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/

REPORT
OF

THE

BUREAU OF BANKING
D E PA R TM E N T OF T R A D E
AND COMMERCE

NEBRASKA
192 7

Show ing the Condition o f the

Commercial and Savings Banks and Trust Companies


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

June 30, 192 7.

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

BU REAU OF BANKING

Y

D EPARTM ENT OF T R A D E A N D COMMERCE

BUREAU OF BANKING
STATE OF N EBRASKA

E X A M IN E R S
P. D. M arshall, Chief
M erle N. F oster
C. A. Lau
S. L. H estbeck
L . E. Martin
C. J. H ornsby
H enry H. Schleuning
F red E. A llen
R ich ard H. Larson
J. F. M cLain
H. V. Davis
F red W . Babka
Lym an C. Sorensen
Geo. B. W ilson


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Federal Reserve Bank of St. Louis

BU REAU OF BANKING

VI

Lin coln, Nebr.,
O ctober 1, 1927.
Hon. Adam M cM ullen, G overnor,
Executive Offices, Lincoln.
Dear Sir:
W e subm it herew ith fo r you r consideration, a report embracingstatistical and oth er in form ation taken from the records o f this office,
con cern in g the State Banks o f N ebraska, coverin g the period from
1890 to June 30, 1927.
W e also include detailed copies o f Statem ents o f Nebraska Banks
and Trust Com panies as show n by call o f June 3 0, 19 27.


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Federal Reserve Bank of St. Louis

R espectfu lly subm itted,
D E PA R TM E N T OF T R A D E AND COMMERCE,
Clarence G. Bliss, Secretary.

BUREAU OP BANKING

V II

A bstract o f the reports o f the con dition o f C om m ercial and Savings
Banks o f the State o f Nebraska at the close o f business Septem ber 28,
19 25. 913 banks reporting.
RESOURCES
Loans and Discounts ................................................................$ 221,510,374.17
O verdrafts ....................................................................................
1,207,467.93
Bonds, Securities, Judgm ents,
Claims, etc......................
21,498,223.39
Cash and Due from Banks ....................................................
55,761,530.47
7,358,632.09
Banking H ouse, F urniture & Fixtures ............................
Other R eal Estate .....................................................................
11,679,116.79
1,490,255.56
Current Expenses, Taxes and
Interest Paid ................
Bankers Conservation Fund ..................................................
371,639.32
T otal .............................. i............................................ $ 320,877,239.72
L IA B IL IT IE S
Capital Stock ...............................................................................$
23,656,200.00
Surplus .........................................................................................
6,976,338.20
U ndivided Profits ........................................................................
2,050,113.13
D ividends Unpaid ......................................................................
4,913.95
Individual D eposits Su bject to Check $105,492,328.80
Certificates o f D eposit ............................ 154,77 6,415.93
13,729,413.55
Savings D eposits ........................................
Due to Banks ...........................................
9,851,399.23
283,849,557.51
Bills Payable & R ediscounts ..................................................
3,007,014.33
1,333,102.60
D epositors Guarantee Fund ..................................................
T otal


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

320,877,239.72

V III

BUREAU OF BANKING

A bstract o f the reports o f the con dition o f C om m ercial and Savings
Banks o f the State o f N ebraska at the close o f business D ecem ber 31,
1925. 903 banks reportin g.
RESOURCES
Loans and D iscounts ...................... ..........................................$ 2 2 6,21 0,33 9.30
O verdrafts ....................................................................................
924,216.33
Bonds, Securities, Judgm ents, Claims, e tc......................
20,088,348.26
Cash and Due from Banks .....................................................
51,855,759.56
B anking H ouse, F urniture & F ixtu res...............................
7,407,325.08
Other R eal Estate ......................................................................
12,218,594.40
Expenses, Taxes & Interest Paid .........................................
1,4 93,326.33
Bankers C onservation Fund ..................................................
628,945.08
T ota l ........... ................................................................. $ 320,826.854.34
LIA B IL IT IE S
Capital Stock ............................................................................... $ 2 3 ,337 ,7 00 .0 0
6,886,003.77
Surplus .........................................................................................
2,036,861.98
U ndivided Profits ........................................................................
21,955.04
D ividends Unpaid ......................................................................
Individual Deposits Subject to Check $105,397,949.91
Certificates o f Deposit ............................. 154,606,679.18
Savings Deposits ......................................... 12,579,604.17
28 1,525,347.51
Due to Banks .............................................
8,941,114.25
5,7 80,583.85
Bills payable and R ediscounts
1,238,402.19
D epositors G uarantee Fund ...
T otal


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

$ 32 0,826.854.34

BUREAU OF BANKING

IX

A bstract o f the reports o f the Com m ercial and Savings Banks o f
th e State o f Nebraska at the close o f business M arch 29, 1926. 898
banks reporting.

RESOURCES
R oans and D iscounts .............................................................. $ 223,398,398.50
Overdrafts ....................................................................................
901,259.34
Bonds, Securities, Judgm ents,
Claims, etc......................
22,522,860.75
Cash and Due from Banks .....................................................
54,849,364.12
Banking H ouse, Furniture and Fixtures ..........................
7,353,799.11
Other R eal Estate ......................................................................
12,443,691.06
Current Expenses, Taxes and Interest P aid...................
1,124,166.34
Bankers C onservation Fund ..................................................
627,872.58
T otal .............................................................................$ 323,221,411.80
L IA B IL IT IE S
Capital Stock ...............................................................................
Surplus ........................................................................................U ndivided Profits ........................................................................
D ividends Unpaid ......................................................................
In dividual D eposits Su bject to Check $111,149,894.17
Certificates o f D eposit ............................ 148,732,212.40
Savings D eposits ......................................
16,114,694.41
Due to Banks .............................................
9,658,070.72
B ills Payable ..........................................->....................................
D epositors G uarantee Fund
T otal


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

23,146,200.00
6,861,531.67
1,893,292.40
7,960.19

285,654,871.70
4,165,869.14
1,491,686.70
$ 323,221,411.80

X

BU REAU OF BANKING

A bstract o f the reports o f the Com m ercial and Savings Banks o f
the State o f Nebraska at the close o f business June 30, 1926.
893
banks reporting.

RESOURCES
Loans and D iscounts ................................................................$ 219,043,572.91
O verdrafts ................................................................
714,100.27
24,197,839.01
Bonds, Securities, Judgm ents, Claims, etc............. ........
Cash and Due from Banks ....................................................
54,995,260.32
Banking H ouse, F urniture & Fixtures ..........................
7,391,213.13
Other R eal Estate ......................................................................
12,966,135.17
B ankers’ Conservation Fund ~.....................................-.......
629,546.22
Current Expenses, Taxes & Interest Paid ........................
1,381,559.15
T otal .............................................................................$ 321,319,226.18
L IA B IL IT IE S
23,226,200.00
Capital Stock ............................................................................... $
6,894,742.12
Surplus
2,195,767.10
U ndivided Profits ........................................................................
16,901.28
D ividends Unpaid ................................... 4................................
Individual D eposits Subject to Check $106,719,727.07
Certificates o f D eposit ............................ 149,059,310.51
Savings D eposits ......................................... 18,584,737.45
284,130,935.35
9,767,160.32
Due to Banks .............................................
4,034,359.47
Bills Payable & R ediscounts
820,320.86
D epositors’ Guarantee Fund
T otal


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

$ 321,319,226.18

BU REAU OF BANKING

XI

A bstract o f the reports o f C om m ercial and Savings Banks o f the
State o f Nebraska at the close o f business Septem ber 27, 192 6. 887
banks reporting.
RESOURCES
L oan s.a n d Discounts ........... .....................................................$ 216,826,987.57
O verdrafts
..................................................................................
899,424.63
Bonds and Securities ................................................................
24,844,237.05
Judgm ents and Claims ............................................................
1,703,173.38
Cash and Due from Banks ....................................................
52,834,995.42
Banking H ouse, Furniture and Fixtures ..........................
7,333,479.21
Other R eal Estate .......................................................... -.........
13,343,250.85
B ankers’ Conservation Fund ................................................
641,822.81
Current Expenses, Taxes and Interest Paid
$ 319,876,956.03

Total
L IA B IL IT IE S

Capital Stock ..............................................-................ -............. $ 23,091,200.00
6,798,910.05
Surplus .........................................................................................
2,660,048.14
U ndivided Profits ........................................................................
6,192.31
D ividends Unpaid .....................................................................
Individual D eposits Subject to Check $104,374,282.53
Certificates o f D eposit ............................ 152,800,850.14
Savings Deposits ........................................
16,168,996.05
282,994,681.87
Due to Banks .............................................
9,650,553.15
3,374,559.67
B ills Payable and R ediscounts
951,363.99
D epositors’ Guarantee Fund ....
Total


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

$ 319,876,956.03

BU REAU OF BANKING

X II

A bstract o f tbe reports o f the C om m ercial and Savings Banks o f
the State o f Nebraska at the close o f business D ecem ber 31, 1926.
883 banks reportin g.

RESOURCES
Loans and D iscounts .............................................................. $ 217,468,710.14
O verdrafts
..................................................................................
673,720.91
Bonds and Securities .................................................................
23,543,984.70
Judgm ents and Claim s ............................................................
1,647,393.49
Cash and Due from Banks .....................................................
46,732,991.38
B anking H ouse, Furn itu re and Fixtures ........................
7,302,536.71
Other R eal Estate ......................................................................
13,675,893.61
B ankers’ C onservation Fund ..............-................................
639,472.75
Current Expenses, Taxes and Interest Paid ..................
1,722,37 3.74
T ota l ............................................................. -.............. $ 313,407,077.43
L IA B IL IT IE S
Capital Stock ...............................................................................
Surplus .........................................................................................
U ndivided Profits ..................................................................
D ividends Unpaid ......................................................................
In dividual D eposits S u bject to Check $ 99,927,984.49
Certificates o f D eposit ............................ 149,892,611.48
Savings D eposits ......................................
17,570,332.31
8,126,268.92
Due to Banks ...............................-.............
Bills Payable and R ediscoun ts ...........................................
D epositors’ G uarantee F u nd ................................................
T otal


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

23,049,200.00
6.765.529.44
2.195.821.45
34,953.20

27 5,517,197.20
5,222,421.82
621,954.32
$ 313,407,077.43

BUREAU OF BANKING

XIII

Abstract of the report of the Commercial and Savings Banks of
the State of Nebraska at the close of business March 28, 1927. 880
banks reporting,

RESOURCES
Loans and Discounts .................................................................$ 215,713,395.89
Overdrafts
................................................................................ *
683,162.84
Bonds and Securities .................................................................
24,501,534.69
Judgments and Claims ............................................................
1,791,119.85'
Cash and Due from Banks ....................................................
50,264,822.48
Banking House, Furniture and Fixtures .......................
7,310,846.06
Other Real Estate ......................................................................
14,017,789.02'
Bankers’ Conservation Fund ................................................
639,599.31
Current Expenses, Taxes and Interest Paid..................
2,042,159.87
Total .......................................................................... ....$316,964,430.0.1
LIABILITIES
Capital Stock ............................................................................... $
22,989,200.00
6,826,881.45
Surplus ......................................................................... ...............
2,246,454.73
Undivided Profits ........................................................ ............
11,655.05
Dividends Unpaid ............................................................... .Individual Deposits Subject to Check $105,483,822.46
Certificates of Deposit ............................. 148,831,311.96
Savings Deposits ......................................
16,574,454.72
279,663,131.48
Due to Banks .............................................
8,773,542.34
4,481,717.61
Bills Payable and Rediscounts
745,389.68
Depositors’ Guarantee Fund .....
$316,964,430.01

Total


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

t

X IV

BU REAU OF BANKING

A bstract of the reports o f the Com m ercial and Savings Banks o f
the State o f Nebraska at the close o f business June 30, 1927. 872
banks reportin g.

RESOURCES
R oans and D iscounts .................................................................? 21 1,642,981.51
O verdrafts
........................................... .....................................
5 9 6,666.15
Bonds and Securities ..... ........,.......... ......... ......... ...................
24,996,612.24
Judgm ents and Claims ................................... .......... .............
2,0 87,415.19
Banking House, Furniture and Fixtures .......... ...............
7,266,724.81
Other Real Estate .........................................................
13,966,675.86
Due from Banks ...............................................
38 ,343 ,9 72 .5 0
Casl1
..............................................................................................
10,450,015.94
B ankers’ Conservation Fund ....................
634,009.02
Law ful Reserve with Federal R eserve Bank o r Other
Reserve Agents ..........................................
367,893.63
Current Expenses, Taxes and Interest Paid ...................
2,2 24,25 9.70
T otal ............

31 2,57 7,22 6.55
L IA B IL IT IE S

Capital Stock ...... ............... .........................................................$
22,788,200.00
Surplus ..............
6,685,052.41
U ndivided Profits ......................................................................
2,414,955.20
D ividends Unpaid ......................................................................
27,297.29
Individual Deposits Subject to C h e c k ? 93,588,423.65
Certificates o f D eposit .......................... 155,440,451.73
Savings D eposits ........................................
17,763,503.33
Due t* Banks .............................................
8,341,619.23
27 5,133,997.94
N otes and Bills R ediscounted ................................................
933,667.51
B ills Payable .........
4,389,818.44
D epositors’ G uarantee Fund .............
204,237.76
T ota l .............................................................................$ 31 2,57 7,22 6.55


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

«

BU REAU OF BANKING

XV

STATE M EM B ER BANK S
W ith the date o f adm ission and w ithdraw al from The F ederal R eserve Bank o f K ansas City, M issouri.

T ow n

Bank

D ate o f
D ate o f
A dm ission W ithdraw al

A llen .................. __ Farm ers State Bank
11 10 19
A u rora .............. ....The F idelity State Bank............ .11-22-20
B roken Bow........Custer State B ank.................. .11-21-19
C happell........... ....Chappell State B ank.............. . 8- 7-18
C ozad................. ....Farm ers State Bank__________.10- 7-19
David City___ .—Butler County State Bank....... . 9-17-18
G enoa________ _- -F a r m e r s State B ank....... ........... . 8-1.3-19
K ilg o re .......... ....K ilgore State B ank____ ______ .12- 6-19
L ew ellen ........... ....Bank o f L ew ellen ______________. 7-24-15
L in coln .............. -...Am erican State B ank.......... ...... .11-12-18
M eadow Grove.. ..Security Bank................................ . 2-11-20
N eligh .............. ....Security State B ank.............. .
3-20-18
N orth B en d___ ....First State Bank.......................... 10-25-19
O akland............. .—Oakland State Bank.................... . 9-17-20
Ord_.__................. ... Nebraska State Bank.................. 8- 4-19
P en der............... — Pender State B ank....................... . 2- 9-18
St. E dw ards..... ...Farm ers State Bank....... ............. 8- 5-18
Sidney................ ....American B ank............................. .. 7-19-19
W a y n e ................ ...State Bank o f W a yn e____ _____. 3-16-19
W estern ............. ...Saline County State Bank........ . 7-11-19


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

4-12-21

1-31-27
9-12-21
10- 7-21
11-28-21
7-15-26
10-10-21
11-13-26
10-20-23
10-24-21
1- 2-26
10-31-21
3-23-23
*

XVI

BU REAU OF BANKING

A bstract o f the Trust Com panies o f the State o f Nebraska at the
c lo s e o f business June 30, 1926. 24 Trust Com panies reportin g.
RESOURCES
Bonds .............................................................................................. $
M ortgages ....................................................
S tocks .......................................................................................
Collateral Loans ........................................................................
R eal Estate ..................................................................................
W arrants .......................................................................................
Trust Funds, F orm 2 .................................................................
Securities Held as Agent ..........................................................
Due from Investors .................................................................
A ccou n ts R eceivable .................................................................
P erson al Notes ...........................................................................
S a fety D eposit Vaults ..............................................................
F urniture and Fixtures ............................................................
Cash on Hand .............................................................................
Cash in Banks .............................................................................
O th er R esources ...........................................................................

3,210,757.28
5,140,261.27
331,336.73
491,318.93
582,816.53
108,821.26
33 ,651,340.56
18 ,084,951.52
1,175,158.20
57 8,524.95
24,603.09
7 5,162.34
171,023.69
87,556.11
2,216,926.25
826,275.60

T otal ..................... ....................................................... $

66,756,834.31

L IA B IL IT IE S
Capital Stock ............................................................................... $
Surplus .....................................................
U ndivided Profits ......................................................................
Trust Funds, F orm 2 ..............................................................
Trust Funds, Other than F orm 2.........................................
Tim e R eceipts ......................................................................... B orrow ers’ A ccounts, In com plete Loans ..........................
Interest C ollections and Other A ccou n ts ........................
Funds Held fo r Investm ent ....................
Bills Payable ............................................................................ Other L iabilities ........................................................................

