rities, judgm ents, claim s, e t c ....................................... 1,800 00 B o n d s.................................................... 136 00 Other a s s e t s ............................................................. B ankin g house, fu rn iture and fixtures ................................... .. 1, 00 00 Other real e s t a t e .............................. 8,228 0 0 Current ex p en ses and ta x e s paid 14 00 P rem iu m on U . S.a and other bonds and s e c u r it ie s ......................................... C hecks and other cash ite m s __ 2,303 40 D ue from national, sta te and pri v a te banks and b a n k e r s ........... 10,904 89 T otal cash on h a n d .......................... 10.782 80 T o ta l............................................... $178,612 19 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L IA B IL IT IE S . C apital stock paid i n ...................... $ 30,000 00 Surplus f u n d ..................................... 10,000 ()0 U ndivided p r o f it s ............................ 1,725 07 D ividends u n p a id .................................................. Individ ual d ep osits subject to check .......................... 57,984 30 Dem and certificates of d e p o sit.. 5,504 80 T im e certificates of d e p o s it......... 67,340 47 Certified check s .......................................... C ashier’s checks o u tsta n d in g ___ 57 55 Due to national b a n k s........................................... D ue to sta te and p rivate hanks and hankers ........................................................ N o tes and b ills red iscou n ted .............................. B ills p a y a b le................ 6,000 00 T o t a l ................................... ' ..... $178,612 19 * SEC R ETA R Y 2 2 4 Wilber. OF THE ST A T E B A N K IN G BOARD. The Blue Valley Bank. Chgj-ter No. 454. H. G u n d ............. E . E . M cG intie P resid en t V i ce-P resid en t C ashier . A ssista n t C ashier E B a lla r d ... A nton S a g l... ST A T E M E N T , D E C E M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts.......................$ 49,393 47 O verdrafts, secured and u n se cured ................................................. 1,505 77 S tock s, secu rities, judgm ents, claim s, e t c ....................................... 2,618 95 Bonds ......................................................................... Other a s s e ts ,............................................................. B ankin g house, fu rn iture and fixtures ......................................... 7,293 96 Other real e sta te (farm) ........... 5,063 53 Current ex p en ses and ta x e s paid 366 12 P rem ium on U. S. and other bonds and s e c u r it i e s ....... ........... 49 60 Checks and other cash ite m s ....... 3,834 15 D ue from national, sta te and pri v a te banks and b a n k e rs............. 7,253 27 T o ta l cash on h a n d ........................ 3,266 69 T o ta l.............................................. Wilber. $ 80,645 51 C apital stock paid i n ..................... $ 30,000 00 Surplus fu n d ..................................... 550 96 471 75 U ndivided p r o fits ............................ D ividends u n p a id .................................................. Individ ual d ep osits subject to cheek ................................................. 31*978 80 Demand certificates of d e p o s it ... 3,29000 13,525 22 Tim e certificates of d e p o s it......... Certified c h e c k s ............................... ................. C ashier’s check s o u tsta n d in g ............................ D ue to national banks (overdraft) 828 78 Due to sta te and private banks and b a n k e rs................................... N o tes and b ills red iscou n ted ....... B ills p a y a b le ....................................... T otal ............................................. $ 80,645 51 The State B ank of W ilber. Charter No. 455. D. B . C ropsey......... P resid en t C. D u r a s.......... V ice-P resid en t P . F . G a y .......... C ashier ST A T E M E N T , D E C E M B ER 2, 1899. R E SO U R C E S. , L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 59,377 24 Overdrafts, secured and u n se cu red .......................................... 671 70 S to ck s, secu rities, judgm ents, claim s, e t c ........... ........................... 1.533 02 B o n d s........................................................................... Other a ssets, revenue sta m p s ... 290 00 B ankin g house, fu rn iture and fixtures ............................... 1,900 00 Other real e s t a t e ...................... 3,925 14 Current ex p en ses and ta x es paid 1,325 74 P rem iu m on IT. S. and other bonds and s e c u r itie s .................... ................. C hecks and oth er cash item s . . 1,152 30 D ue from national, sta te and pri v a te banks and b a n k e rs............. 19,086 09 C a s h ...................................................... 4.958 66 C apital stock paid in ...................... 8 25,000 00 Surplus fu n d ....................................... 25 00 U ndivided p r o fits................ 1,806 57 D ividends u n p a id ......................................... ...... Individual d ep osits subject to check ........................................... 34,974 92 D em and certificates of d e p o sit.. 32,413 40 T im e certificates-of d e p o s it........................ Certified c h e c k s................................ ................. C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and private banks and b a n k e r s ................................... N o tes and b ills r e d isc o u n te d __ B ills p a y a b le .............................. .. .... T o t a l . . . , ....................................... $ 94,219 89 T o t a l ............................................. 8 94,219 89 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SE C R ET A R Y Wilcox. OF THE ST A T E B A N K IN G BOARD, 225 The State Bank. Charter No. 456. * J . W . D o la n ....... P resid en t J . E . S e e le y .. ..V ic e -P r e s . _ Jno. J. L am born........ Cashier ST A T EM E N T. D E CEM BER 2. 1899 L IA B IL IT IE S . RESO U R C E S. L oans and d isc o u n ts...................... $ 14,959 97 O verdrafts, secured and u n se cured ................................................. 268 2 1 S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. S u sp e n se .............................................. 7 61 O ther a s s e t s ..................................... 133 83 B anking house, fu rn iture and fix tures .................................................. 261 0 0 Other real e s t a t e .................................................... Current exp en ses and ta x es paid 391 06 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash i t e m s ............................ D ue from national, sta te and p ri va te banks and b a n k e r s ........... 7.284 58 C ash on hand and in b a n k s ......... 5,206 58 T o t a l ............................................. $ 28,512 84 Wiisonville. Capital sto ck paid in ...................... $ 5,000 00 Surplus fu n d ............. 1,000 00 U ndivided p r o fits ................................. 1,44124 D ividends u n p a id .................................................. Individual d ep osits subject to c h e c k .................................. 19,638 05 D em and certificates of dep osit .. 1,428 09 T im e certificates of d e p o s it .............................. Certified c h e c k s......................................... t .......... C ashier’s check s o u tsta n d in g ............................ D ue to national b a n k s ......................................... Due to sta te and p rivate banks and b a n k e rs..... .................................................... Recording, e t c .................................. 