3,360,700.00
396,645.56
861,596.59
33,651,340.56
8,150,025.32
959,669.56
1,3 77,958.09
3,592,7 21.98
688,631.91
857,975.95
12 ,859,568.79

T otal .............................................................................$

66,756,834.31


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

XV II

BU REAU OF BANKING

A bstract o f the Trust Com panies o f the State o f Nebraska at the
close o f business June 30, 1927. 24 Trust Com panies reportin g.
RESOURCES
Bonds .......................................................................
M ortgages .............................................................
S tock s ......................................................................
C ollatera l Loans .................................................
R eal Estate ..........................................................
W arrants ...............................................................
T r u s t Funds, F orm 2.........................................
Trust Funds, Other than F orm 2...................
Securities H eld as A gent ...............................
Due from Investors ...........................................
A dvanced fo r Taxes and Interest ................
A ccou n ts R eceivable ........................................
P erson al N otes ....................................................
Safety D eposit V aults ......................................
Furn itu re and F ixtu res ...................................
Cash on Hand ....................................................
Cash in Banks .....................................................
Other R esources ................................................

3,904,349.68
5,283,203.60
477,377.81
344,635.75
644,411.90
80,687.01
31,954,751.21
14,814,626.29
11,233,436.64
906,543.74
69,079.61
1,241,810.25
92,154.42
88,463.66
171,831.88
761,453.58
945,061.77
1,686,054.41

T otal ........-.........................................

74,699,933.21

L IA B IL IT IE S
3,310,700.00
421,927.46
1,147,605.64
32,543,404.84
13,254,996.88
334,462.77
1,189,450.08
236.402.25
1,202,082.41
11 ,233,436.64
767.751.26
9,057,712.98

Capital Stock .....................................................
Surplus ..................... ............................................
U ndivided Profits ..........................-...................
Trust Funds, F orm 2.......................................
Trust Funds, Other than F orm 2...............
Tim e R eceipts ...................................................
B orrow ers’ A ccounts, In com plete Loans...
Interest C ollections and Other A ccou n ts
Funds H eld fo r In v e s tm e n t...........................
Securities H eld as A g e n t ...............................
Bills Payable .....................................................
Other L iabilities .............................................
T otal


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

$

74,699,933.21

BUREAU OF BANKING

X V III

BANKS CHARTERED DURING THE PERIOD FROM
JUNE 30, 1925 TO JUNE 30, 1927
Town

Name of Bank

♦ W aterloo........................State Bank o f W a terloo......... ~..........
H old rege...........................State B ank........................ .....................
Stapleton.................... .....Farm ers State Bank----------------------W a u sa............................... Com m ercial State B ank.......................
Sidney............................ ...The A m erican B ank................... ........
G reen w ood................... ...G reenw ood State B ank— ...............
R an d olp h .................... ....F arm ers & M erchants State Bank.
L y n ch .............................
Farm ers State B ank------- --------H arvard............................ N ebraska State B ank..................... Stratton............................State Bank o f Stratton.....................
R ich field ............................Richfield State B ank................... -......
O rd..................................... State Bank o f Ord............... ...............
H u m boldt....................... ...Nebraska State B ank........................
Bassett................................ Bassett State B ank...........................
C ra w ford ..........................C raw ford State B ank..........................
N elson ................................Farm ers State B ank..........................
♦Chartered in 1924, om itted in last report.


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

Capital
$15,000.00
. 35,000.00
. 25,000.00
. 50,000.00
. 50,000.00
. 25,000.00
. 25,000.00
. 25,000.00
. 25,000.00
. 25,000.00
. 25,000.00
. 40,000.00
. 30,000.00
. 25,000.00
. 30,000.00
. 35,000.00

X IX

BU REAU OF BANKING

BANKS W H ICH HAVE CHANGED THEIR NAME DURING
PERIOD COVERED BY THIS REPORT
Town

Name of Bank

Changed To

N ovem ber 3, 19 25..CowIes.....The Cowles B ank—.Cow les State Bank
N ovem ber 13, 1925 Chappell..D euel County Bank..Deuel County State
Bank
January 20, 1926....Shelton.—M eisner’s B ank----- M eisner’s State Bank
January 27, 1 9 26-F rem ont-. Security Savings
B ank...... .............. Security State Sav­
ings Bank
M arch 15, 19 26...... C hester....Farm ers B ank......... F arm ers State Bank
D ecem ber 17, 1926..0m ah a.....Security State Bank-South Omaha State
Bank


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Federal Reserve Bank of St. Louis

XX

BUREAU OF BANKING

BANKS W H ICH H AVE INCREASED THEIR CAPITAU
DURING BIENNIUM
Date

Town

January 12, 1926....H azard.......
January 30, 1926— H astings.—
A p ril 13, 19 26.........F rem on t—
D ecem ber 1, 1926-C learw ater.
F ebru ary 23, 1 9 2 7 -L a w ren ce—
A p ril 27, 19 27— -Petersburg.


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

Name of Bank

Amount

Hazard State B ank.............$10,000.00
State Bank o f H astings.— 25,000.00
Frem on t State B ank........... 25,000.00
Citizens State B ank...........
8,000.00
Security State B ank..........
5,000.00
Petersburg State B ank..... 10,000.00

XXI

BU REAU OF BANKING

BANKS W H ICH HAVE DECREASED THEIR CAPITAL
DURING BIENNIUM
Date

Town

Name of Bank

Amount

A u gust 14, 19 25....K im b a ll.......... B ank o f K im b all....................$50,000.00
N ovem ber 2, 1 9 2 5 -S te rlin g ............ Farm ers & M erchants Bank 25,000.00
January 27, 1926..N orth Platte.-M cD onald State B ank......... 25,000.00
F ebru ary 26, 19 2 6 -C h a d ron ........... Chadron State B ank,.......... 50,000.00
May 21, 19 26........... H em ingford....F arm ers State B ank............ 10,000.00
January 7, 19 27— R u sh ville....... Union B ank.............................. 15,000.00
M arch 7, 19 2 7 .........G ordon .............. G ordon State B ank.............. 40,000.00


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

Name* o f Bank
1
2
3
4
5
6
7
8
9

Citizens
Peoples
Farm ers
State Ba
Platte V
Chambei
Bank o f
Elkhorn
Citizens

12 Farm ers State Bank.

2 2 Farm ers

State


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

L ocation

Organized

.C am bridge __ .... 9- 5-1889
..G othenburg ... ...11-10-1896
■B roken Bow .... 7-15-1890
.G othenburg ... ... 2- 1-1890
..B ellw ood ____ ... 1- 6-1894
..Tecum seh __ — 10- 1-1895
..Y erdigre ....... ... 9-11-1899
.O’N eill .......... ... 1- 2-1892
.F irth
_______ ... 9- 1-1899
.Superior ____ ... 8-26-1911
.D ecatur _____ ... 3- 7-1908
.H alsey ___ ___ ... 4- 9-1918
.V alparaiso ___ ... 2- 6-1906
.A urora ......... ... 5- 5-1913
.P age
— ...... ... 7- 1-1890
.V erdon _____ ... 1-17-1905
.Ceresco .......... ...10- 1-1895
.M errim an ___ ... 3-27-1917
.H adar ---------- ...11-24-1905
Blair ________ ...10- 3-1908
.L ong Pine ..... ... 9- 8-1895
.Pleasanton ... ... 5-29-1 909
.Oshkosh ____ ... 7- 1-1915
.A llen
............. ... 3-29-1919
-H oskins
........ ... 8-10-1914
.B elvidere
___ ...12-14-1916
.A nselm o ____ ... 1-26-1914
.Om aha _____ ... 7- 2-1917
.L in coln .......... ... 5-18-1918
.Lin coln _____ ... 2-26-1900
.Octavia ..... . ... 2-19-1903
.Sidney
______... 2-23-1917

Capital

R eceiver
A ppointed

$12,500.00
4- -190 0
25,000.00
7- 3-1901
9-28-1901
15,000.00
20,000.00
1- 9-1902
2-21-1902
15,000.00
50,000.00
9-17-1902
5,000.00
2-18-1903
15,000.00 12- 7-1904
10,000.00
3-25-1907
3-10-1914
15,000.00
6-13-1916
25,000.00
10,000.00
1- -1920
25,000.00
1-13-1920
35,000.00
5-10-1920
5,000.00
7-23-1920
18,000.00 11-30-1920
2- 3-1921
10,000.00
2- 1-1921
15,000.00
5- 2-1921
8,000.00
100,000.00
3-15-1921
4-18-192 1
50,000.00
15,000.00
6- 2-1921
5- 4-1921
25,000.00
5-10-1921
30,000.00
4-30-1921
20,000.00
6- 3-1921
15,000.00
15,000.00
6- 6-1921
6- 6-1921
200,000.00
7- 1-1921
35,000.00
7-16-1921
100,000.00
9- 7-1921
10,000.00
8-25-1921
50,000.00

R eceiver
E. B. P erry......... ..C am bridge
W . C. May______ G othenburg
C. H. H olcom b..B roken Bow
H. V. Tem ple..... ...L exin gton
M. J. H olland...... ..D avid City
A. O. Shaw.......... ...Tecum seh
H. A. Cheney__ ...C reighton
0. F. B iglin ____ ......... O ’Neill
Fred W h ittem ore...... L in coln
C. W . H arvey__ ...... Superior
R. L. G rosvenor. ____Decatur
W . E. M eyers..... .__ T h edford
E. E. F ik e______ ..V alparaiso
A. F'. Ackerm an.....Uni. Place
M. R. Sullivan.._____ O’Neill
Dan J. R iley ..... ........Daw son
A. F. Ackerm an ....U ni.P lace
E. C. Cole______ ............. Cody
B. N. Saunders... ........N orfolk
J. E. H art............ ....... L in coln
W . F. P arker___ W ood Lake
Geo. C. W ebster. ..... ..Shelton
Aug1. Sudman.... ...... Oshkosh
W . L. M ote.......... ...Plainview
B. N. Saunders... ........N orfolk
Hugh A. B ru nin g..B elvidere
E. F. Bush........ B roken Bow
A. L. Schantz...... .........Omaha
W. A. Selleck— ........Lin coln
E. M. W a rn er..... .......L incoln
Geo. C. Cooper... .David City
A. J. Jorgenson.._____ Sidney

X X II

Banks that have passed into hands of Receivers from January 1, 1900, to June 30, 1927.

R eceiver

20,000.00
25,000.00
25,000.00
15,000.00
15,000.00
40,000.00
20,000.00
50,000.00

10- 1-1921
10-27-1921
11-16-1921
12- 3-1921
1-10-1921
5-23-1921
11-30-1921
12-13-1921

Dan J. R iley ...... . ____ Dawson
F red A. Cum bow — V alentine
S. H. M orten.... ..H artington
A. M. Longm an. ............ Eagle
W . H. R athsack. ..... T h edford
Van E. Peterson ____ L in coln
A. J. Jorgenson. .......... Sidney
F red E. Bodie.. ____ L incoln

1- 3-1922
.Fairbury
.... 9-28-1895 100,000.00
2- 8-1922
25,000.00
.Bayard ____ .... 9-26-1916
2- 7-192 2
75,000.00
.Ogallala ___ .... 6-25-1900
E xchange Bank.
2-17-1922
.H om er
......... .... 8- 9-1895
25,000.00
4-14-1922
.W alton ____ .... 2-20-1909
10,000.00
30,000.00
5- 2-1922
.Newcastle .... .... 5-21-1901
6-12-19 22
25,000.00
.Long Pine .....— 12-11-1905
7-26-1922
20,000.00
.W aterloo
__ ....11-20-1905
Bank o f W a te rlo o ........
15,000.00
8- 3-1922
.E ndicott ----- .... 5-28-1917
E n dicott State Bank7-19-1922
25,000.00
.Shelton ......... ....10- 9-1912
Shelton State Bank...
7-19-1922
20,000.00
.M illigan ___ .... 2-28-1917
9-19-1922
25,000.00
.M orrill ...... . .... 2- 1-1909
9- 2-1922
10,000.00
3 W ayne County Bank.
.Sholes ______ .... 4- 8-1912
9-19-1922
35,000.00
.H em ingford ....11-18-1901
9-16-1922
15,000.00
Farm ers State Bank.
.Benedict ___ .... 5-16-1912
9-27-1922
15,000.00
6 W a co State B ank.
-W aco
........... .... 4-20-1916
9-28-1922
25,000.00
......... ...11-24-1915
.Gering
State Bank o f Gering
3-25-1922
25,000.00
Farm ers State Bank.
...... .... 7- 1-1913
-W inside
15,000.00 12-15-1922
-Bennett ......... .... 7-26-1906
50,000.00 12-11-1922
-K im ball
___ ....10-24-1 908
0 Citizens State B ank....
A m erican State B ank___
-Omaha
......... ....11- 4-1914 200,000.00 12- 4-1922
1-17-1923
15,000.00
-Berwyn ......... ....12- 7-1906
2 Berw yn State B ank......
1-11-1923
25,000.00
A m erican E xchange B ank.....Bristow
-Bristow ......... .... 8-26-1902

W . H. S ch nu elle....F airbury
L. A. F rick e ...... .........Bayard
C. M. Em pson.. ___ Chappell
H. H. A d a ir____ D akota City
J. E. W h itn ey.. .........L in coln
S. H. M orten ___ ..H artington
W . F. Parker.... W o o d Lake
J. N. W y a tt....... .......E lkhorn
R. S. W ilfley ...... ..Steele City
Geo. C. Gage.... ..... .Frem ont
B. A. L ynn ____ _____ Geneva
Chas M orrill...... . ...Scottsbluff
B. N. Saunders...____ N orfolk
Ralph B. Sch nu rr....H arrison
C. H. K ollin g.... _______ Y ork
J. E. W h itn ey.... ...... ..L incoln
C. A. M orrill___ ...Scottsbluff
Nathan Chace... ____W inside
E. J. Dempster.. .........Geneva
J. W . R o g e rs........L o d g e p o le
K. C. K nudson... ..........Omaha
F. J. C leary...... Grand Island
R ollie W . Ley... .......... Wayne

34 K ilg ore State Bank.
37
38
39
41 The G oodrich B rothers
B anking Com pany...........
43

48
49
50
5
55
5
57
58
6
61
6
63


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

Organized

Table R ock .. ....11-10-1916
K ilgore _____ .... 2- 1-1909
.Obert
........... .... 8-14-1917
.Springfield ....... 5-13-1911
.Dunning ___ .... 7-17-1917
-H oldrege
.... 7- 6-1914
...... .... 7-20-1915
.Gurley
.Plattsm outh ....12-30-1901

X X II

R eceiver
A ppointed

L ocation

BU REAU OF BANKING

Capital

Name o f Bank

64
65
66
67
68
69
70
71
72
73
74
75
76
77
78
79
80
81
82
83
84
85
86
87
88
89
90
91
92
9
94
95
96

L ocation

Organized

South F ork State B ank......... Cham bers .......... 11-24-1915
H enry State B an k ..................... H enry .................. 11-22-1909
Gross State B ank..................... Gross
.................. 7-13-1901
M askell State B ank................ M askell ............... 4- 7-1908
First State B ank........................K enesaw
.......... 5-29-1908
W ayside State B a n k ................ W ayside ............. 8- 1-1919
Broadw ater B ank..................... B roadw ater
.... 4-12-1909
............ 7-25-1916
Citizens State B ank................. M cCook
Farm ers State B ank................. Dixon ................ 10- 1-1919
Security State B ank.................E ddyville .......... 2-28-1907
Farm ers State B ank.................Bushnell .............11-21-1917
Citizens State B ank................ R oyal ................. 6- 9-1913
Atlas State B ank......................N eligh
............... 11- 3-1898
Springview State B ank............ Springview ....... 9-24-1903
............... 2- 1-1917
Citizens State B a n k ................ P otter
Bank o f W a v erly ......................W averly ............ 8-21-1895
Farm ers State B ank................. Dix ...................... 1-12-1917
Bank o f C rook ston ................... C rookston .......... 8- 7-1908
Lorenzo State B ank..................L orenzo
............ 6- 9-1919
T h edford B ank.......................... T h ed ford
.......... 12- 2-189 5
Security State B a n k .................M cGrew
............ 8-14-1920
Farm ers State B ank.................B artley ............... 4-27-1917
Farm ers State B ank.................Culbertson ....... 7- 2-1917
M onow i State B ank................... M onow i ............... 7- 1-1902
First State B ank........................ N ickerson .......... 11-17-1902
Trum bull State B ank.............. Trum bu ll .......... 7-14-1902
Clinton State B ank .................Clinton .............. 4- 6-1917
Bank o f C ollege V iew ............C ollege V iew .... 6-11-1906
Farm ers B ank............................ C raw ford
.......... 2- 7-1919
3 V alentine State B ank...........Valentine .......... 8-31-1901
Farm ers State B an k.................Am es ................... 8-20-1924
Citizens State B an k.................Chadron ............ 8- 8-1895
Citizens State B ank.................C arroll ................ 5-18-1914


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

Capital

R eceiver
A ppointed

R eceiver

X X IV

Name o f Bank

15 .000 . 00 1-11-1923
E dw ard A dam s....C harm bers
10 .000. 00 2-24-1923 J. W . R og ers...........L od gepole
10.000. 00 2-28-1923 R ollie W . L ey ................W ayne
20 .000 . 00 2-15-1923 S. H. M orton ...........H artington
2 5 .0 0 0 . 00 5-21-1923 C. K. H art....................... M inden
10 .000. 00 6- 8-1923 * Fay C. H ill.......... .......G ordon
25 .000 . 00 7-10-1923 j . W . R og ers...........L od gepole
50 .000 . 00 7-24-1923
Van E. P eterson ........L in coln
20 .000 . 00 9-14-1923 R ollie W . L ey .................W ayn e tti
15 .000 . 00 7- 5-1923 F. J. Cleary....G rand Island cj
25 .000 . 00 9-14-1923 j . W . R og ers............ L od gepole jjEj
15 .000 . 0011-14-1923 R ollie W . L ey.................W ayn e E
80 .000 . 005-21-1923
E m il F old a ................... C larkson cj
5,000.00 12-12-1923 Fay C. H ill.................... G ordon
15 .000 . 00 12-17-1923 Van E. P eterson ...........L in coln ^
15 .000 . 00 12-31-1923 E. J. D em pster............. Geneva
20 .000 . 0012-14-1923 Van E. P eterson .......... L in coln rj
20 .000 . 00 5-21-1923 Fay
C. H ill.....................G ordon g
15 .000. 00 1-19-1924 Van E. P eterson .......... L in coln ¡*j
10 .000. 00 2-25-1924 Van E. P eterson .......... L in coln H
10 .000 . 00
3-28-1924
J. W . R og ers.L od gepole q
20 .000 . 00 5- 2-1924 Van E. P eterson ......... L incoln
20 .000 . 00 4-30-1924 Van E. P eterson .........L in coln
12 .000 . 00 6-13-1924 Van E. P eterson ......... L in coln
25 .000 . 00 7-10-1924 Em il F o ld a ..................C larkson
10 .000 . 0010-24-1924 E. J. D em pster..............Geneva
15 .000 . 00 8-26-1924 Fay
C. H ill................... G ordon
25 .000 . 00 8-15-1924 Van E. P eterson .........L in coln
35 .000 . 0012-16-1924 Fay
C. H ill................... G ordon
2 5 .0 0 0 . 00 2-11-1925 F ay
C. H ill................... G ordon
15 .000 . 003- 5-1925
Em il F o ld a ..................C larkson
75 .000 . 00 7-1925
F ay C. H ill.................... G ordon
25 .000 . 00 5-21-1925 R ollie W . L ey ................W ayne

Name o f Bank
A n gora State B ank.........
R epu blican V alley Bank.
R epublican V alley Bank.
F arm ers State B ank.......
D odge County Bank.......
Old Gold B ank.................
A m erican B ank.................
P eru State B ank...............
M acy State Bank...............
M cLean State B ank..... .
N iobrara V alley B ank.....
N eligh State B ank..........
F arm ers Bank....................
Citizens State B ank........
Beverly State B ank.......
Orchard State Bank........
Bank o f C om m erce..........
Security State B ank........
Citizens State B ank........
F arm ers State B ank........
Security State B ank........
F arm ers State B ank........
Citizens State B an k........
C om m ercial State Bank.
Seneca State B ank..........
Farm ers State Bank........
B row nville State Bank...
F arm ers State B ank.......
B ostw ick State B ank.....
Citizens State B ank........
Union State B ank............ .
Santee State B ank..........
The State B ank................. .


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

' Organized

..Angora .............. 4-21-1914
..Naponee .............. 7-25-1908
..Riverton ........... 5-31-1906
..Adams .............. 6-16-1908
.H ooper .............. 8-10-1895
.............. 12-11-1913
.T aylor
.Sidney
.............. 8-10-1895
.Peru .................. 3-15-1910
.M acy
.......
5-12-1919
.M cLean .............. 4- 6-1901
.N iobrara ........... 9-14-1895
.Neligh
.............. 1-24-1916
.Stapleton ......... 9-17-1906
.B loom field ......... 8-28-1899
.B everly .............. 12-12-1916
.Orchard
........... 9-12-1901
.H astings ........... 7-20-1905
.Lynch ................ 2-28-1917
.Ralston .............. 1-18-1919
.W olbach ........... 3-27-1908
.Omaha .............. 9- 7-1926
.Craig
................ 7-29-1905
.Lyons ................ 6- 1-1917
.Omaha .............. 3-22-1909
.Seneca
.............. 4- 9-1918
.Cotesfield ......... 3-12-1917
.Brow nville ...... 2-21-1913
.Randolph ......... 5- 7-1917
.Bostw ick
......... 5-17-1910
.Stapleton ......... 5-15-1926
.Harvard ........... 3- 6-1889
.Santee
.............. 4- 6-1917
JPapiiiion ........... 2- 5-1915

Capital
25,000.00
10,000.00
10,000.00
25,000.00
25,000.00
20,000.00
100,000.00
15,000.00
10,000.00
15,000.00
20,000.00
50,000.00
15,000.00
50,000.00
10,000.00
10,000.00
75,000.00
20,000.00
20,000.00
20,000.00
100,000.00
35,000.00
30,000.00
10,000.00
20,000.00
15,000.00
15,000.00
20,000.00
15,000.00
15,000.00
25,000.00
10,000.00
20,000.00

R eceiver
A ppointed

R eceiv er

3-30-1925
J. W . R o g e rs.........L od g ep ole
7- 1-1925
Van E. P eterson .........L in coln
6- 2-1925
Van E. P eterson .........L in coln
7--1925
E. J. D em pster............Geneva
6-23-1925
E m il F o ld a .................C larkson
7-19-1925
Van E. P eterson ......... L in coln
11-23-1925
J. W . R o g e rs ......... L od g ep ole
11- 6-1925
E. J. D em pster............Geneva
7- 9-1925
R ollie W . L ey .............. W ayn e
9- 8-1925
R eorgan ized
9-21-1925
R ollie W . L ey .............. W ayn e
10- 2-1925
R ollie W . L ey .............. W ayne
10-14-1925
I. A. K ir k ......................G ibbon
11-14-1925
R ollie W . L ey .............. W ayne
11-21-1925
Van E. P eterson ......... L in coln
1- 6-1926
R ollie W . L ey .............. W ayne
2- 1-1926
Van E. P eterson ......... L in coln
3-15-1926
Fay C. H ill................... G ordon
1-28-1926
R. O. B row n ell.........Schuyler
6- 9-1926
I. A. K irk .....................G ibbon
9- 4-1926
R. O. B row n ell......... Schuyler
12-15-1926
R ollie W . L ey .............. W ayne
8-12-1926
R ollie W . L e y .............. W ayne
12- 1-1926
R. O. B row n ell........ Schuyler
7-17-1926
I. A. K irk .................... G ibbon
4-19-1926
I. A. K irk .................... Gibbon
5- 6-1926
E. J. D em pster.......... Geneva
2-24-1926
R ollie W . L e y .............. W ayne
3-13-1926
E. J. D em pster............Geneva
5-22-1926
Van E. P eterson ......... L in coln
5-11-1926
Van E. P eterson ......... L in coln
5- 3-1926
R ollie W . L ey ............... W ayn e ^
8-31-1926
R. O. B row n ell.......... Schuyler X

BUREAU OF BANKING

97
98
99
100
101
102
103
104
105
106
107
108
109
110
111
112
113
114
115
116
117
118
119
120
121
122
123
124
125
126
127
128
129

L ocation

Organized

First State Bank.................... ...R ich field
.......... 6- 6-1919
................... 8-24-1895
Ord State B ank........................ Ord
Sweetwater State B ank..........Sw eetw ater
....11-16-19 09
Silver Creek State B ank..........Silver Creek .... 3- 4-18 92
Farm ers State B ank..................R osalie .............. 3-26-1909
Farm ers State Bank............ ....A nsley
------------10-20-1904
R oyal State B ank..,...............R oyal ..................
3-27-1907
First State Bank.................. ...Bazile Mills ....12-19-1917
Farm ers State B ank..................E ricson ------------ 3-12-1917
Farm ers State B ank..................Elba ......... ......... 3- 3-1911
Brayton State B ank............... ..Brayton
— 7- 2-1907
Bank o f A n gus........................... Angus
............. .12- 4-1905
State B ank.....................................N elson
.......-... 4-16-1914


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

Capital
1 0 .0 0 0 .
60 .000 .
10 .000 .
30 .000 .
2 5 .0 0 0 .
2 5 .0 0 0 .
20 .000 .
1 5 .0 0 0 .
15 .000 .
15 .000 .
10 .000 .
10 .000 .
5 0 .0 0 0 .

R eceiver
A ppointed
00 9-29-1926
00 9-18-1926
0012-24-1926
00 5-19-1927
00 5-23-1927
00 5-20-1927
00 6- 1-1927
00 6- 2-1927
00 2- 1-1927
00 6- 6-1927
00 2- 7-1927
00 1- 8-1927
00 4-27-1927

R eceiver
R. O. B row n ell...........Schuyler
I. A. K irk ........ .............Gibbon
I. A. K irk ...............
Gibbon
Gibbon
I. A. K irk ..............
R ollie W . L ey ___ ......W ayn e
I. A. K irk ..................... Gibbon
R ollie W . L ey ............... W ayne
R ollie W . L ey ............ ...W ayne
I. A. K irk ............. ........Gibbon
I. A. K irk ...................... Gibbon
I. A. K irk .......................Gibbon
E. J. D em pster.............Geneva
E. J. D em pster_______Geneva

BU REAU OF BANKING

130
131
132
133
134
135
136
137
138
13 9
140
141
142

L ocation

XXVI

Name o f Bank

BANKS OPERATED BY GUARANTEE FUND COMMISSION
Name o f Bank

16
19

24
26
27
28

Organized

Capital


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

6-24-1924
6-24-1924
2- 9-1925
3- 7-19 25
3-20-1925
5- 2-1925
5-15-1925
5-20-1925
5-22-1925
5-22-1925
6-24-1925
7-15-1925
9-14-1925
9-29-1925
11-24-1925
1- 4-1926
1-13-1926
2-24-1926
2-26-1926
3- 1-1926
3-13-1926
3-15-1926
5-19-1926
6- 1-1926
7-31-1926
8- 4-1926
8-14-1926
9-27-1926
10- 2-1926
10- 5-1926
10- 7-1926
11- 4-19 26

Special Agent
C. W . Lynn
F. W . V ybiral
R. H. M ohrm an
M. H. G arrison
E. M cD ow ell
H. B .' W a ldron
A rth u r E ricson
G. C. D uling
P. L. Z uelow
P. L. Z uelow
Charles Stone
T. E. Roe
E. C. Penny
L eR oy H. R eif
A. O’. N elson
Ivan M. P ollard
P. W . M urphy
H ow ard M ielenz
G. C. D uling
U. F. Stanard
S. E. Ew ing
A. M. Strunk
C arroll Brow n
E. J. A very
E. R. Brock
John Tully
C. L. Swanson
H. L. M illay
H arry H enatsch
J. M. M ohney
E. C. Penney
C- A. Frasier

XXVI

.Blair
............... -12-20-1915 $50,000.00
.Kennard .......... - 4- 6-1898
30,000.00
.Pawnee City ... . 4-12-1912
30,000.00
.So. Sioux City... . 8-24-1908
25,000.00
-Snyder ............... - 7-28-1905
25,000.00
.B ennington
.12-11-1891
15,000.00
-Bridgeport ...... . . 4-18-1900
25,000.00
.Newport ............ .12-21-1898
30,000.00
.Ewing
............ . 3- 3-1906
20,000.00
Pion eer State Bank.
-Ewing
............ . 3-15-1900
25,000.00
-Clearwater ..... -10-14-1901
12,000.00
18,000.00
............ . 5- 4-1903
-Verdel
40,000.00
-Ulysses ______ .11-16-1889
20,000.00
.Thurston
.12-30-1918
25,000.00
-Meadow Grove. . 3-18-1890
25,000.00
Farm ers & M erchants Bank. .Fairfield .......... . 6-22-1908
50,000.00
-Omaha (B en son ) 7- 2-1904
35,000.00
-W ahoo ............ . . 3-29-1917
15,000.00
State Bank o f Bassett.
.Bassett ______ .10-17-1893
.12-30-1916
20,000.00
-W estern
20,000.00
.Brunsw ick
..... .11- 6-1915
20,000.00
-Beiden
______ . 2-21-1917
25,000.00
-D annebrog ..... . 1-15-1894
.Elgin
............ . . 6- 8-1888 100,000.00
Elgin State Bank.
25,000.00
-Belgrade .......... . 6-20-1900
10,200.00
-Giltner ............ .12-28-1905
Citizens B an k ............
10,000.00
-Spring Ranch .. 8- 6-1912
Blue V alley State B e
50,000.00
-Crofton ............. . 2-10-1906
Farm ers State Bank.
15,000.00
..Magnet ............ . 1- 7-1902
15,000.00
.-Cornlea
.......... . 1-13-1905
15,000.00
-Ulysses .......... . 6-22-1906
37,500.00
.Osceola ............. . 1-27-1903

Taken Over

BUREAU OF BANKING

9

L ocation

Organized

Capital

Taken Over

E nola State B ank..................... E nola .................. 4- 1-1915
2 0 , 000.00 11-15-1926
C om m ercial Exchange Bank...D oniphan ......... 9-23-1911
15 .000 . 0011-18-1926
S. S. H adley C o..........................Cedar Rapids .. 8- 7-1895
50 .000. 0011-19-1926
............... 7- 6-1916
State Bank o f A n sley.............. Ansley
25 .000 . 0012-10-1926
F arm ers State Bank................. Y ork
................. 1- 8-1916
50 .000 . 00 12-16-1926
Farm ers State B ank................ Eagle
................. 11-18-1918
15 .000 . 00 1-12-1927
Platte V alley State B ank........N orth Platte .... 6-12-1911 1 0 0 , 000.00
1-14-1927
Jackson State B an k................. Jackson
............ 6-17-1918
15 .000 . 00 1-17-1927
F arm ers State B ank................. Petersburg ........ 8- 8-1901
50 .000 . 00 3-12-1927
Citizens State B ank................. Petersburg ........ 9- 3-1901
2 0 . 0 0 0 . 00 3-16-1927
M inatare B ank.......................... M inatare
.......... 9-24-1901
2 5 .0 0 0 . 00 3-23-1927
Oakdale Bank.............................Oakdale ............ 5- 9-1904
30 .000 . 00 3-26-1927
A n telope County Bank............ Oakdale ............. 12- 3-1891
18 .000 . 00 3-29-1927
Dunbar State Bank................... Dunbar ............... 5-16-1891
25 .000 . 00 4- 4-1927
M alcolm State B ank.................M alcolm ............ 8-26-1906
20 . 000 . 00 4- 8-1927
F irst State Bank......................D annebrog ....... 1- 8-1907
15 .000 . 00 4-14-1927
State Bank o f S u perior...... ...Superior ............ 2- 7-1914
50 .000 . 00 4-23-1927
B ennington State Bank..........Bennington ....... 9-22-1911
25 .000 . 00 4-28-1927
Nebraska State B ank.............. H arvard ............ 5-10-19 26
2 5 .0 0 0 . 00 5- 9-1927
Bank o f B u rch ard ................... Burchard ............ 7- 1-1894
25 .000 . 00 5-24-1927
M ount Clare State Bank..........M ount Clare .... 4-27-1904
10 . 000 . 00 6- 3-1927
Lakeside State B ank...............Lakeside ............ 4- 1-1914
11 , 000.00
6- 3-1927
Farm ers & M erchants Bank...G retna
..............12-26-1900
20 , 000.00
6- 8-1927
Farm ers State Bank.............. Hazard ............... 8-16-1919
20 , 000.00
6-18-1927
F arm ers State Bank................. N ew castle ......... 1-19-18 93
20 , 000.00
6-23-1927


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

Special Agent
A. O. Nelson
John Tully
R ollin Buell
J. H. W atts
W . H. L iggett
F. H. Copley
W . J. Chase
G. J. Boucher
J. W . W eiand
R. C. K ing
C. E. Brown
Charles S. Stone
Charles S. Stone
J. M. Eiser
D. C. K reuscher
Carroll Brow n
Clyde F. Brow n
H. B. W aldron
A. E. T orgeson
R. H. M ohrman
V. A. Hall
R. B. Sailor
H ow ard Mielenz
Felix Jelinek
W . G. Barbour