5 46 B ills payable — \ ................................................. . T o ta l.............................................. <ü 28,512 84 The W iisonville Bank. C harter No. 507. Owners C. E . P eirce, P . M. P eirce ST A T E M E N T , D E CEM BER 2, 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts...................... $ 25,164 92 O verdrafts, secured and u n se c u red .................................................. 14 19 S tock s, secu rities, judgm ents, claim s, e t c ....................................... B o n d s.................................................... Other a s s e ts ....................................... B ankin g house, furniture and fix tu r e s .................................................. 600 0 0 Other real e s t a te .................................................... Current exp en ses and ta x e s paid 547 79 Prem ium on U . S. and other bonds and s e c u r it ie s ......................................... C hecks and other cash item s — 3,350 95 D ue from national, sta te and private banks and b a n k e r s 1,258 85 T ota l cash on h a n d ..... ......... ......... 2,374 50 Capital stock paid in ...................... $ 10,000 00 Surplus f u n d ............................................................ U ndivided profits ........... 2,498 55 D ividends un paid.............................. ................. Individual d ep osits subject to 14,874 43 c h e c k ................................................ Dem and certificates of d e p o sit.. 5,534 55 T im e certificates of d e p o s it .............................. Certified c h e c k s...................................................... C ashier’s checks o u t s ta n d in g ........................ D ue to n ational b a n k s ................... 403 67 D ue to sta te and p rivate banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ___ B ills p a y a b le...................................... T o t a l ................. . ..................... $ 33.311 20 T o t a l ............................................. $ 33,311 20 17 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 2Ó E IG H T H Winside. ANNUAL REPO RT OF TH E The M erchants State Bank. C harter N o. 459. t 0 A . T. C hapin. .. P resid en t W . H. M cC lusky. . . . V ice-P res John F. C rosby. . . . C ashier ST A T EM E N T, D E CE M B ER 2, 1899. RESO U R C E S. L IA B IL IT IE S . L oans and d isc o u n ts..................... * 54,955 15 O verdrafts, secured and u n se cured .................................................. 33 70 Stock s, secu rities, judgm ents, claim s, e t c .............................................................. B onds ................................................................. ’ ' ’ ’ Other a s s e t s ......................................................... . B anking house, fu rn iture ana fix t u r e s ............................................. 6,217 0 0 Other real e s t a t e ...................................................... Current ex p en ses and ta x es paid 2,042 91 P rem iu m on U. S. and other bonds and s e c u r it ie s ......................................... C hecks and oth er cash i t e m s __ 249 71 D ue from national, sta te and p ri va te banks and b a n k e rs............. 681 13 T o ta l cash on h a n d .......................... 4,689 02 C apital sto ck paid i n .................... $ 25.000 00 Surplus fu n d ..................................... 1,595 00 U ndivided p r o fits............................ 4,787 56 D ividends u n p a id .................................................. Individual dep osits subject to c h e c k ................................................ 26.539 74 D em and certificates ofd e p o sit.. 170 0 0 T im e certificates of d e p o s it......... 10,806 32 Certified c h e c k s ...................................................... C ashier’s check s o u tsta n d in g ............................ Due to national b a n k s ......................................... D ue to sta te and p rivate ban ks and b a n k e r s ................................... N o tes and b ills red iscou n ted . . . . B ills p a y a b le ..................................... $ 68,898 62 T o ta l............................................... $ 68,898 62 T o ta l............................................ Wisner. The Citizens State Bank. Charter No. 461 H enry L e is y ........P resid en t J. H. E m le y ........ C ashier J . W . K in z e l.........V ice-P resid en t ST A T E M E N T , D E C E M B ER 2, 1899. L IA B IL IT IE S . Capital stock paid in ...................... $ 30,000 10,000 Surplus f u n d ..................................... U ndivided p r o f it s ............................ 5,053 D ividends u n p a id ............................................... Individ ual d ep osits subject to c h e c k ................................................. 60,064 96 D em and certificates of deposit .. 464 25 T im e certificates of d e p o sit.......... 54,297 24 Certified c h e c k s ................................ C ashier's checks o u tsta n d in g __ D ue to national b a n k s.................... D ue to sta te and private banks and b a n k e r s ................................... N o tes and b ills red iscou n ted ........ B ills p a y a b le ........... ......................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis SSo RE SO U R C E S. L oans and d is c o u n ts ....................... $114,003 62 Overdrafts,' secured and u n se cu red .................................................. 5 00 S tock s, secu rities, judgm ents, claim s, e t c . .'......................................................... B o n d s........................................................................... Other a s s e t s .................................................. .. B ankin g house, furniture and fixtures ........................................... 6 ,2 0 0 0 0 O ther real e s t a t e .................................................... Current ex p en ses and ta x e s paid 1,063 88 P rem ium on U. S. and other bonds and secu rities .. .................................. C hecks and oth er cash i t e m s __ 3,059 05 D ue from national, sta te and p rivate banks and bankers . . . . 21,385 82 T o ta l cash on h a n d .......................... 14.162 09 T otal $159,879 46 T otal $159,879 46 SEC RETA RY Wood Lake. OF T H E S T A T E B A N K IN G BO ARD , 227 The Wood Lake Bank. C harter No. 462. , % P . C h a n d ler... P resid en t C. A . J o h n so n ___C ashier A . L . J o h n so n ___A ss’t C ashier ST A T EM E N T, D E C E M B ER 2, 1899. RE SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 30,448 02 O verdrafts, secured and u n se 258 33 cu red ................... ............................ S to ck s, secu rities, judgm ents, claim s, e t c .............................................................. B onds .. .................................................................. o th e r a s s e t s ............................................................. B ankin g house, furniture and fix t u r e s ............................................. 1,275 00 O th er real e s t a t e .................................................. C urrent exp en ses and ta x es paid 651 97 P rem iu m on U . S. and other bonds and s e c u r it ie s ............... ; ....................... C hecks and other cash ite m s __ 87 78 D ue from national, sta te and pri vate banks and b a n k e rs........... 15,352 69 T o ta l cash on h a n d .......................... 591 45 Capital stock paid in ...................... $ 9,000 00 Surplus fu n d ....................................... 366 18 1,933 67 U ndivided p r o fits............................ D ividends u n p a id .................................................... Individ ual d ep osits su b ject to 35,155 89 c h e c k ................................................ D em and certificates of d e p o s it........................ T im e certificates of d e p o s it....... 2,209 50 Certified check s .............................. C ashier’s check s o u tsta n d in g __ Due to national b a n k s .................... Due to sta te and p rivate banks and b a n k ers................................... N o tes and b ills red iscou n ted __ B ills p a y a b le ..................................... T o ta l........................ ..................... $ 48,665 24 T o ta l.............................................. $ 48,665 24 Wood River. The Citizens State Bank. C harter No. 463. W . W . M itchell. ...P r e s id e n t Jerry B o w e n __ V ice-P res. W . L. S p ragu e___ C ashier ST A T EM E N T, D E CE M B ER 2, 1899. L IA B IL IT IE S . R E SO U R C E S. L oa n s and d isc o u n ts...................... $ 38,037 19 O verdrafts, secured and u n se cu red ....................................... 1,628 04 S to ck s, secu rities, judgm ents, claim s, e t c ............................ 81 23 B onds ......................................................................... O th er a s s e t s ............................................................. B ankin g house, furniture and fixtures ........................................... 3,335 00 O ther real e s t a t e ................... 771 95 C urrent ex p en ses and ta x es paid 1,357 43 P rem iu m on U . S. and other bonds and s e c u r it ie s ..................................... C hecks and other cash item s ... 341 38 D ue from national, sta te and p ri v a te banks and bankers __ . .. 5,931 77 T o ta l cash on h a n d ............... 3,098 09 T otal https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 54,582 08 C apital stock paid i n ...................... $ 10,000 00 Surplus f u n d ............................................................ U ndivided p r o f it s ............................ 2,187 8 6 D ividends u n p a id ............. ................................. Individual d ep osits subject to c h e c k ................................................ 21,206 41 Demand certificates of d e p o sit........................ T im e certificates of d e p o s it.......... 18,187 81 Certified check s .................................................... C ashier's check s o u tsta n d in g ............................ Due to national b a n k s.......................................... Due to sta te and p rivate banks and bankers ...................................................... N o tes and b ills i-ediscounted.............................. B ills p a y a b le..................................... 3,000 00 T otal $ 54,582 08 228 E IG H T H Ylltan. ANNUAL REPO RT OF TH E The B ank of Y utan. C harter No. 465. A John P e te r s ....... P resid en t O. F . P e te r s ........ V ice-P resid en t H. C. P e te r s ........ C ashier ST A T E M E N T , D E C E M B ER 2. 1899. R E SO U R C E S. L IA B IL IT IE S . L oans and d is c o u n t s ...................... $ 39,533 91 Overdrafts, secured and u n se cured ................................................. 1,689 13 S to ck s, secu rities, judgm ents, claim s, e t c ....................................... 3,417 53 B o n d s.......................................................................... Other a s s e ts ......................., ............ ' ................. B ankin g house, fu rn iture and fix t u r e s ............................................. 2,003 00 O ther real e s t a t e .............................. 2,u00 00 Current exp en ses and ta x es paid 92 92 P rem ium on U. S. and other bonds and s e c u r itie s ........................................... Checks and other cash ite m s ........ 149 50 D ue from national, sta te and pri v a te banks and b a n k ers............. 7,77812 T otal cash on h a n d .......................... 1,551 96 T otal $ 58,216 07 C apital stock paid in ...................... $ 10,000 06 Surplus fu n d ....................................... 395 43 U ndivided p ro fits.............................. 166 46 D ividends u n p aid .................................................... Individual d ep osits subject to c h e c k .................................................. 1 3 , 1 1 0 47 Demand certificates of d e p o s it... 2,089 00 T im e certificates of d e p o sit......... 32,454 72. Certified c h e c k s ...................................................... C ashier’s check s ou tsta n d in g ............................ D ue to n ational b a n k s............................ ;............ D ue to sta te and p rivate banks and b a n k ers.......................................................... N o tes and b ills red iscou n ted ............................ B ills p a y a b le ............................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T otal $ 58,216 07 GENERAL INDEX P age Abstract, State Banks, March 6, 1899............................................... . ........ 4 Abstract, State Banks, June 19, 1899............................................................... 5 Abstract, State Banks, September 11, 1899................................................... 6 Abstract, State Banks, December 2, 1899.............. 7 Abstract, Saving's Banks, December 2, 1899.................................................. 8 Abstract, Incorporated Banks, December 2, 1899........................................ 9 Abstract, Private Banks, December 2, 1899................................................. 10 Abstract, National Banks, December 2, 1899................................................ 13-14 Appropriations...................................................................................................... 24 Banks discontinued............................................................................................... 11 Banks (Private) incorporated.........................*.................................................. 11 Banks reorganized............................................................................ 11 Banks commenced business.................................................................... 12 Decisions (Supreme Court)................................................................................ 22-23 Definition of Bank............................................................................................... 16 Deposits in failed Banks............................... 21 Depositors, protection o f................ 20 E xam in ers.............................................................................................................. 21 15 History of Banking L aw s................ Officers and em ployes.................................................................... 19 Opinion of Attorney General....................................... 17 R ecapitulation.................................................................................................... 12 R ec eiv e rs................................................................................................................ 19 INDEX TO BANKS. A L o c a t io n . N am e. P age. Adams, State Bank o f........................................................................................... Ainsworth, Bank of............................................................................................... Allen, Allen State Bank..................................................................................... Alexandria, State B ank............................ Alliance, Bank o f.............................................................. Alma, Bank o f................................. Ansley, Ansley Banking Company.................................................................... Arapahoe, Arapahoe State Ban/k......................... Arcadia, State Bank................................................... Arlington, Arlington State Bank...................................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 26 26 27 27 28 28 29 29 30 30 230 L o c a t io n . IN D E X . N am e. P age. Ashland, Farmers and Merchants Bank................................ '....................... Ashton, Bank o f....................................................................................................... Atkinson, Gallagher & Co., Bankers................................................................ Auroi’a, Aurora State Bank................................................................................ Avoca, Bank o f...................................................................................................... Axtell, Bank o f...................................................................................................... 31 31 32: 32 33 35 B Bancroft, Bancroft-Bank .................................................................................... Bancroft, Citizens Bank..................................................................................... Barneston, Bank o f............................................................................................... Bartley, State Bank....................................................................................... .. Bassett, State Bank.............................................................................................. Battle Creek, Battle Creek Valley Bank....................................................... Bayard, Bank o f..................................................................................................... Bazile Mills, Bank o f........................................................................................... Beatrice, Union Savings Bank........ ................................................................. Beaver City, First State Bank............................................................................ Beaver Crossing, State Bank.............................................................................. Beemer, Beemer State Bank.................................................................. .......... Beemer, Farmers State Bank............................................................................. Belden, Belden Bank ........................................................................................... Bell wood, Platte Valley State Bank................................................................ Belvidere, State B a n k ......................................................................................... Benedict, Bank o f........................................................................................... *. . . Benkelman, Bank o f ............................................................................................. Bennett, Citizens Bank......................................................................................... Bennington. Mangold & Glandt Bank............................................................... Berlin, Bank o f ......... ............................... ....................................................... Bertrand, First State B a n k ................................................................................ Blair, Banking House of A. Castetter ........................................................... Blair, Blair State B a n k ....................................................................................... Bloomfield, Farmers and Merchants State Bank.......................................... Bloomfield, Citizens State Bank........................................................................ Bloomington, Franklin County B a n k ............................................................... Bloomington, Bloomington State Bank............. ............................................ Blue Springs, Farmers and Merchants Bank................................................. Boelus, Howard Bank........................................................................................... Bradshaw, State B a n k ......................................................................................... Brainard, Bank o f................................................................................................... Brewster, International State B a n k ................................................................ Brock, Bank of......................................................................................................... Bi’oken Bow, Bank of Commerce...................................................................... Broken Bow, Farmers Bank of Custer C oun ty.............................................. Broken Bow, Broken Bow State Bank. . ............................................. . . . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 34 34 35 35 36> 36 31 3T 36 38 39» 39 40» 40» 41 41 42 42 4.3 43 44 44 45 45 46. 46 4T 41 48 48 49» 49» 50 50 51 51 52 231 INDPJX. L o c a t io n . N am e. P age. Bromfield, Bank o f................... Bruning, German B a n k ....................................................................................... Bruno, Bruno State B a n k ................................................................................... Burchard, Bank o f................................................................................................. Burr, German-American B a n k ............. Burwell, First Bank o f......................................................................................... Butte, Citizens State Bank......................................... Butte, Farmers and Merchants B ank.................. 52 53 53 54 54 55 55 3 C Callaway, Seven Valleys B a n k ........................................................................ Cambridge, Citizens State Bank........................................................................ Cambridge, State B a n k ....................................................................................... Campbell, Bank o f ................................................................................................. Carleton, Citizens State B a n k ............................................................................ Carroll, Carroll State B a n k ................................................................................ Cedar Bluffs, Bank o f ........................................................................................... Cedar Bluffs, Farmers and Merchants B a n k .................................................. Cedar Rapids, S. S. Hadley & C o ............................................ ....................... Cedar Rapids, Cedar Valley B a n k .......................... Central City, Central City B ank........................................................................ Central City, Farmers State Bank ................................................................... Central City, Platte Valley State B an k .......................................................... Ceresco, State Bank.................................................... Chadion, Citizens State B a n k ............................................................................ Chappell, Commercial B a n k ............................................................................ Chester, Farmers B a n k ........................................................................................ Clarks, Merrick County Bank............................................................................ Clarkson, Clarkson State Bank.......................................................................... Clatonia, Farmers Bank....................................................................................... Clay Center, Commercial State B a n k ............................................................... Cody, Bank o f.......................................................................................................... Coleridge, Coleridge State Bank...................................................................... Colon, State B ank................................................................................................... Columbus, Columbus State B ank............................................................... . . . Concord, Concord State Ba n k . . . . ............... Cook, Farmers B a n k ............................................................................................. Cortland, Bank o f...................................................................................... Crab Orchard, Bank o f......................................................................................... Craig, Bank o f ........................................................................................................ Crawford, Commercial State Bank.................................. Crawford, Bank o f ................................................................................................. Creighton, Security B a n k ................................................................................... Creighton, Bank o f ................................................................................................ Creston, Bank o f..................................................................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 56 56 57 57 58 58 59 59 60 60 61 61 62 62 63 63 61 64 65 65 66 66 67 67 68 68 69 69 70 70 71 71 72 72 73 » 23 2 L o c a t io n . IN D E X . N am e. ' P age. Creston, Citizens State B a n k .............................................................................. Crete, Crete State B ank.................................................................................... Culbertson, Culbertson Bank....... ...................................................... Curtis, State B a n k ........................................................................ Curtis, Farmers State B ank............................................................................... 73 74 74 75 75 D Dakota City, Bank o f............................................................................................. 76 Danbury, Bank o f............................................................ 76 Dannebrog, Dannebrog State Bank................................................................... 77 Davenport, Jennings State B a n k ...................................................................... 77 Dawson, Dawson B a n k ........ .............................................................................. 78 Daykin, Jefferson County B ank......................................................................... 78 DeW itt, State Bank............... 79 Diller, Peoples State B ank.................................................................................. 79 Dixon, Dixon B a n k ............................................................................................... 80 Dodge, Farmers State B a n k ................................................................................ 80 Doniphan, Bank o f ................................................................................................. 81 Dorchester, Dorchester State Bank................................................................... 81 Douglas, Bank o f............................................................................... 82 DuBois, State B ank............................................................................................... 82 Dunbar, Dunbar State B a n k .............................................................................. 83 E Eagle, Bank o f................................................... Edgar, State B a n k ........................................ ................................................... Edgar, Clay County B ank.................................................................................... Elgin, Elgin State Bank....................................................................................... Elgin, Bank o f ........................................................................................................ Elk Creek, State Bank......................................................................................... Elkhorn, State B a n k ............................................................................................. Elm Creek, Farmers and Merchants B a n k ....... ’............................................ Elm Creek, The First B a n k .................................................................... Elmwood, American Exchange B a n k ............................................................... Elmwood, Bank o f................................................................................................... Elwood, State B a n k ................................................................................... Emerson, Farmers State B ank............................................................................ Emerson, German American B ank................................................ Eustis, Farmers State B ank...................................................................... Exeter, Wallace and Co., Bankers..................................................................... 83 84 84 85 8t> 86 86 87 87 88 88 89 89 90 90 91 E Fairbury, Harbine B ank...................................................................................... Fairbury, Goodrich Bros. Banking Co........... ................................................. Fairbury, Fairbury Savings Bank................................................................... Fairfield, Citizens B ank........................................................................................ 91 92 92 93 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 33 IN D E X . L o c a t io n . N am e. *■AGE- Fairmont, Farmers State B ank.......................................................................... Falls City, Richardson County Bank................................................................ Falls City, Falls City State Bank...................................................................... Farnam, Farnam State Bank.............................................................................. Firth, Firth Bank................................................................................................... Firth, Citizens Bank............................................................................................. Franklin, Franklin Exchange B ank................................................................. Fremont, Security Savings Bank...................................................................... Fremont, Home Savings B ank........................................................................... Friend, Merchants and Farmers B ank............................................................. Ft. Calhoun, Washington County B ank........................................................... 93 94 94 95 95 96 96 97 97 98 98 G Gandy, State Bank o f............................................................................................. Geneva, Citizens B ank........... ............................................................................ Geneva, Geneva State B ank............................................... Genoa, Nance County State Bank.................. Gering, Bank o f...................................................................................................... Germantown, Bank o f........................................................................................... Gibbon, Commercial B a n k .................................................................................. Gibbon, Exchange Bank ............ Glenville, Bank o f...................................................................... ................... -,••• Gordon, Maverick B ank....................................................................................... Gordon, Sheridan County Bank ......................................................................... Gothenburg, State Bank....................................................................................... Gothenburg, Peoples State Bank............................................. Grafton, Bank o f................................................................................. Grand Island, Grand Island Banking Company............................................ Greeley, Greeley State Bank.............................................................................. Gresham, Farmers and MerchantsBank.......................................................... Gretna, Spearman, Snodgrass & Co., Bank............................................. . Guide Rock, Bank o f............................................................................................. 99 99 100 100 101 101 102 102 1°3 103 104 104 105 105 106 106 107 101 1°8 H Haigler, Empire Loan and Trust Company........... ....................................... Hallam, Hallam Bank.......................... ................................................................ Hampton, Bank of................................ - ................................................................ Hardy, Hardy Bank............................................................................................... Harrisburg, Banner County Bank........................................•........................... Harrison, Commercial Bank................................................................................ Hartington, Hartington State B a n k ................................................................ Harvard, Union State B ank............................................................................... Hastings, Adams County Bank.......................................................................... Hay Springs, Farmers and Merchants Bank................................................. Hay Springs, Northwestern State Bank........................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 108 109 109 HO HO HI I ll 1J2 112 113 113 234 IN D E X . L o c a t io n . N am e. P age. Hebron, Thayer County B a n k .................................... Henderson, Bank o f........................................ Herman, Plateau Bank........................................... Hickman, Bank o f.............................. Hildreth, Franklin County Bank......... Holstein, Bank o f............................................ Homer, Homer State Bank........................... Hooper, Dodge County Ba n k . .. .......... Hooper, State Bank........................................ Howe, Bank o f................................ Howells, Colfax County B a n k .......... Hubbell, Hubbell B a n k ................... Humboldt, State B a n k .............................. Humphrey, Bank of Ottis & Murphy.............................. Humphrey, Citizens Bank.................................. Hyannis, Bank o f................................................................................................... 121 I Imperial, Farmers and Merchants B ank........... Indianola, State Bank.................................... Ithaca, Ithaca State Bank............. . J Jackson, Bank of Dakota County................. Jansen, Jansen Bank......................... Johnson, Farmers Bank....................... Julian, Bank o f........... ......... •Juniata, Bank of C. R. Jones & Co............. K Kearney, Kenesaw, Kennard, Kimball, Farmers B ank............................ Kenesaw Exchange B ank......... Farmers and Merchants B ank....................... Bank of ........................... L Laurel, Farmers State Bank..................... Laurel, Laurel State B ank..................... Lawrence. State B ank................. Lebanon, State Bank............................ Leigh, Farmers and Merchants Bank........................... Leigh, Maple Valley State B an k ....................... Lexington, Lexington Ba n k. . . . Liberty, State Bank................................ Lindsay, Lindsay State Bank .. .•............. Linwood, Farmers and Merchants Bank............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 19f> • IN D E X . L o c a t io n . N am e. P age. Litchfield, Litchfield State Bank................... Lodge Pole, People’s B ank.............................. Long Pine, Brown County Bank..................... Loomis, Loomis State Bank............................ Louisfield, Bank of Commerce........................ Loup City, The First Bank.............................. Loup City, Farmers State Bank..................... Lynch, Bank o f................................................... Lyons, Farmers Bank............... ........................ . . . . . . . . . 133 133 134 134 135 135 136 136 137 M Madison, Madison State Bank......... . ............. Madrid, Bank o f................................................. Madrid, Madrid Exchange Bank ................. Malmo, Farmers and Merchants B ank........ Marquette, Farley’s Bank............... ................. Mason City, Bank o f......................................... Mead, Bank o f ..................................................... Meadow Grove, Meadow Grove State Bank. Merna, Bank o f............................ •..................... Milford, Nebraska State Bank....................... Millard, German B ank...................................... Miller, First Bank o f.......................................... Miller, Bank o f............. ................................ ‘ Milligan, Farmers State Bank....................... Minden, Minden Exchange Bank................... Monroe, Bank o f................................................. Morse Bluff, Bank o f . ........................................ Murdock, German Bank.................................. McCook, Citizens Bank........... ..................... McCool Junction, Blue River B ank............. 137 138 138 139 139 140 140 141 141 142 142 143 143. 144 144 145 145 146 146 147 N Nebraska City, Farmers Bank......................... Nehawka, Nehawka Bank................................ Neligh, Atlas Bank............................................ Nelson, Commercial Bank................................ Newcastle, Farmers State Bank..................... Newman Grove, Newman Grove State Bank Newman Grove, Citizens State Bank............. Newport, Rock County State B a n k ............... Niobrara, Niobrara Valley Bank ................... Norden, Bank of .............................................. North Bend, Bank o f.......................................... North Platte, Bank of Chas. McDonald........ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 147 148* 148 149 149 150 150 151 151 152 152 153 IN D E X . 