BU REAU O F BANKING

33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57

L ocation

X X V III

Name o f Bank

STATISTICS REGARDING NEBRASKA STATE BANKS
1890 to June 30, 1927

Total
Resources

Year

Month

Day ~

I i

Total
Population

Authorized
to commence
business

In
Operation

of

State

$

32 ,1 5 4 ,7 4 5 .2 0

1890

October

CAPITAL FUNDS

TOTAL NUMBER OF BANKS

DATE

1 ,0 6 2 ,6 5 6

18

Converted
to
National
Banks

Converted
from
National
Banks

Mergers
and
Consolida­
tions

Voluntarily
Liquidated

Failed

Capital
of
All Banks
11 ,1 5 5 ,4 1 2 .0 0

513

Surplus
of
All Banks
8 2 5 ,4 9 9 .8 4

1892

31 ,560 ,014 .09

1893

31 ,4 4 3 ,5 4 7 .0 4

1894

26 ,1 9 8 ,3 5 0 .5 8

1895

20 ,5 6 5 ,8 8 1 .6 0

1896

23 ,6 7 0 ,8 6 4 .5 8

1897

27 ,6 8 0 ,4 7 5 .4 9
27 ,0 5 3 ,6 9 3 .0 8
30 ,683 .955 .67

1898
1899
1900

36 ,2 9 7 ,2 4 6 .6 6

1901

41 ,3 5 0 ,7 4 7 .1 0

1902

4 4 ,6 7 8 ,4 4 0 .1 8

1903

48 ,6 0 8 ,4 4 0 .1 8

1904

62 ,1 9 3 ,9 7 3 .8 0

1905

67 ,9 7 7 ,8 2 6 .7 2

1906

76 ,167 ,880 .83

1907

78 ,7 1 9 ,4 7 4 .3 3

1908

89 ,134 ,446 .52

1909

88 ,8 3 6 ,6 9 7 .8 1

1910

91 ,8 9 3 ,2 5 8 .1 6

1911

1 0 2 ,5 6 9 ,9 6 8 .1 6

1912

11 2 ,7 9 1 ,2 0 2 .8 9

1913

1 1 7 ,6 3 4 ,1 7 2 .3 4

.1914

14 1 ,7 0 3 ,2 5 8 .6 9

1915

19 3 ,2 0 8 ,9 0 2 .4 8

1916

2 5 6 ,2 2 7 ,5 0 9 .5 3

1917

2 7 7 ,3 9 4 ,6 2 1 .3 4

1918

32 5 ,5 5 4 ,9 0 1 .3 8

1919

3 0 9 ,7 0 7 ,5 9 1 .8 6

1920

26 8 ,0 1 7 ,1 6 3 .9 3

1921

28 5 ,2 4 9 ,2 4 3 .0 3

1922

2 8 4,89 7,10 3.96

1923

3 1 0 ,7 3 4 ,3 8 6 .0 9

1924

3 2 0 ,8 2 6 ,8 5 4 .3 4

1925

31 3 ,4 0 7 ,0 7 7 .4 3

1926

3 1 2 ,5 7 7 ,2 2 6 .5 5

1927


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

Undivided
_ Profits
of All Banks
8 4 6 ,6 7 5 .7 2

Total Capital
Surplus and Un­
divided Profits

Aggregate
Amount of
Increase

Number of
Banks Which
Decreased
Capital

Aggregate
Amount of
Decrease

November
December
December
December
December
November
December
December
December
December
November
November
November
November
November
November
November
November
November
December
November
October
October
December
November
November
November
November
November
December
December
December
December
December
December
June

11 ,257 ,099 .00
10

3

15

1 ,0 1 2 ,5 1 4 .2 2
9 6 6 ,1 5 3 .6 3

12 ,836 ,750 .76

17

10 ,840 ,744 .83

31

10 ,4 0 7 ,8 3 8 .2 5

1 ,0 06,8 51.7 6

9 3 8 ,5 6 3 .6 3

12 ,3 5 3 ,2 5 3 .1 5

19

504

34

29

482

17

8

31

447

11

3

16

27

9,2 16,5 25.0 0

1 ,0 0 2 ,6 7 5 .3 3

6 6 3,07 2.49

10 ,8 8 2 ,2 7 2 .8 2

1

15

24

8,2 3 3 ,6 6 5 .5 6

8 7 7,64 2.09

5 0 9 ,4 7 4 .7 0

9,6 20,7 82.3 5

Loans and
• Discounts

Investments

24 ,160 ,441 .79

8 4 8 ,4 6 1 .3 3

Demand Includes
Demand Certificates
of Deposit

fcj
o>
P

Savings
(Includes Time
Cert, of Dep.)

HH

2 9 ,0 1 1 ,3 2 1 .3 9

1,5 87,2 87.6 1

o

O

2 4 ,1 1 8 ,0 1 9 .6 7

1 ,0 7 1 ,8 5 2 .0 6

*«3

rt

*c3

2 3 ,4 8 5 ,0 0 6 .4 6

1 ,2 3 9 ,7 1 6 .8 1

4>
9
4)
O

4)
d
V

i

1,3 47,5 48.0 7

p
d
V

V

1 9 ,2 5 9 ,8 0 2 .7 3
14 ,687 ,636 .77

1 ,0 9 4 ,3 0 1 .5 6

V

V

J5

*u
«3

V

V
O

O

r

DEPOSITS

ASSETS

M

M
V
o

13 ,2 7 2 ,2 5 9 .6 9

1 ,0 0 2 ,6 4 6 .4 7
1 ,0 2 9 ,8 5 2 .3 0

513

5

Authorized Capital
of Banks Established
During Year

12 ,827 ,587 .56
i-t

1891
39 ,3 1 4 ,6 5 1 .7 1

EARNING
Number of
Banks Which
Increased
Capital

4>
O
¡3
*3

Due I from
Bainks

Total

17 ,513 ,696 .97

3 ,5 7 9 , ¡ 1 3 9 . 9 7

3 6 3,38 3.40

9 4 0 ,7 0 5 .2 3

1 3 6,07 0.68

1 ,3 7 8 ,7 1 6 .5 1

1,7 44,5 73.1 4

18 ,074 ,832 .43

3 ,2 2 6 ,0 1 9 .8 4

1,0 15,4 61.4 6

1 ,7 6 1 ,1 5 6 .7 9

Vi

d
V

14 ,200 ,775 .63

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

10 ,227 ,537 .93

1 ,9 8 4 ,0 3 2 .5 6

M
V
O

7

3

27

7,8 5 5 ,2 7 8 .7 0

8 8 2 ,8 9 6 .3 2

5 8 3 ,3 5 1 .7 8

9,3 21,5 26.8 0

15 ,625 ,798 .51

1 ,3 3 2 ,5 9 0 .7 0

13 ,9 0 2 ,9 4 0 .3 6

3 ,7 6 1 ,( 6 1 1 .9 1

2

13

7,5 3 2 ,0 2 3 .7 0

9 0 6,05 1.75

6 7 4 ,3 8 0 .9 6

9,1 12,4 56.4 1

3 1 1 ,5 0 0 .0 0

17 ,810 ,606 .51

1,5 3 3 ,7 8 5 .1 9

18 ,225 ,180 .14

6 ,1 1 4 ,7 2 3 .5 6

6

6 ,3 1 7 ,2 8 5 .0 0

8 4 6,67 8.09

7 3 1 ,9 1 0 .9 8

7 ,8 9 5 ,8 7 4 .0 7

26 7,25 0.00

18 ,772 ,114 .00

1,1 25,1 76.8 0

1 8 ,740 ,754 .91

4 ,4 3 6 ]4 7 7 .9 8

1

324

19

2

339

25

13

1 ,0 66,3 00

347

31

10

381

48

25

429

70

17

4459

47

482

40

10

id )

9

n6 530

73

12

563

59

2

1

2 ,1 7 8 ,7 3 4 .3 9

2 1 0 ,5 7 3 .5 0

14

m

1 ,6 7 6 ,6 9 9 .5 0

2 ,9 4 1 ,1 7 0 0 .0 6

326

V
xn

1 ,4 4 9 ,7 7 7 .2 7

4 ,8 2 1 ,1 2 3 3 .8 8

320

V
CO

Cash on Hand

24 ,891 ,113 .29

30

«
n

Bills Payable
and
Re-Discounts

17 ,208 ,476 .14

31

V

Due to
Banks

o5

4)
d
O

1 ,1 1 4 ,4 0 2 .1 4

1,6 25,3 02.8 8

7 1 7,56 1.32

1 ,4 9 6 ,5 3 2 .5 6

4 4 6 ,3 9 7 .4 2

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

3 4 1 ,8 3 8 .9 4

1 ,9 9 3 ,0 9 3 .5 3

4 1 7,06 3.10

1,6 85,0 12.4 6

10

1

1

9

6 ,1 9 9 ,4 5 0 .0 0

9 4 6 ,7 4 3 .1 5

1 ,0 6 8 ,1 2 1 .1 8

8 ,2 1 4 ,3 1 4 .8 3

2 3 3 ,0 0 0 .0 0

19 ,9 2 5 ,4 2 7 .2 0

1 ,1 1 1 ,0 3 9 .7 0

22 ,4 9 9 ,0 2 1 .3 3

6 ,8 3 6 ,1 3 9 .6 9

2

6

6,4 88,4 50.0 0

1 ,0 7 9 ,2 5 8 .2 4

9 8 7,36 6.50

8,5 55,0 74.7 4

4 5 9 ,5 0 0 .0 0

2 3 ,2 2 7 ,2 9 1 .1 8

1,0 13,0 89.4 7

27 ,6 3 4 ,1 1 6 .5 7

8 ,9 4 4 ,3 8 9 .4 7

70 9,70 0.00

3 0 ,262 ,357 .43

9 6 8,68 3.26

2 1 ,8 9 6 ,2 0 3 .4 9

9 ,3 8 3 ,4 1 1 .5 3

31 ,2 7 9 ,6 1 5 .0 2

6,6 40 ,:(5 7 1 . 0 9

32 ,3 6 2 ,9 2 8 .6 6

1 ,0 4 1 ,1 7 3 .9 8

2 3 ,0 9 7 ,0 6 1 .6 6

10 ,4 9 8 ,9 7 8 .9 3

3 3 ,5 9 6 ,0 4 0 .5 9

7 ,6 0 3 ,1 3 5 9 .0 9

6 3 9 ,8 2 6 .7 9

4 5 5 ,1 9 9 .4 4

2 ,3 5 0 ,4 0 6 .8 1

34 ,508 ,930 .12

9 3 7 ,0 0 6 .6 4

24 ,1 9 6 ,4 5 9 .7 6

12 ,568 ,283 .46

36 ,764 ,743 .22

9 ,3 1 6 ,5 6 3 .3 3

8 3 7 ,2 2 7 .9 2

3 4 6,36 0.83

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

V

1 6 9,71 5.50

1 ,8 0 1 ,6 0 6 .9 7

CQ

1 0 8 ,0 5 5 .3 5

2,0 18,9 27.3 6

5 7 9,55 7.52

2,2 43,4 15.0 3

4

5

i o

3

5

3

6

7 ,1 4 8 ,9 0 0 .0 0

1 ,1 7 3 ,6 2 3 .2 7

1 ,1 6 3 ,9 6 0 .6 5

9 ,9 8 7 ,3 7 2 .7 6

2(1)

9

2

1

4

7 ,4 2 6 ,0 0 0 .0 0

1 ,3 1 1 ,7 1 7 .1 9

1 ,2 4 9 ,6 5 5 .5 7

9 ,9 8 6 ,4 8 3 .9 2

6

7 ,8 8 6 ,4 0 0 .0 0

1 ,4 4 2 ,1 9 0 .9 6

1 ,3 1 9 ,7 9 1 .7 2

10 ,6 4 9 ,3 8 2 .6 8

11

8 ,8 4 5 ,4 4 0 .0 0

1,7 56,8 62.3 3

1,3 24,2 86.2 2

11 ,926 ,588 .95

41 ,753 ,110 .73

1 ,2 2 3 ,0 3 7 .7 1

49 ,0 4 7 ,0 8 1 .3 8

1 4 ,5 3 8 ,1 0 5 1 .2 5

1,1 10,2 53.8 2

11 0,04 9.65

3,0 07,7 14.8 3

9 ,0 9 6 ,6 4 0 .0 0

1 ,8 1 7 ,1 9 8 .5 9

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

12 ,2 5 7 ,2 9 9 .5 2

37 ,747 ,745 .25

1 ,3 4 6 ,2 6 8 .5 9

3 4 ,3 6 0 ,1 8 5 .2 4
3 6 ,0 4 3 ,4 7 0 .0 0

1 4 ,6 8 6 ,8 9 6 .1 4

6

18 ,0 7 0 ,0 0 0 .7 2

54 ,1 1 3 ,4 7 0 .7 2

1 3 ,9 6 0 ,2 8 7 .2 7

1 ,4 1 9 ,5 5 4 .8 1

2 3 9 ,4 4 2 .1 6

3 ,1 6 4 ,7 3 7 .9 5

5

9,9 97,7 59.4 1

2 ,0 3 3 ,5 4 4 .3 8

1 ,5 9 4 ,3 3 7 .4 3

1 3 ,625 ,641 .22

66

6 1 0 ,3 0 0 .0 0

5 5 3,50 0.00

5 4 ,4 3 3 ,1 7 6 .0 5

1 ,6 3 3 ,0 9 9 .9 5

3 7 ,3 6 1 ,0 7 4 .0 2

23 ,4 2 2 ,3 7 8 .1 9

60 ,783 ,452 .21

1 4 , 2 0 4 , 0 3 6 .1 8

1 ,3 4 4 ,6 4 6 .3 7

3 3 9 ,2 3 2 .5 9

3 ,8 9 2 ,2 1 2 .3 6

10
3(1)
ll( i )

1

6

4

5

2

1

1

5 0 8,50 0.00

30

601

52

1(1)

9

27

615

32

5(D

7

4

2

10 ,7 1 0 ,0 3 0 .0 0

2 ,0 6 5 ,6 6 7 .3 2

1 ,6 1 1 ,0 2 5 .1 7

1 4 ,376 ,722 .49

77

5 8 6,60 0.00

51 0,00 0.00

5 5 ,1 7 7 ,6 5 0 .4 6

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

3 9 ,6 3 6 ,1 4 6 .7 7

2 2 ,9 4 7 ,6 4 3 .5 4

6 2 ,5 8 3 ,7 9 0 .3 1

1 5 ,8 2 6 ,8 0 7 .6 2

1 ,3 6 7 ,6 1 4 .3 2

2 9 7 ,0 1 2 .3 6

4 ,0 8 6 ,5 5 1 .0 0

16

659

64

5(1)

5

2

8

11 ,967 ,240 .00

2 ,1 1 3 ,9 7 7 .2 7

1 ,6 4 6 ,1 5 4 .3 4

15 ,7 2 7 ,3 7 1 .6 1

81

9 4 0,50 0.00

9 5 9,00 0.00

6 6 ,346 ,622 .11

. 9 6 3 ,5 7 7 .5 8

45 ,2 6 6 ,7 3 6 .5 3

2 6 ,380 ,717 .91

7 1 ,6 4 7 ,4 5 4 .4 4

1 5 ,0 5 4 ,1 1 4 .9 2

1 ,4 6 1 ,9 4 9 .1 7

4 1 4,97 4.10

4,4 36,3 50.6 9

1 ,1 94,4 49

664

28

8(1)

8

5

5

12 ,5 5 5 ,4 4 0 .0 0

2 ,3 0 3 ,0 8 4 .7 7

1 ,7 2 3 ,4 4 6 .8 6

1 6 ,5 8 1 ,9 7 1 .6 3

79

8 4 8 ,7 0 0 .0 0

4 2 0,00 0.00

6 8 ,304 ,360 .66

8 8 0 ,4 0 6 .8 2

41 ,957 ,506 .15

28 ,2 1 4 ,9 1 6 .9 5

70 ,172 ,423 .10

1 2 ,7 5 1 ,1 9 1 6 .4 3

1 ,1 9 3 ,1 3 0 ,9 6

9 9 2,55 8.84

4 ,4 0 1 ,6 8 6 .4 6

5

1 ,2 05,1 77

669

26

1(1)

11

4

5

1 2 ,8 2 7 ,2 4 0 .0 0

2 ,5 8 2 ,2 9 9 .3 9

1,7 24,4 69.2 7

17 ,134 ,008 .66

57

5 1 2,80 0.00

54 7,00 0.00

6 8 ,121 ,022 .11

1 .0 3 4 ,2 2 2 .0 6

4 5 ,0 0 7 ,8 1 9 .3 5

2 7 ,1 8 4 ,1 8 0 .8 7

72 ,192 ,000 .22

1 5 ,6 9 6 j0 8 0 .5 0

1,6 94,0 46.8 3

8 7 3,20 2.45

4 ,4 3 2 ,6 5 4 .6 4

26

1 ,2 15,9 05

695

27

I d )

13 ,8 3 3 ,5 0 0 .0 0

2,9 50,8 44.2 0

1 ,8 1 8 ,0 3 9 .6 9

18 ,602 ,383 .89

30

2 1 5,60 0.00

4,4 35,6 27.8 6

2

1

14 ,4 5 5 ,1 0 0 .0 0

3 ,2 9 5 ,2 4 2 .0 3

1 ,7 2 9 ,4 5 9 .6 9

19 ,479 ,801 .72

25

2 3 2 ,7 6 0 .0 0

i

1

15 ,798 ,100 .00

3 ,8 0 7 ,2 4 2 .8 4

1 ,8 5 7 ,8 0 8 .8 1

21 ,463 ,151 .65

14

12 8,00 0.00

10

1(3)

31

1 ,2 2 6 ,6 3 5

1(3)

695

27

21

1 ,2 37,3 64

5(3)

7 1 4 (4 ) 7 1 9

46

9

1 ,2 4 8 ,0 9 3

2(3)

7 6 0 (4 )

55

762

17

1 ,2 5 8 ,8 2 2

6(3)

80 3 (4 )

809

35

20

1 ,2 6 9 ,5 5 0

3(3)

83 9 (4 )

842

101

1(1)

0

0

21(2)

1

. 11(2)

6

12(2)

1 ,2 8 0 ,2 7 9

8(3)

9 2 0 (4 )

928

20

1(2)

8

1 ,2 91,0 08

3(3)

9 3 4 (4 )

937

82

1(2)

2

13

1 ,3 01,7 37

1 3(3&6)9 9 9 ( 4 ) 1 0 1 2

13

1(3) 1 0 0 9 ( 4 ) 1 0 1 0

30

1 ,3 23,1 93

98 6 (4 )

986

4

1 ,3 3 3 ,0 2 2

93 7 (8 )

938

4

31

1 ,3 4 4 ,6 5 2

31

92 0 (8 )

928

8

87 9 (8 )

903

7

Id)

2(1)

31

83 7 (8 )

883

7

1

30

81 5 (8 )

872

4

1

GENERAL NOTE I: The source of the entire data on this sheet is the
Biennial (formerly, prior to 1917 Annual) Report as published
by this Department.
For year 1891, no data is available— the abstracts being missing.
For years 1890 to 1898 inclusive, and for the 'year 1905, the
Statement data and figures include those for Private Banks as
well as other State Institutions. There was no way of separating
and deducting it.