2 3 6 o L o c a t io n . N am e. P age Oak, Scroggen & Co. B a n k .................................................................................. Oakdale, Oakdale Bank......................................................................................... Oakdale, Antelope County B ank........................... .......................................... Oakland, Farmers and Merchants B a n k ......................................................... Oakland, Bank of W ells & Trimborn............................................................... Odell, Bank o f ......................................................................................................... Ogalalla, Exchange Bank..................................................................................... Ohiowa, Bank o f ..................................................................................................... Omaha, Omaha Loan and Trust Co. Savings B a n k ...................................... O’Neill, Elkhorn Valley B ank............................................................................ Ong, Exchange B ank............................................................................................. Ord, Ord State B a n k ............................................................................................. Orleans, Bank of ................................................................................................... Osceola, Bank of Polk County............................ .............................................. Osceola, Osceola B ank...............................................................'........................... Osmond, Farmers State Bank.............................................................................. Osmond, Security State B ank.............................. Overton, Bank o f...................... Oxford. Commercial State B a n k ...................................................................... Oxford, Nebraska State B a n k .................................. 153 154 454 155 155 15q 156 157 157 158 158 159 159 160 ioo 101 161 162 162 163 P . Page, Farmers B ank............................................................................................. Palisade, Frenchmen Valley B ank.................................................................... Palmer, Palmer State Bank............................................................................... Palmyra, Bank o f..................................................................................................... Panama, Bank o f..................................................................................................... Papillion, Banking House of A. W. Clarke................................................... Pawnee City, Pawnee County B ank............... Pender, State C a n k ................................................................ Peru, Citizens State B ank............................................................................. Petersburg, Bank o f ......................................................... Phillips, Bank o f ................................................................................................. * Pierce, Pierce State Bank.................................................................................... Pierce, Pierce County B ank................................................................................ Pilger, P ilger State Bank.................................................................................... Piainview, Farmers State Bank ...................................................................... Plainview, Bank o f................................................................................................. P latte Center, Platte County Bank................................................................... Plattsmouth, Bank of Cass County................................................................... Plattsmouth, Parmele Savings Bank............................................................... Pleasanton, Pleasanton State B ank................................................................... Plymouth, Bank o f................................................................................................. Ponca, Bank of Dixon County........................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 163 164 164 165 165 166 166 167 167 168 403 I69 169 170 170 171 171 172 172 173 I73 174 IN D E X . L o c a t io n . N am e. 2 37 P age. Ponca, Security Bank........................................................................................... 174 Prague, Farmers and Merchants Bank........................................................... 175 R Ragan, Bank o f ...................................................................................................... Randolph, Randolph State Bank........................................................................ Randolph, Security State Bank............................................... .......................... Ravenna, State B ank............................................................................................. Red Cloud, State Bank............................................... Red Cloud, Peoples B a n k ................................................................................... Republican City, Bank o f ................................................................................... Reynolds, Bank o f.................................................................................................. Rising City, Rising City Bank......................................... Riverton, Riverton State Bank.......................................................................... Rogers, Bank o f............................................................................... Rulo, Bank of.................................................................... . ................................... Rushville, Citizens Bank..................................................................................... Rushville, Exchange Bank......................................... Rushville, Stockmens Bank............................................ 175 176 176 177 177 178 178 179 179 180 180 181 181 182 182 S Salem, Bank o f........................................................................................................ Sargent, Farmers and Merchants Bank........................................................... Sargent, Custer County B a n k ............................................................................ Saronville, Farmers State Bank........................................................................ Schuyler, Banking House of F. Folda............................................................... Schuyler, Schuyler Savings B a n k ..................................... Scribner, Scribner State B a n k .......................................................................... Scribner, Merchants and Farmers Bank......................................................... Seward, State Bank of N eb rask a...................................................................... Shelby, Bank o f...................................................................................................... Shelton, Shelton B a n k ......................................................................................... Shelton, Meisner’s B a n k ..................................................................................... Shickley, State Bank ........................................................................................... Schubert, Farmers State B a n k .......................................................................... Sidney, American Bank........... ........................................................................... Sidney, Bank of Nebraska................................................................................... Silver Creek, Silver Creek State B a n k ........................................................... Snyder, Snyder State Bank.................................................................................. South Omaha, South Omaha Savings Bank.................................... . . . . . . Spencer, Boyd County Bank........................................................................... Springfield, J. D. Spearman & Co., B a n k ers.................................................. Springfield, Sarpy County State Bank............................................................. Stamford, Stamford B a n k ................................................................................... Stanton, Citizens Bank................