5(5)

7

3 2 ,964 ,348 .29

80 ,6 3 1 ,1 9 2 .8 6

1 4 ,9 3 9 ,9 4 8 .4 0

1 ,8 2 2 ,9 7 1 .0 4

1 ,4 5 3 ,4 2 0 .4 3

52 ,017 ,815 .25

3 7 ,210 ,881 .33

89 ,2 2 8 ,6 9 6 .5 8

17 ,8 1 6 *1 8 9 .5 8

2 ,5 1 0 ,2 0 0 .1 6

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

4 ,8 5 0 ,3 7 6 .2 3

4

3 1 ,000 .00

1 ,2 96,0 00.0 0

1,4 91,5 01.3 2

51 ,279 ,737 .10

4 0 ,1 1 3 ,9 0 6 .8 6

91 ,393 ,643 .96

15 .034 .i507 .53

2 ,0 9 7 ,1 9 9 .9 9

2 ,6 8 0 ,1 7 6 .7 4

6 ,0 5 0 ,3 2 3 .7 2

2

40,000 .00

1 7 ,1 1 8 ,6 0 0 .0 0

4,1 70,8 52.5 0

2 ,2 3 4 ,4 6 6 .7 1

23 ,5 2 3 ,9 1 9 .2 1

29

3 2 9 ,0 0 0 .0 0

1 ,4 0 9 ,0 0 0 .0 0

11 1 ,7 6 5 ,0 2 9 .5 2

2 ,0 6 2 ,7 2 0 .5 2

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

48 ,261 ,819 .30

11 1 ,1 1 9 ,9 6 1 .8 8

1 8 ,444 184 1.89

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

3,7 0 8 > 8 4 1 .4 0

5 ,7 6 3 ,5 3 4 .8 9

1 8 ,4 6 1 ,3 0 0 .0 0

4,7 13,0 18.4 6

2 ,6 2 8 ,5 9 7 .0 9

25 ,8 0 2 ,9 1 5 .5 5

25

2 4 7,70 0.00

84 5,00 0.00

13 6 ,6 5 5 ,8 7 3 .4 1

2 ,9 2 8 ,6 2 4 .8 3

9 0 ,0 0 0 ,9 2 3 .1 1

68 ,2 3 9 ,2 6 1 .7 0

15 8 ,2 4 0 ,1 8 4 .8 1

43,342 (04 0.83

7,2 67,3 22.1 4

1 ,8 9 8 ,4 7 9 .9 8

7 ,2 5 2 ,7 9 6 .8 6

0

2 1 ,0 5 6 ,3 0 0 .0 0

5 ,3 8 3 ,1 0 9 .5 8

2,9 25,9 14.1 1

29 ,3 6 5 ,3 2 3 .6 9

49

5 1 7 ,0 0 0 .0 0

2 ,2 31,0 00.0 0

18 9 ,4 1 8 ,4 5 4 .9 7

9 ,9 0 9 ,6 8 1 .5 8

1 0 8,84 2,40 5.06

9 5 ,3 3 3 ,5 9 3 .6 8

20 4 ,1 7 5 ,9 9 8 .7 4

4 2 ,3 4 2 ,4 5 8 .3 6

1 9 ,2 9 3 ,6 4 5 .3 1

3,3 92,5 50.7 9

8 ,7 7 9 ,3 4 3 .7 2

3

22 ,210 ,800 .00

6 ,2 6 6 ,8 0 7 .2 9

2,9 24,0 63.9 7

31 ,401 ,671 .26

60

7 9 8 ,0 0 0 .0 0

3 6 5,00 0.00

20 7 ,4 5 3 ,4 4 2 .5 3

18 ,258 ,000 .78

1 3 0,41 3,62 3.58

10 1 ,1 4 7 ,1 4 7 .5 1

2 3 1,56 0,77 1.15

3 8 ,1 0 3 ;0 2 3 .4 5

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

6 ,1 9 6 ,9 7 5 .2 7

8 ,6 2 4 ,6 5 3 .7 8

3

24 ,881 ,800 .00

7,4 00,2 55.3 0

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

36 ,079 ,610 .51

81

1 ,0 1 6 ,0 0 0 .0 0

2 ,0 1 9 ,5 0 0 .0 0

25 1 ,9 6 7 ,0 2 4 .6 7

15 ,239 ,214 .75

1 3 6 ,1 5 5 ,,7 8 5 .1 8

1 3 3 ,8 9 4 ,3 4 5 .6 0

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

4 0 ,031 ,023 .96

6 ,3 7 9 ,1 9 0 .1 5

10 ,721 ,799 .59

12 ,3 0 5 ,0 2 1 .8 5
11 ,1 0 7 ,1 5 5 .2 2

1

26 ,349 ,700 .00

8 ,1 7 4 ,3 4 1 .3 3

3,7 42,6 31.5 4

38 ,266 ,672 .87

64

85 3,00 0.00

4 4 0 ,0 0 0 .0 0

25 0 ,3 7 6 ,7 1 7 .9 7

11 ,3 5 2 ,7 8 3 .3 5

1 1 5,38 5,03 6.68

13 3 ,2 1 9 ,4 2 2 .0 9

2 4 8,60 4,45 8.77

2 9 ,8 3 6 j0 5 2 :4 9

8 ,2 3 5 ,2 0 3 .6 6

1 6 ,457 ,270 .70

1

25 ,699 ,800 .00

7,9 54,1 63.5 6

1,0 51,9 98.1 2

34 ,7 0 5 ,9 6 1 .6 8

15

1 9 2 ,0 0 0 .0 0

14 0,00 0.00

2 0 8 ,6 1 7 ,0 8 0 .9 8

1 1 ,085 ,934 .63

9 5 ,1 8 0 ,5 8 9 .2 9

11 5 ,4 4 7 ,0 3 5 .1 3

21 0 ,6 2 7 ,6 2 4 .4 2

31,630 112 9.94

5 ,7 4 0 ,9 9 0 .6 8

1 6 ,942 ,587 .15

9 ,4 5 7 ,0 5 3 .4 4

24 ,7 5 4 ,7 0 0 .0 0

7 ,4 4 9 ,4 6 3 .4 0

1 ,0 4 0 ,0 8 6 .9 1

33 ,244 ,250 .31

8

8 6 ,400 .00

2

4 0 ,0 0 0 .0 0

10 5,00 0.00

21 4 ,7 7 1 ,1 1 3 .2 6

14 ,461 ,079 .97

1 0 6 ,5 1 3 ,6 3 2 .3 5

12 5 ,0 6 8 ,4 8 9 .1 3

2 3 1 ,5 8 2 ,1 2 1 .4 8

38,924 *675 .99

6 ,9 6 0 ,5 0 4 .8 1

1 3 ,462 ,366 .43

9,9 93,1 28.5 1
9 ,7 4 1 ,0 1 5 .5 4

25
22

2

6

1(7) 1 3

5

7(7) 1 3

9

24 (7)

13

5

46 (7)

23

3

57(7)

12

The statement figures and data for years 1923, 1924 and 1925
include the figures of those banks which were being run by the
Guaranty Fund Commission (which are in fact closed or failed
banks and which therefore ought to be omitted from the above
totals).
There was no particular way of separating and then
deducting these figures.

47 ,6 6 6 ,8 4 4 .5 7

1,4 41,4 62.8 0

.( 5 )

4

2

1 ,3 4 5 ,3 4 7 .2 5

85 ,6 8 2 ,5 7 1 .6 8
92 ,7 5 4 ,7 7 7 .3 2

3(5)

10

2

7 8 ,992 ,609 .67

48 8,00 0.00

4

1

7

31

11(5)

4

1

1 ,3 12,4 65

1

2

15

31

1

7 6 5,00 0.00
1 ,0 0 0 .0 0

1

1

Note 1.
Note 2.

24 ,3 0 0 ,7 0 0 .0 0

7 ,0 7 0 ,1 1 7 .3 1

1 ,5 1 2 ,3 8 3 .1 9

3 2 ,8 8 3 ,2 0 0 .5 0

6

7 0 ,0 0 0 .0 0

2

4 1 ,0 0 0 .0 0

1 0 5,00 0.00

22 0 ,0 2 0 ,9 0 0 .1 1

17 ,378 ,462 .46

9 7 ,2 1 7 ,4 7 9 .4 8

14 0 ,3 3 4 ,7 2 4 .7 1

2 3 7 ,5 5 2 ,2 0 4 .1 9

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

5,4 13,1 79.3 6

12 ,048 ,519 .91

24 ,108 ,700 .00

7 ,0 6 2 ,8 8 1 .4 4 *

1,6 43,1 61.2 4

32 ,814 ,742 .68

3

2 5 ,000 .00

1

1 0 ,0 0 0 .0 0

1 7 5 ,0 0 0 .0 0

2 2 1 ,7 9 2 ,2 2 1 .0 6

24 ,363 ,912 .07

10 2 ,9 7 5 ,9 8 3 .7 0

1 5 9 ,1 5 6 ,1 3 3 .3 1

26 2 ,1 3 2 ,1 1 7 .0 1

5 7 ,283 ,085 .04

9 ,3 4 5 ,8 7 1 .3 3

6 ,4 4 1 ,6 5 5 .0 7

23 ,337 ,700 .00

6 ,8 8 6 ,0 0 3 .7 7

5 4 3 ,5 3 5 .6 5

30 ,767 ,239 .42

7

8 0 ,0 0 0 .0 0

4

1 2 5,00 0.00

2 3 5,00 0.00

2 2 7 ,1 3 4 ,5 5 5 .6 3

32 ,935 ,887 .74

10 5 ,3 9 7 ,9 4 9 .9 1

16 7 ,1 8 6 ,2 8 3 .3 5

27 2 ,5 8 4 ,2 3 3 .2 6

5 1 ,855 ,759 .56

8 ,9 4 1 ,1 1 4 .2 5

7 ,0 4 0 ,9 4 1 .0 8

2 3 ,0 4 9 ,2 0 0 .0 0

6 ,7 6 5 ,5 2 9 .4 4

4 7 3 ,4 4 7 .7 1

30 ,2 8 8 ,1 7 7 .1 5

4

6 8 ,0 0 0 .0 0

3

8 5 ,000 .00

26 5,00 0.00

2 1 8,14 2,43 1.05

39 ,5 0 6 ,7 4 4 .5 5

9 9 ,9 2 7 ,9 8 4 .4 9

1 6 7 ,4 6 2 ,9 4 3 .7 9

26 7 ,3 9 0 ,9 2 8 .2 8

4 6 ,7 3 2 ,9 9 1 .3 8

8 ,1 2 6 ,2 6 8 .9 2

5,8 79,3 29.3 4

Included Under
“ Due From Banks”

2 2 ,7 8 8 ,2 0 0 .0 0

6 ,6 8 5 ,0 5 2 .4 1

1 9 0 ,6 9 5 .5 0

2 9 ,663 ,947 .91

3

3 8 ,0 0 0 .0 0

5

15 5,00 0.00

12 0,00 0.00

2 1 2 ,2 3 9 ,6 4 7 .6 6

41 ,6 8 4 ,7 1 2 .3 1

9 3 ,5 8 8 ,4 2 3 .6 5

17 3 ,2 0 3 ,9 5 5 .0 6

2 6 6 ,7 9 2 ,3 7 8 .7 1

3 8 ,7 1 1 ,8 6 6 .1 3

8,3 41,6 19.2 3

5,5 55,0 21.0 0

10 ,450 ,015 .94

The first figure in this column represents State Institutions
which were merged with, or which sold out to National Banks.
The figure given for National Banks changing to State, is
added into and included with that showing the number of
new banks authorized that same year and so must not be
added again.

Note 3.
Note 4.

This figure represents new banks authorized that year but
which had not yet begun business and which therefore are
not included in the total number of banks reporting.
This figure represents the Total Number of Banks reporting,
only and not the total number authorized to be operated (it
does not include those described in Note 3.)

Note 5.
Note
Note

This means banks chartered but which never opened for
business and whose charters were cancelled.
Treated as
Voluntary Liquidation to balance the total figures.
This is an estimated figure as accurate data is missing.
This figure means Insolvent Banks being operated by the
Guaranty Fund Commission which are not officially closed
and in receivership, but which are in fact practically failed
banks.

Note 8.

This means Net Total number of banks actually authorized
to be in operation minus those operated by the Guaranty
Fund Commission.
GENERAL NOTE II:
For years 1890 thru 1901, all deposits were
lumped and there was no practicable way of separating them.
For years 1894 thru 1902 “ Due to Banks” was thrown in with
other deposits. The year 1902, was included with all demand
deposits probably.

The blank spaces in the columns for Increase and Decrease
of Capital and for aggregate Capital of New Banks Authorized,
occurs by reason of missing data. Prior to 1907 the Increases of
capital were not tabulated and compiled. Decrease of Capital was
first reported in 1913; between this and 1907, none is listed,
probably because there was no Decrease.

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

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

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

BUREAU OF BANKING

STATEMENTS
Showing the Condition of the 872 Commercial and Savings
Banks in the State of Nebraska, at the close of


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

business, June 30, 192 7.

BUREAU O F BANKING

2

Abie State Bank

Abie

G. F. Ctf. N o. 375

Charter N o. 804
Butier County
F.
E.

J.
J.

R oh .......................................... P resident
M ashek........................V ice-P resid en t

F
J.

F

S vob od a ............. ..... .....................Cashier
R oh ...................................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
LIABILITIES

R ESO U R CE S
Loans and D iscou n ts .............. $ 177,018.84
O verdrafts .....................................
873.33
B anking house, furniture and
7,700.00
fixtures .....................................
B an kers’ con serv a tion fund.....
494.36
Due from national and state
19,672.38
banks ................
Checks and item s of exchange
6,205.60
Cash in bank ...............................
3,821.45
U. S. bonds in cash reserve....
1,000.00
T otal

.............................. $ 210,785.96

Adams

Capital stock ............................... $
Surplus fund ........
U ndivided profits (net) .........
Individual d eposits su b ject to
heck ...................................
i ' m and certifica tes of d eposit
T 'n i ' certifica tes of d ep osit...
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....
T otal

15,000.00
2,500.00
205.36
51,253.84
46.00
147,167.10
484.00
129.66

................................$ 216,785.96

Adams State Bank

Charter N o. 1448

G. F . C tf. N o. 970

Gage County
Chris H en n ies.....................................President
F rank S choen.......................... V ice-P resid en t

H enry G ram ann.....................................Cashier
M innie K erns .........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ................. $ 151,292.37
O verd rafts .....................................
118.49
B onds, secu rities, ju d gm en ts
and claim s ..............................
45,237.41
O ther real estate .......................
6,000.00
B an king h ou se, furniture and
fixtures ................ _...................
6,200.00
B an kers’ con serv a tion fund ....
338.09
Due from national and state
banks .........................................
23,271.84
Checks and item s of exchange
448.73
Cash in bank ..........
1,427.01
U. S. bonds in cash reserve....
10,300.00
T otal ....... I.......................... $ 244,633.94


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

L IA B IL IT IE S
Capital stock .................................$
Surplus fund .......................
U ndivided profits (net) ...........
Individual deposits su b ject to
ch eck ................................
Tim e certifica tes of d ep osit......
S avings d eposits .......................~
B ills payable ................................
D ep ositors’ guarantee fund...

20,000.00
4,000.00
868.71
74,180.13
131,794.60
3,666.65
10,000.00
123.85

T otal ................................... $ 244,633.94

BUREAU OF BANKING

Ainsworth

Citizens State Bank

C harter N o. 761

G.

F.

Ctf. N o. 341

Brown County
J. C . A ck erm a n ........................... -...President
R . M . H erre............................V ice-P resid en t

G. M. Ackerm an..

..Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU R CE S

L IA B IL IT IE S

Loans and discou n ts ............... $ 192,612.31
O verd ra fts .......................................
846.34
B ond s, secu rities, ju d gm en ts
and claim s ...............................
39,066.69
O ther real estate .....................
19,251.93
B an king house, furniture and
fixtures .....................................
21,000.00
B an kers’ con serv a tion
fund....
607.85
Due from national and state
banks ..........................
12,100.72
C hecks and item s of exchange
228.10
Cash in bank ..............................
8,036.71
Total

..$ 293,750.65

Ainsworth
C harter N o.

Capital stock .................... ........... $
U ndivided profits ........................
Individual d ep osits su b ject to
ch eck .........................................
Dem and certificates of d eposit
Tim e certifica tes of deposit....
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

25,000.00
5,945.96
134,264.67
2,254.59
125,030.18
1,071.48
183.77

Total ................................... $ 293,750.65

Commercial State Bank

1200

G.

F.

Ctf.

N o.

722

Brown County
G. It. T h orley
............................President
D. H. T roxel ........................V ice-P resid en t

W.

II.

W illiam s

............................... Cashier

S T A T E M E N T ( F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S •

Loans and d iscou n ts ............... $ 252,762.01
O verd rafts .....................................
296.35
B on d s, secu rities, ju d gm en ts
and claim s ................................
50,000.00
O ther real estate .....................
11,110.01
B an king h ou se, furnitu re and
fixtures .....................................
11,425 00
B an k ers’ con serv a tion fund ....
828.90
Due from national and state
banks ............................._..........
32,030.97
C hecks and item s of exchange
135.41
Cash in bank ................................
12,714.36
U . S. bonds in cash reserve....
6,800.00
Total


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

.$ 378,103.01

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (net) ..*.....
Individual deposits su b ject to
ch eck ........................................
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

Total

50,000.00
10,000.00
6,056.55
130,028.68
181,814.95
202.83

.$ 378,103.01

BUREAU OF BANKING

4

Citizens State Bank

Albion
Charter N o. 1034

G. F. Ctf. N o. 565

Boone County
Jam es F ox .......................................... P resident
II. H . Funru .......................... V ice-P resid en t

L J. F ox ................................................Cashier
C. E. K rause .........................A ss t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 342,666.52
O verdrafts .......................................
156.85
B ond s, secu rities, ju d gm en ts
and claim s ..............................
13,150.00
O ther real estate .......................
9,500.00
B an king h ou se, furniture and
fixtures ...................................
7,000.00
B an kers’ con serv a tion fund ....
896.12
Due from national and state
banks ........
70,152.28
C hecks and item s of exchange
445.44
Cash in bank ................................
4,515.80
T otal ................................... $ 448,483.01

Albion

Capital stock ................................$
Surplus fund ...............................
U ndivided profits (n et) ..........
individual d eposits s u b je ct to
ch eck .........................................
Dem and certifica tes of d ep osit
Tim e certifica tes of d eposit ....
Cashier’ s ch ecks o u tsta n d in g
D ep ositors’ guarantee fund ....
C ontin gen t fund ........................

25,000.00
25,000.00
3,789.75
158,348.33
2,282.85
221,295.04
5,016.80
250.24
7,500.00

Total .............. .................... $ 448,483.01

Farmers State Bank

Charter N o. 1535

G. F.

Ctf.

N o.

1057

Boone County
John C lipston ...................................P resid ent
A . W . Lam b ............................V ice-P resid en t

R . T . F lotree .................... .................. Cashier
F. R . Sm ith .................. ......... A s s ’ t. C ashier
C. B. H olm es .............. ......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S

T otal


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

.$ 793,399.97

Capita! stock ................. _............ $
Surplus fund .................................
U ndivided profits (n et) ..........
D ividends unpaid
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
S avings d eposits
......................
Certified ch ecks
.................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....
.

I is n « and discou n ts ............... $ 628,211.33
O verd rafts ........................... - ........
1,131.44
B on'
secu rities, ju d gm en ts
and claim s *..............................
28,407.50
O ther real estate .....................
4,175.00
B an king h ou se, furniture and
fixtures .....................................
14,734.55
B an k ers’ con serv a tion fund ....
1,101.84
Due from national and state
banks ........................................
81,721.75
Checks and item s of exch a n ge
4,057.51
Cash in bank ................................
11,222.75
U. S. bonds in cash reserve....
18,600.00
O ther cash resou rces ..............
36.30

Total

50,000.00
15,000.00
15,452.11
10.00
279,405.53
403,491.41
27,474.92
54.00
2,069.18
442.82

.$ 793,399.97

BUREAU OF BANKING

Alda

Farmers State Bank

C harter N o. 1447

G. F.

Ctf. N o. 969

Hall County
F red T hom ssen ......................... ......President
John T hom ssen .....................V ice-P resid en t

A . E. D w ehus ....................................Cashier
G. T . Carraher ....................... A s s ’t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts .............. $ 139,647.84
O verdrafts .....................................
353.83
O ther real estate .......................
1,700.00
B an king h ou se, furniture and
fixtures .....................................
7,400.00
B an kers’ con serv a tion fund ....
426.88
Due from national and state
banks ......... ............ :.................
19,183.91
Checks and item s of exchange
36.99
2,093.42
Cash in bank .............................. *
U. S. bonds in cash reserve
303.00
O ther cash resou rces ..............
58.79
T otal

171,204.66

Alexandria

Capital stock .................................$
Surplus fund ................................
U ndivided profits (n et) .........
Individual d ep osits su b ject to
ch eck ...............
Tim e certifica tes of d eposit ....
S avings d eposits .................
C ashier’ s ch ecks
o u tsta n d in g
D ep ositors’ guarantee fund ....

Total

25,000.00
5,000.00
448.80
35,714.87
93,071.30
11,804.78
56.35
108.56

.$ 171,204.66

State Bank of Alexandria

C harter N o. 4

G.

F.

Ctf.

N o. 2

Thayer County
A . F. N ew ell ....................... ...........P resid ent
Sarah A . M oore ................. V ice-P resid en t

F. A . J acqu es, J r ............................. Cashier
N ellie M . M oore ................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ............... $ 479,537.56
O verd rafts ...........................
500.59
O ther real estate .......................
6,250.00
B an kin g h ou se, furniture and
fixtures ...........................
5,000.00
B an kers’ con serv a tion fund ....
1,289.06
Due from national and state
banks .........................................
39,229.53
Checks and item s of exchange
551.74
Cash in bank ..............................
7,226.95
U. S. bonds in cash reserve ....
1,950.00

Capital stock ................................$ 2 0 , 000.00
Surplus fund ................................
10, 000.00
U ndivided profits (n et) ..........
7,152.11
Individual d eposits s u b je ct to
ch eck ..........................................
148,381.40
T im e certifica tes of dep osit .... 354,796.94
C ashier’ s ch eck s o u tsta n d in g
847.01
357.97
D ep ositors’ guarantee fund ....

Total


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

.$ 541,535.43

T otal

.$ 541,535.43

BUREAU OF BANKING

6

Allen

Allen State Bank

Charter N o. 3

G. F .

Ctf.

N o.

I

Dixon County
Frank Clough ................ -................. President
J. V . H arper .........................V ice-P resid en t

M . S. Z ook ....:....... ........ .......................Cashier

S T A T E M E N T OF JU NE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loan*; and d iscou n ts ............... $ 415,766.16
O verd rafts ............................- ........
495.69
B onds, secu rities, ju d gm en ts
and claim s ............................
10,971.85
O ther real estate .....................
21,885.00
B an king h ou se, furnitu re and
fixtures .....................................
7,500.00
B an kers’ con serv a tion fund ....
1,133.96
Due from national and state
banks .............
12,027.94
C hecks and item s of exchange
488.70
3,842.14
Cash in bank ....... -.......................
U . S. bonds in cash reserve ....
210.24
O ther cash resou rces ..............
72.00
T otal

............................... $ 474,393.68

Alliance
C harter N o.

Capital stock ............................... $
S urp.u s fund .............
U ndivided profits (net) ........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit ....
S avings d eposits .......................
C ashier’ s* ch eck s o u tsta n d in g
B ills payable ................................
D ep ositors’ guarantee fund ....

Total

25,000.00
5,000.00
4,058.98
137,198.39
2,032.40
284,198.09
5,880.83
654.78
10,050.00
320.21

............................... $ 474,393.68

First State Bank
G. F .

1229

C tf. N o.

751

Box Butte County
H . A . C opsey ...... .......................... P resident
Chas. Brittan ...... ................V ice-P resid en t

T. T . Shields ..... ..................................Cashier
B. O ’ B ryan .......... ................. .A ss’ t . Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 832,322.05
O verdrafts .....................................
8,761.28
B on d s, secu rities, ju d gm en ts
and claim s ..............................
225.50
O ther real estate .....................
25,394.96
B an king h ou se, furniture and
fixtures .....................................
17,500.00
B an kers’ con serv a tion fund ....
1,761.45
Due from national and state
banks .........................................
80,570.95
C hecks and item s of exchange
5,177.94
Cash in bank ................................
22,695.25
Total


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

.$ 994,409.38

Capital stock ........ .......................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ................................
T im e certifica tes of d eposit ....
S avings d eposits ..............
C ashier’ s ch ecks o u tsta n d in g
Due to national and state
banks .........................................
B ills payable ....
D ep ositors’ guarantee fund ....
Total

35,000.00'
30,000.00
3,280.26
344,387.43
344,953.31
124,681.76
5,354.73
66,151.80
40,000.00
600.09

.$ 994,409.38

BUREAU OF BANKING

Alliance

7

Guardian State Bank

C harter N o. 1523

G. F . C tf. N o. 1045

Box Butte County
A . J. A b b ott ................................... President
Jam es K eeler ........................V ice-P resid en t

L eR oy A b b ott .......................................Cashier
V elm a M artin ........................Ass’ t. Cashier
W . F. Shrim pton ................. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 187,806.62
O v erd ra fts .....................................
469.94
B onds, secu rities, ju d gm en ts
and claim s ....-...........................
12,615.66
B an kin g hou se, furniture and
fixtures .....................................
,517.98
B an kers’ con serv a tion fund ....
444.47
Due from national and state
41,173.72
banks ....................................
C hecks and item s of exchange
1,271.51
Cash in bank ................................
5,830.46
U. S. bonds in cash reserve
7,833.45

Capital stock ............................... $
50,000.00
U ndivided profits (net) ..........
3,044.33
Individual d ep osits su b ject to
ch eck ........................... :.
89,493.76
Tim e certifica tes of d ep osit
.... 98,645.76
S avings deposits .........................
38,869.25
Cashier’ s ch ecks o u tsta n d in g
793.00
D ep ositors’ guarantee fund
....
117.71

T otal ...................................$ 280,963.81

Alma

Total

..$ 280,963.81

Bank of Alma

C harter N o.

7

H arlan

G . F.

Ctf.

N o.

3

County

K . G. H aeker
Joe A lter ......

.........- President
..V ice-P resid en t

R obert W . P orter .......................
Cashier
W m . F. H aeker .....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... ......$ 192,059.47
Capital stock ................................. $ 30,000.00
O verdrafts .....................................
623.85
Surplus fund ...............................
6,000.00
B on d s, secu rities, ju d gm en ts
Individual d eposits su b ject to
and claim s .......................
23,514.37
ch eck ....................... -................
94,062.54
O ther assets ........
3,036.76
Dem and certifica tes of d ep osit
2,147.84
O ther real estate ........
21,000.00
Tim e certifica tes of d ep osit
.... 103,977.97
B an king h ou se, furnitu re and
S avings deposits ........................
3,019.33
fixtures .....................................
3,000.00
Certified ch ecks ..........................
5,000.00
B an kers’ con serv a tion fund....
681.64
Due to national and state
Due from national and state
banks .........................................
1,172.44
banks ..........
17,388.35
Bills payable .........
20,000.00
C hecks and item s of exchange
•373.34
D ep ositors’ guarantee fund
....
169.07
C ash in bank ............
3,871.41
T otal .................... .*............. $ 265,549.19


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

Total

265,549.19

BUREAU OF BANKING

8

Alma

Harlan County Bank
G. F . C tf. N o. 21S

Charter N o. 567
Harlan County
W . G. H askell ....................... ..... President
J. G. H askell ........................V ice-P resid en t

V esta M cK ee
..................................... Cashier
W arran B. Fow ler .............;....Ass’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
Loans and discou n ts .............. $ 189, 806.14
316.22
O verdrafts ...................................—
B onds, secu rities, ju d gm en ts
and claim s ............................
76,600.00
B an king h ou se, furnitu re and
fixtures .......................
10,000.00
B an kers’ con serv a tion fund ....
741.86
Due from national and state
banks .........................................
55,629.86
C hecks and item s of exchange
167.47
Cash in bank ................................
4,911.70
T otal

.............................. $ 338,173.25

Altona
Charter N o.

Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck ........................................
Tim e certifica tes of d ep osit ....
Certified ch ecks ..........................
D ep ositors’ guarantee fund ...

T otal

30,000.00
6 , 0 0 0 .00

674.77
95,255.08
201,038.38
5,000.00
205.02

............................... $ 338,173.25

Farmers State Bank
1030

G.

F.

Ctf.

N o.

561

Wayne County
Frank E rxleben ..............................P resid ent
Geo. P. B erres .................... .V ice-P resid en t

I rv in g H .

Bahde ................................ C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verdrafts .....................................
B ond s, secu rities, ju d gm en ts
and claim s ......................- ......
O ther real estate .........................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .............................- .........
Cash in bank ................................
Total


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

85,621.45
207.23
21,744.28
21,312.31
4,300.00
286.59

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck ...........................................
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

20,000.00
429.04
1,312.14
39,199.40
117,899.90
99.67

44,376.93
1,091.36

.$ 178,940.15

T otal

.$ 178,940.15

BUREAU OF BANKING

Alvo

9

Farmers & Merchants Bank

C harter N o. 602

G. F . Ctf. N o. 237

Cass County
S.
A.

C. B oyles ................................... President
M. B oyles ........................V ice-P resid en t

Carl D. Ganz
Flora R . Ganz

..............Cashier
.A ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 154,557.44
O verd rafts .....................................
361.64
B onds, secu rities, ju d gm en ts
and claim s ............................
27,500.00
O th er assets ................................
11,679.75
O th er real estate .....................
4,000.00
B a n k in g h ou se, furniture and
fixtures ....................................
4,370.00
B a n k ers’ con serv a tion fund ....
516.81
Due from national and state
banks .....................
23,274.77
Cash in bank ... ...........................
1,956.05
U . S. bonds in cash reserve ....
7,500.00
T otal

Capital stock ............................... $
Surplus fund ...............................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ................ ........................
Tim e certifica tes of d eposit...
C ashier’ s ch ecks ou tsta n d in g
D ep ositors’ guarantee fund ....

235,716.46

Amherst

Total

20, 000.00
1,300.00
2,266.49
87,531.48
124,291.15
191.57
135.77

235,716.46

Commercial State Bank

C harter N o. 1031

G. F .

Ctf. N o. 562

Buffalo County
J a cob

S chnoor ................................. President

S. E.
I. M.

Sm ith .......................................C ashier
Smith ........................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $
O v erd ra fts ................
B onds, secu rities, ju d gm en ts
and claim s ..............................
O ther assets ........
B an king h ou se, furniture and
fixtures ..................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ...............,..............
T otal

..:.............................$


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

L IA B IL IT IE S
58,332.69
107.18
7,499.98
1,352.51

Capital stock ............................ 5..$
Surplus fund ......
Individual deposits su b ject to
ch eck ................................
Tim e certifica tes of d ep osit ....
D ep ositors’ guarantee fund ....