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 183 183 184 184 185 185 186 186 187 187 188 188 189 189 190 190 191 191 192 192 193 193 194 194 IN D E X . L o c a t io n . N am e. P age. Staplehurst, Bank o f............................................................................................. St. Edward, State B a n k ....................................................................................... Steinauer, Bank o f................................................................................................. Stella, State B a n k ................................................................................................. Sterling, Farmers and Merchants Bank........................................................... Stockville, Merchants State B ank................................................................... St. Daul, St. Paul State B a n k ............................................................................ St. Paul, First State Bank.................................................................................... Strange, Union State B a n k ................................................................................ Stratton, Commercial Banking Co.................................................................... Stromsburg, Stromsburg Bank.......................................................................... Stromsburg, Farmers and Merchants Bank.................................. Stuart, Citizens B a n k ........................................................................................... Sumner, Security B a n k ....................................................................................... Superior, Superior State B a n k .......................................................................... Surprise, Bank o f ............................................................................................... Sutherland, Bank o f........................ Swan ton, Bank o f ................................................................................................... Syracuse, Bank o f................................................................................................... 195 195 196 196 197 197 198 198 199 199 200 200 201 201 202 202 203 203 204 T Table Rock, State Bank .............................. •..................................................... Talmage, Bank of . . . . ......................................................................................... Tecumseh, Chamberlain Banking House....................................................... Tekamah, Burt County State Bank................................................................. Thayer, Bank o f..................................................................................................... Thedford, Thedford Bank.................................................................................... Tilden, Tilden State B ank................................................................................... Tilden, Elkhorn Valley B a n k ............................................................................ Tobias, Peoples Bank ......................................................................................... Tobias, Citizens State B an k .................. Trenton, Trenton State Bank............................................................................ 204 205 205 206 206 207 207 208 208 209 209 U Ulysses, First Bank o f........................................................................................... Unadilla, Bank o f................................................................................................... Union, Union Bank................................................................................................. University Place, Windom Bank...................................................................... Upland, Upland Banking Company.................................................................. Utica, Utica B ank................................................................................................. Utica, Merchants B ank....................................................................................... 210 210 211 211 212 212 213 V Valentine, Cherry County Bank........................................................................ 213 Valentine, Bank o f................................................................................................. 214 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis IN D E X . L o c a t io n . N am e. 339 P age. Valley, Valley State Bank.................................................................................. Valparaiso, Oak Creek Valley Bank................................................................. Verdigre, Bank o f............................................................................................... Verdon, Verdon State B ank................................................................................ Vesta, Exchange Bank............. ¿............................................................... J ......... 214 215 215 216 216 W Waco, Farmers and Traders Bank.................................................................... Wahoo, Citizens State Bank.............................................................................. Wakefield. Wakefield State Bank.................................................................... Wakefield, Farmers and Traders B ank........................................................... Wauneta, Wauneta Falls B ank.......................................................................... Wausa, Farmers State B ank.............................................................................. Wausa, Commercial B ank...................... Waverly, Bank of ................................................................................................. Wayne, Citizens B ank......................................................................................... Wayne, State Bank............................................................................................... W eeping Water, Farmers Bank........................................................................ W estern, Saline County Bank............................................................................ Weston, Weston B ank......................................................................................... W est Point, Nebraska State B ank.................................................................... Wilber, Blue Valley B a n k ................................................................................. Wilber, State Bank........................ W ilcox, State Bank............................................................................................... W ilsonville, W ilsonville Bank ........................................................................ Wiriside, Merchants State B ank........................................................................ Wisner, Citizens State B ank................................. Wood Lake, Wood Lake Bank.......................................................................... Wood River, Citizens State B ank.................................................................... 217 217 218 218 219 219 220 220 221 221 222 222 223 223 224 224 225 225 226 226 227 227 Y Yutan, Bank of https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 228