10,000.00
1,500.00
36,818.75
39,153.90
45.98

1,000.00
109.32
15,844.41
387.27
2,885.27
87,518.63

T otal

............................... $

87,518.63

BUREAU OF BANKING

10

Ancka

Boyd County State Bank
G. F. Ctf. N o. 610

Charter N o. 1086
Boyd County
P. F. Danker ............................... P resident
Olaf M on son .................-..........V ice-P resid en t

E. R. Johnson
L. D. M onson

.... V ice -P re sid e n t
................... Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 90,203.57
O verdrafts .....................................
334.86
B onds, secu rities, ju d gm en ts
and claim s ...........-..................
1,158.54
O ther assets ....................... :......
278.60
O ther real estate ......................- . 17,735.89
B an king house, furniture and
fixtures ..............
9,058.04
B an kers’ con serv a tion fund ....
344.72
Due from national and state
banks .......................................
12,613.91
Checks and item s of exchange
292.21
2,941.59
Cash in bank ............................
U. S. bonds in cash reserve....
3,500.00
T otal ................................. $ 138,461.95

Anselmo

Capital stock ............................... $
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit
....
Certified ch ecks .........................
C ashier’ s ch ecks o u tsta n d in g
Bills payable ................................
D ep ositors’ guarantee fund
....

T otal ... ............................. $

20,000.00
1,200.00
1,301.89
33,488.03
67,710.04
944.46
1,130.06
12,611.68
75.77

138,461.93

Anselmo State Bank

C harter N o. 729

G. F . C tf. N o. 322

Custer County
D avid C hristen .............. .............. President
J. A . K ellenbarger ......... ....V ice-P resid en t

E. T. F oley ....... .................................. Cashier
P. F. L eonard .... ....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............._.$ 241,698.43
O verdrafts .....................................
1,397.58
3,600.00
O ther real estate .....................
B an king h ou se, furnitu re and
fixtures .....................................
1,790.00
B an kers’ con serv a tion
fund ....
745.48
Due from national and state
banks ........................................
26,248.53
C hecks and item s of exchange
2,829.16
6,609.74
Cash in bank ...........................
U . S. bonds in cash
reserve
6,050.00
Total


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

.$ 290,968.92

Capital stock ............ - ................ $
Surplus fund ......
Undivided profits (net) ..........
Individual d eposits su b ject to
ch eck .................v................
Dem and certifica tes of d eposit
D ep ositors’ guarantee fun d,....

Total

25,000.00
10,000.00
2,968.02
121,418.78
131,381.27
200.85

.$ 290,968.92

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

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

13

BUREAU OF BANKING

Arapahoe

Citizens State Bank

C harter N o. 896

G. F. Ctf. N o. 445

Furnas County
R . J. Finch ....................................... P resident
E.
E . E m m ett
..............V ice-P resid en t

R . F. E m m ett ................................... C ashier'
C. V . E vans ............................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ............... $ 245,210.32
O v erd ra fts ...................
29.35
Fionas, secu rities, ju d gm en ts
and claim s ............................
28,350.00
177.12
O ther real estate .....................
-LiaiiK-ing h ou se, furniture and
fixtures .....................................
7,500.00
B an k ers’ con serv a tion fund ....
680.74
D u e from national and state
banks .........................................
64,653.87
C hecks and item s of exchange
1,787.58
C ash in bank .....
4,494.ya

15,000.00
Capital stock ............................... $
Surplus luncl ................................
10,000.00
U ndivided profits (n et) ..........
850.03
Individual d ep osits su b ject to
^ ch eck .........
114,067.87
Dem and certifica tes of d ep osit
2,172.34
Tim e certifica tes of d eposit .... 191,180.30
S avings d eposits .........................
19,095.68
C ashier’ s ch eck s outstanding..
301.86
D ep ositors’ guarantee fund ....
215.88

T otal

352,885.9ö

Arcadia
C harter N o.

T otal ..................................$ 352,883.96

Arcadia i ite Bank
11

G.

F.

Ctf.

N o.

4

Valley County
G. H . K in sey ................................... P resid ent
H . S. K in sey ........................V ice-P resid en t
STATEM ENT (

A.

E.

H a yw ood

................................ Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 334,267.39
O verd ra fts .......................................
820.88
21,910.90
O ther real estate ........................
B an kin g hou se, furniture and
fixtures .....................................
8,642.81
B an kers’ con serv a tion
fund ....
1,021.46
Due from national and state
banks .........................................
18,268.68
C h eck ’ s and item s of exchange
654.26
Cash in bank ................................
6,128.29
O ther cash resou rces
.......
10,000.00

Capital stock ............................... $ 25,000.00
12,500.00
Surplus fund ....................
Individual d eposits su b ject to
ch eck .............. .........................
107,218.59
Dem and certifica tes of d eposit
236,700.00
R e-d iscou n ts .............
20,000.00
D ep ositors’ guarantee fund ....
296.08

T otal ..............................$


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

401,714.67

T otal ..............................$

401,714.67

14

BUREAU OF BANKING

Arcadia

Commercial State Bank

Charter N o. 987

G.

F.

Ctf. N o.

526

Valley County
L. Fries .............
F.
M ason

.....................President
.........V ice-P resid en t

C. W . Starr .............. -.......................
Ray Hill ................................... A s s ’ t.

Cashier
Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ...............$ 157,365.96
O verdrafts ......
139.13
Other real estate .......................
1,206.47
B an king hou se, furniture and
fixtures ............
3,300.00
B an kers’ con serv a tion fund ....
460.52
Due from national and state
banks .........................................
30,783.84
Checks and item s of exchange
719.06
Cash in bank .......
7,541.82
XT. S. bonds in cash reserve ....
1,850.00

Capital stock .......................... .....$
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Tim e certifica tes of deposit....
C ashier’ s ch ecks o u tsta n d in g
D ep ositors’ guarantee fund ....

56,194.29
121,588.33
74.06
122.41

T otal ................................... $ 203,3661

T otal ......................... ......... $ 203,366.80

Archer

25,000.00
387.71

Citizens State Bank
G.

C harter N o. .912

F.

Ctf.

N o.

457

Merrick County
E lm er E.

R oss ................................P resident

W.

P. H ansen

...........................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

RESOU RCES
Loans and discou n ts ............... $ 123,056.53
O verd rafts .....................................
108.86
B onds, secu rities, ju d gm en ts
and claim s ........
8,517.60
B an king h ou se, furnitu re and
fixtures .....................................
3,300.00
B an kers’ con serv a tion fund....
328.75
Due from national and state
banks ........................................
15,046.90
Checks and item s of exchange
277.01
Cash in bank ............
2,706.51
U . S. bonds in cash reserve ....
4,000.00
Total


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

157,342.16

Capital s tock ................................. $
Surplus fund ........................... :....
U ndivided P rofits (n et) ...........
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d ep osit ....
B ills payable ................................
D ep ositors’ guarantee fund ....

T otal

10,000.00
6,000.00
1,132.60
47,781.13
87,328.34
5,000.00
100.09

.$ 157,342.16-

15

BUREAU OF BANKING

Arlington State Bank

Arlington
C harter N o.

12

G.

F.

Ctf.

N o.

5

Washington County
........... P resident
.V ice-P resid en t

H . W . S ch oettger
F . W . Smith ......

A . O. H aw kins ................................Cashier
L . E. P eterson ........... -............ A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $ 387,720.10
O verd ra fts .......................................
469.36
B onds, secu rities, ju d gm en ts
and claim s .............. -................
53,562.01
O ther real estate
.......
21,057.85
B an king h ou se, furniture and
fixtures .....................................
10,000.00
Due from national and state
banks .........................................
119,136.64
C hecks and item s of exchange
313.01
9,181.71
Cash in bank ...............................
O ther cash resources ..............
204.00
T otal

...... .........................$ 601,644.68

Arnold
C harter N o.

Capital stock ..................... ..........$
Surplus fund .......................
Undivided P rofits (net) ..........
Individual deposits su b ject to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

T otal

30,000.00
10,000.00
7,636.87
239,731.80
2,075.62
311,854.82
345.57

....!.......................... $ 601,644.68

Arnold State Bank
1070

G. F.

Ctf. N o.

598

Custer County
John Finch .......................................P resident
Ira P M ills
V ice-P resid en t

G. O. Perkins ..................... ....... -..... Cashier
Otis L. N ew kirk ................. A ss t. Cashier
Geo. Rath ................................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... i
O verd ra fts ......................................
B on d s, secu rities, ju d gm en ts
and claim s ..............................
O ther real estate ........................
B an kin g h ou se, furnitu re and
fixtures ....-........- ......................
B an kers’ con serv a tion fund ....
Due from national and state
banks .....................-...................
C hecks and item s of exchange
Cash in bank ..............................
Total


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

534,571.79
6,209.76
1.416.95
9,700.00
15,000.00
1.181.96
18,339.57
1,289.73
4,325.41

.$ 592,035.17

Capital stock ......- ........................$
Surplus fund .................................
U ndivided profits (n et) ..........
Individual deposits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
S avings d ep osits .......................
C ashier’ s ch eck s outstanding..
Due to national and state
banks ........................................
Bills payable ...............................D ep ositors’ guarantee fund ....
T otal

50.000.
10. 000 .
2,875.36
219,966.51
270,368.77
6,728.78
1,402.31
327.95
30,000.00
365.49

.$ 592,035.17

00
00

16

BUREAU OF BANKING

Arnold
Charter N o.

Security State Bank
1431

G.

F.

Ctf. N o. 953

Custer County
F.
W . B row n .................................P resident
R. J. H arris .......................... V ice-P resid en t

R. E. H arris ...................................... Cashier
F. P. H oughton ..... ............... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 176,208.87
O verdrafts .......................................
1,155.65
B onds, secu rities, ju d gm en ts
and claim s ..............................
12,579.80
O ther assets ....
11,405.14
O ther real estate .......................
22,370.00
B an king h ou se, furniture and
fixtures .....................................
15,730.00
B an kers’ con serv a tion fund ....
420.80
Due from national and state
banks .........................................
1,680.99
Checks and item s of exchange
738.00
Cash in bank ...............................
415.79
Total ................. !.................$ 242,705.04

Arthur
Charter N o.

Capital stock ............................... $
Surplus fund .......
Individual d eposits su b ject to
ch eck ................................
Tim e certifica tes of d eposit
....
S avings d ep osits .......................
C ashier’ s ch eck s outstanding..
R e-d iscou n ts ................................
D ep ositors’ guarantee fund
....

35,000.00
500.00
90,017.28
68,998.78
10,360.22
1,204.44
36,500.00
124.32

T otal .............. .................... $ 242,705.04

Arthur State Bank
1324

G.

F.

C tf. N o. 846

Arthur County
R . II. Barber ...................................P resident
R . C. Langford
V ice-P resid en t
Paul II. K annow ................. V ice-P resid en t

T h eo. L ig h tb o d y

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... it
O verdrafts ................. -...................
B an kin g hou se, furnitu re and
fixtures .....................................
B an k ers’ con serva tion fund ....
Due from national and state
banks ............................... .......•C hecks and item s of exchange
Cash in bank ....... ........................
U . S. bonds in cash reserve
T otal


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

87,665.02
116.46
1.450.00
191.36
7,991.81
635.25
2.682.00
4,000.00

.$ 104,731.90

Capital stock .................... ............ $
Surolus fund ....
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

Total

10,000.00
2,000.00
2,434.85
65,314.23
24,932.87
49.95

.$ 104,731.90

C

BUREAU OF BANKING

Ashby

17

Grant County State Bank

C harter N o. 1204

G.

F . Ctf. N o. 726

Grant County
A.

J.

A b b ott

............................... P resident

J. Y . Castle ...........................................Cashier

S T A T E M E N T OF JU NE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $ 137,425.66
■Overdrafts ...................
46.56
B on d s, secu rities, ju d gm en ts
and claim s ................................
4,100.00
B anking hou se, furniture and
fixtures .............
2,647.70
B an kers’ con serv a tion fund ....
222.27
Due from national and state
banks .........................................
14,024.74
C h eck s and item s of exchange
41.57
C ash in bank ...............................
1,245.08
U . S. bonds in cash reserve ..
4,382.03
T otal ................................. $ 164,135.61

15,000.00
Capital stock ............................... $
15,000.00
Surplus fund .....................................
U ndivided profits (n et) .............
1,736.02
Individual d ep osits su b ject to
ch eck
..........................
54,800.90
T im e certifica tes of d ep osit ....
62,128.19
C ashier’ s ch eck s outstanding..
1,729.22
Due to national and state
banks
........................................
12,096.61
D epreciation reserve account..-.
,1575.21
D ep ositors’ guarantee fund ....
69.46
T otal ................................. $ 164,135.61

Ashland State Bank

Ashland

G. F.

C harter N o. 1433

Ctf. N o. 955

Saunders County
P resid en t

Jeff Sm ith ......... ...................

C. N . W alton .......................................Cashier
Geo. Lenhard ........................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... ¡1 276,379.16
433.36
O verd rafts ................... ..................
B on d s, secu rities, ju d gm en ts
463.00
and claim s ...............................
5.580.00
O ther real estate .......:....... ..........
B an king h ou se, furniture and
8.300.00
fixtures ............. ........................
753.93
B an kers’ con serv a tion fund ....
Due from national and state
72,934.14
banks .,.......................................
3,312.64
C hecks and item s of exchange
6,604.92
Cash in bank ................................
4.700.00
Ui S. bonds in cash reserve ....

Capital stock ............................... $
25,000.00
Surplus fund ................................
4,000.00
U ndivided profits (net)_ ..........
9,945.56
Individual d ep osits su b ject to
ch eck .......................... .....-......
84,338.29
Tim e certifica tes of d ep osit
.... 245,826.80
S avings d eposits ................. -....
7,735.40
C ashier’ s ch ecks o u tsta n d in g
2,425.28
D ep ositors’ guarantee fund
....
189.82

T otal


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

.$ 379,461.15

Total

.$ 379,461.15

BUREAU OF BANKING

18

Ashland

Farmers & Merchants Bank
G.

Charter N o. 782

F . C tf. N o. 356

Saunders County
H. A.
E. A .
W . E.

............President
W ig g en h orn ....
W ig g en h orn .... ...... V ice-P resid en t
......
V ice-P resid en t
H a rn sb erger ....

M. H . G arrison .... ...........................Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

Loans and d iscou n ts ............... $ 769,492.43
O verdrafts —
674.37
B onds, secu rities, ju d gm en ts
and claim s ................................
208,132.74
O ther real estate .....................
6,757.74
B an king hou se, furniture and
fixtures .................. -.................
11,500.00
B an k ers’ con serv a tion fund ....
2,958.16
Due from national and state
banks .........................................
154,360.81
Checks and item s of
exchange
391.30
Cash in bank .......................
15,240.54
U . S. bonds in cash reserve.... 35,679.00

Capital stock ................................ $ 75,000.00
25,000.00
Surplus fund
25,077.14
U ndivided profits (net) ..........
ind ivid u a l d ep osits su b ject to
ch eck ............................
250,025.33
Dem and certifica tes of d ep osit
32,483.46
Tim e certificates of d eposit ....
740,030.82
S avings d eposits ................
29,719.12
Due to national and state
banks .........................................
27,124.08
D ep ositors’ guarantee fund ....
730,14

.

R ESO U R CE S

T otal ..................................$1,205,187.09

Ashton

..$1,205,187.09

Total

Ashton State Bank

Charter N o. 1029

G. F . C tf. N o. 560

Sherman County
Frank X . Badura ........................ President
A.
C. W ich m a n ..................V ice-P resid en t

Toseph Jankow ski .............................. Cashier
T h os. J. Jan kow ski .............. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 197,749.25
O verd rafts .............- ......................
261.38
B on d s, secu rities, ju d gm en ts
and claim s ......................:........
15,865.50
B an king hou se, furniture and
fixtures .....................................
4,500.00
O ther real estate ........................
5,150.00
B an kers’ con serv a tion fund ....
584.44
Due from national and state
banks .........................................
33,491.99
C hecks and item s of exchange
282.57
Cash in bank ................................
6,101.85
Total


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

.$ 263,986.98

15,000.00
Capital stock ............................... $
o .......- 1__
____ i
a g o nn
Surplus rfund
................................ • ?3,000.00
U ndivided profits (n et) ..........
67.71
Individual d eposits su b ject to
ch eck .........................................
41,867.15
T im e certifica tes of dep osit
.... 200,508.92
S avings d eposits ........................
3,364.93
C ashier’ s ch ecks o u tsta n d in g
2.00
D ep ositors’ guarantee fund
....
176.27

Total

.$ 263,986.98

la

BUREAU OF BANKING

Ashton
•Charter N o.

Bank of Ashton
15

G.

F.

Ctf.

N o.

6

Sherman County
S. S. P olski .......................................President
G. L. Polski ............................V ice-P resid en t

I. A .

P olski .................. -.........-.............Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $ 259,137.91
O verd rafts .... -........
845.46
B on d s, secu rities, ju d gm en ts
and claim s ..............................
7,100.00
15,500.00
O ther real estate .............. -........
B an king house, furniture and
fixtures .....................................
9,209.61
B an kers’ con serv a tion
fund ....
829.55
Due from national and state
banks ......
21,173.11
Checks and item s of exchange
735.72
Cash in bank ............
4,454.88
U. S. bonds in cash
reserve
5,000.00

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (net) .......
Individual d eposits su b ject to
ch eck ....................................
Tim e certifica tes of d eposit ..
S avings d ep osits
......................
C ashier’ s ch ecks
outsta n d in g
B ills payable ................................
D ep ositors’ guarantee fund ....
R eserve for depreciation .......

61,203.76
213,321.68
2,560.58
1,565.72
15,000.00
208.05
3,766.87

T otal ...................................$ 323,986.24

T otal ................................... $ 323,986.24

Atkinson

15,000.00
10,000.00
1,359.58

Security State Bank
G. F. Ctf. N o. 733

Charter N o. 1211
Holt County
.. President
H . P. D ow lin g ..............
H . H ook stra ..................... ...... V ice-P resid en t

f.

E.
M ack ....... .................................. Cashier
J. J. K rska ......... ............ ........A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... i
O verdrafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ...............................
O ther real estate ......................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s o f exchange
Cash in bank ................................
Total


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

332,973.42
641.29
94,426.20
31,746.00
6,750.00
1,309.21

Capital stock ......................... ......i
Surplus fund
.............................
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
ch eck .......................... -.............
T im e certifica tes of deposit....
D ep ositors’ guarantee fund ....

50.000.
25.000.
5,075.30
131,185.60
351,298.67
348.01

79,075.99
152.53
15,832.94

.$ 562,907.58

Total

.$ 562,907.58

00
00

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

.

BU REAU OF BANKING

Auburn

21

Nemaha County Bank

Charter N o. 638

)

G.

F.

Ctf. N o. 268

Nemaha County
G. E. C odington ............................President
W . A . T yn on
.........V ice-P resid en t

E lizabeth T yn on
C. H . S chacht ....

............... Cashier
..A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts .............. $ 391,267.07
O verd rafts ................. ,.................
561.73
B onds, secu rities, ju d gm en ts
and claim s ..............................
19,383.62
O ther assets ......................
329.60
O ther real estate .......................
63,959.93
B an king hou se, furniture and
fixtures ..........i..........................
7,335.00
B an k ers’ con serv a tion fund....
1,254.79
Due from national and state
banks ........................................
43,341.66
C hecks and item s of exchange
2,260.34
Cash in bank .................
17,454.91

Capital stock ............................ ;...$ 20,000.00
Surplus fund ................................
30,000.00
Individual d eposits su b ject to
ch eck .......................,................
300,074.65
Dem and certifica tes of d eposit
28.00
Tim e certificates of d eposit .... 177,657.33
Due to national
and
state
banks ........................... - ...........
562.09
Bills . payable ................................
18,500.00
D ep ositors’ guarantee
fund ....
326.58

T otal .................................. $ 547,148.65

Aurora

T otal ................................... $ 547,148.65

Farmers State Bank

Charter N o. 1084

G.

F.

Ctf. N o. 608

Hamilton County
J. L . E va n s........................................ President
J. A . Isam an ........................ V ice-P resid en t

G eorge W an ek ..................................... Cashier
D . I i. S aylor .......................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 618,741.66
O verd rafts .......................................
611.32
B on d s, secu rities, ju d gm en ts
and claim s ..............................
60,200.00
O ther assets .............- .................
3,034.70
O ther real estate ...»..................
11,616.39
B an king house, furniture and
fixtures .............................- ......
17,387.76
Due from national and state
banks

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

C hecks and item s of exchange
Cash in bank ................................

36,000.00
14,000.00
178,402.51;
20,614.22
610,222.83
9,407.86
536.03

144,036.63

5,231.28
8,323.71

T otal ....... ............................$ 869,183.45


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

Capital stock ....................
Surplus fund ................................
Individual d eposits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
Tim e certifica tes of d ep osit ....
S avings d ep osits .......................
D ep ositors’ guarantee fund ....

T otal

869,183.45

BUREAU OF BANKING

22i

Aurora
Charter N o.

The Fidelity State Bank
1557

G. F.

Ctf. N o.

1079

Hamilton County
A . E. Siekm ann ............................ P resident
C. S. Brown ............................V ice-P resid en t

B. W . W ood ford ............................... Cashier
C. G. Swanson .................... A s s ’ t. Cashier
M . R. Sw anson ....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Doans and d iscou n ts ............... $ 602,994.00
O verd rafts ......................................
2,721.89
B onds, secu rities, ju d gm en ts
22,325.56
and claim s ......
O ther assets ............................. ...
529.64
O ther real estate ....................
67,514.23
B anking h ou se, furniture and
fixtures .....................................
30,452.14
B an kers’ con serv a tion
fund ..
1.,839.99
Due from national and state
hanks ......................
43,576.02
C hecks and item s of exchange
379.00
Cash in bank ................................
16,679.10
U . S. bonds in cash reserve
12,000.00
O ther cash resou rces
......
649.93
R eserv e with federal reserve
bank ..........................................
40,296.49

50,000.00
Capital stock ............... .................$
Surplus fund ..............................
15,000.00
U ndivided profits (n et) _____
10,096.98
Individual d eposits s u b je ct to
ch eck .........................................
316,612.92
Dem and certifica tes of d eposit
8,825.46
Tim e certifica tes of d ep osit
.... 271,013.07
S avings d eposits ............
124,571.23
Certified ch eck s .............................
540.00
Cashier’ s ch ecks ou tstan din g
5,163.68
Due to national
and
state
23,273.62
banks .........................................
R e-d iscou n ts ...............................
16,336.90
D ep ositors’ guarantee fund
....
524.13

..$ 841,957.99

Total

Avoca

Total

.$ 841,957.99

Bank o Avoca

C harter N o. 494

G. F . C tf. N o. 184

Cass County
L . J. M arquardt ............................President
H.
W oh lers .........................V ice-P resid en t
STATEM ENT O

C. W . F a h n estock ..............................Cashier
JU N E 30, 1927

RESOU RCES

L IA B IL IT IE S

Loans and discounts ............... $ 193,691.77
O verd rafts .......................................
2,619.45
O ther real estate .......
20,772.29
B an king h ou se, furniture and
fixtures* ...................................
5,000.00
B an kers’ con serv a tion fund ....
656.28
Due from national and state
banks .........................................
21,229.25
C hecks and item s of exchange
604.72
Cash in bank ........
2,662.58
Total


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

.$ 247,236.34

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (n et) ......
Individual d eposits su b ject to
ch eck ....................................
T im e certifica tes of d ep osit ....
C ashier’ s ch ecks o u tsta n d in g
D e p ositors’ guarantee fund ....

Total

15,000.00
10,000.00
971.65
103,120.31
117,989.70
4.65
150.03

.$ 247,236.34

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

24

BUREAU OF BANKING

Axtell

Farmers & Merchants Bank

Charter N o. 985

G.

F.

Ctf.

N o. 524

Kearney County
J. D. England .......................... .......President

C.

S.

E ngland

................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B onds, secu rities, ju d gm en ts
and claim s ..............................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ..........................
T otal

73,881.77
10.92
14,000.00
3,500.00
275.64

10,000.00
5,000.00
710.05
33,140.57
1,046.00
56,921.72
64.37

11,724.59
14.35
3,475.44

............................... $ 106,882.71

Ayr

Capital stock ................................. $
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........................................
Dem and certifica tes of deposit
Tim e certifica tes of deposit ....
D ep ositors’ guarantee fund ....

............................... $ 106,882.71

T otal

Farmers State Bank

Charter N o. 1168
Adams

G.

F.

Ctf.

N o. 690

County

N eil H. Dunn .......................... .'. .......President
G. F. K ort ............................V ice-P resid en t

J. I. P ollock ....................................... Cashier
W illiam S. K ort ..................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$
O verdrafts .................................... —
B onds, secu rities, ju d gm en ts
and claim s ............................
B an king h ou se, furnitu re and
fixtures .............
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exchange
Cash in bank ................................

93,942.89
22.16

T otal .............- .................... $

113,970.96


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

5,893.00
4,000.00
263.51
6,334.53
364.05
3,150.82

Capital stock ......... _.................... $
Surplus fund ................................
U ndivided profits (n et) ..........
R eserve profits ............................
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of deposit ....
S avings d ep osits .......................
D ep ositors’ guarantee fund ....

15,000.00
3,000.00
440.20
1,856.12
47,053.77
42,787.85
3,762.69
70.33

T otal ................................... $ 113,970.96

25

BUREAU OF BANKING

Bancroft
Charter N o.

Citizens Bank
G.

23

F.

Ctf.

N o.

Cuming County
G. A rth u r B ailey .................... - ......P resid ent
W m . R em be ............................ V ice-P resid en t

W . J. M eyer .........................................Cashier
M . £>. F rancis ....................... A.ss’ t. C ashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 269,438.45
O verd rafts .......................................
252.40
O ther real estate ...................
9,000.00
B an king h ou se, furniture and
fixtures .....................................
7,000.00
B an k ers’ con serv a tion fund ....
662.65
itue from national and state
banks .........................................
73,954.26
C hecks and item s of exchange
41.06
Cash in bank ............................
6,054.73
U . S. bonds in cash reserve
4,200.00
T otal ............................... $ 370,603.55

Barada

Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ................................
Tim e certifica tes of d eposit ....
S avings d eposits .........................
D ep ositors’ guarantee fund ....

30,000.00
30,000.00
5,203.54
140,496.69
154,995.03
9,722.23
186.06

..$ 370,603.55

Total

Barada State Bank

C harter N o. 924
Richardson

G. 1". Ctf. N o. 466
County

W . M . W halen ............................... P resid ent
J. A . S ch off .......................... V ice-P resid en t

G. C. W halen ....................................... Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ..............................
B an king h ou se, furniture and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ............
C hecks and item s of exchange
Cash in bank .............'.................

46,396.00
86.10

._.$

68,255.00

T otal


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

2,121.84
2,150.00
122.78

Capital stock ..............................$
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d ep osit ....
D ep ositors’ guarantee fund ....

6,500.00
2,200.00
45.36
31,325.21
28,155.63
28.80

.$

68,255.00

16,385.92
95.00
897.36
Total

26

BUREAU OF BANKING

Barneston
Charter N o.

Bank of Barneston
24

G.

F.

Ctf.

N o.

9

Gage County
E. G. S oencer ............................... .....President
I. M. G lover ........................ V ice-P resid en t

A.

D. Spencer

..Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verd rafts .........
B onds, secu rities, ju d gm en ts
and claim s ..........
B an k in g h ou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund
....
Due from national and state
banks ....
Cash in bank .............................;
Total

53,978.68
137.45
1,600.00
1,500.00
381.64

Capital stock ................................. $
Surplus fund ................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck ........................................
Tim e certifica tes of deposit ....
D ep ositors’ guarantee fund ....

53,893.20
101,669.64
104.61

101,617.94
3,182.61

..$ 162,398.32

Barneston

5,000.00
1,000.00
730.87

T otal

............................... $ 162,398.32

Commercial State Bank

Charter N o. 723

G.

F. Ctf. N o. 317

Gage County
J. M. H ow e .......................................P resident
A n th on y M alicky .................V ice-P resid en t

Frank

M alicky

................................... Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
Loans and d iscou n ts ............... $
O verd ra fts .......................................
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
B an k in g h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .................... - .................
Cash in bank ................................
U . S. bonds in cash reserve ...

L IA B IL IT IE S
90,748.71
229.54
2,800.00
3,000.00
161.61
10,289.66
4,131.65
1,150.00

T otal ................................$ 112,511.17


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

Capital stock ................................ $
Surplus fund ..........................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ....
Dem and certifica tes of d eposit
T im e certifica tes of d ep osit
....
D ep ositors’ guarantee fund
....

T otal

10,000.00
4,250.00
2,683.66
53,768.82
1,022.60
40,728.97
57.12

................................$ 112,511.17

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

28

BUREAU OF BANKING

Bassett
C harter N o.

Bassett State Bank
1595

G.

F.

Ctf.

N o.

1119

Rock County
J.
J.

M.
C.

Flannigan ............................P resident
Flannigan ..................V ice-P resid en t

A.

E.

Flannigan

................................ Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

Loans and discou n ts ............... $
O verd rafts .......................................
B an king h ou se, furnitu re and
fixtures .....................................
Due from national and state
banks .........................................
Checks and item s of exchange
Cash in bank ..............................

111,723.57
184.79
1,500.00
8,391.22
146.04
2,587.70

T otal ................... i........... $ 124,533.32

Bassett

Capital stock ............................... $
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ........................................
Dem and certifica tes of d eposit
T im e certifica tes of dep osit ....
D ep ositors’ guarantee fund ....
T otal

25,000.00
272.56
50,865.39
1,064.20
46,421.89
909.28
124,533.32

Commercial Bank

C harter N o. 701

G. F. C tf. N o. 302

Rock County
A . J. I.itz ...........................................President
H enry C anenburg ................V ice-P resid en t
Frank B arker ........
V ice-P resid en t

O. M . J effrey ..................................... Cashier
W in n ie D avison ................. A s s ’ t. Cashier

S T A T E M E N T C F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 200,376.92
O verd rafts .......................................
655.05
B onds, secu rities, ju d gm en ts
and claim s ...................
1,232.20
O th er real estate .........................
15,970.00
B an king h ou se, furniture and
fixtures .....................................
6,525.00
B an kers’ con serv a tion fund ....
535.25
Due from national and state
banks .........................................
34,559.37
Checks and item s of exchange
2,937.54
Cash in bank ...............................
2,865.25

Capital stock ................................$ 20,000.00
Surplus fund .............
5,000.00
U ndivided profits (n et) ..........
3,043.70
Individual d eposits s u b je ct to
ch eck .........................................
107,207.94
Dem and certifica tes of d ep osit
2,694.52
T im e certifica tes of d eposit
.... 120,633.80
S avings d eposits ........................
6,469.36
Certified ch eck s ..........................
450.00
D ep ositors’ guarantee fund
....
157.26

T otal


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

.$ 265,656.58

T otal

.... $ 265,656.58

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

30

BUREAU OF BANKING

Battle Creek

Citizens State Bank

Charter N o. 606

G. F . Ctf. N o. 241

Madison County
C. E. Burnham ....... ........................P resident
Geo. H euerm an .....................V ice-P resid en t

H . Barnes .............................................. Cashier
T. L. W h ite .................. ......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S

Capital stock ................................ $
Surplus fund ......... .......................
Undivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of d ep osit
Tim e certifica tes o f d eposit ....
D ep ositors’ guarantee fund ....

Loans and d iscou n ts ............... $ 182,554.94
O verd rafts .......................................
1,039.40
B on d s, secu rities, ju d gm en ts
and claim s ..............................
1,700.00
O ther real estate .......................
6,000.00
B an king h ou se, furniture and
fixtures .............
3,000.00
B an k ers’ con serv a tion
fund ....
538.38
Due from national and state
banks .........................................
70,642.15
C hecks and item s of exchange
121.10
Cash in bank ...............................
7,617.79
U . S. bonds in cash
reserve
2,000.00
Total

.$ 275,213.76

Battle Creek
Charter N o.

Total

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

25,000.00
5,000.00
6,038.46
72,045.91
830.00166,146.87
152.52

..$ 275,213.76

Farmers Bank

1532

G.

F.

Ctf.

N o.

1054

Madison County
E dw ard Tanner ............................... President
F.
C. Prauner ...................V ice-P resid en t
STATEM EN T <

J. B. D ufphey .......................................Cashier
b

JU N E 30, 1927

R ESO U R CE S
L oans and discou n ts ............... $ 237,984.81
O verd ra fts .......................................
729.78
B on d s, secu rities, ju d gm en ts
and claim s ................................
7,566.49
B an king h ou se, furniture and
fixtures .....................................
12,500.00
B an kers’ con serv a tion fund ....
478.86
D ue from national and state
banks .........................................
44,260.64
C hecks and item s of exchange
269.57
Cash in bank ................................
2,453.31
T otal

............................... $ 306,243.46


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

L IA B IL IT IE S
Capital stock ............................... $
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ........................
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

T otal

25,000.00
2,500.00
8,572.46
85,880.89
184,111.62
178.49

................... ............ $ 306,243.46

31

BUREAU OF BANKING

Bayard

Bank of Bayard
G.

Charter N o. 28

F.

Ctf.

N o.

12

Morrill County
W . W . V anatta
R . F. Durnal ....

.............President
...V ice-President

E. R. V anatta ...................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 525,109.49
1,499.67
O verdrafts ..................................... .
30,000.00
O ther real estate ...i...................
B an king h ou se, furniture and
8,330.00
fixtures .....................................
516.10
B an kers’ con serv a tion fund ....
Due from national and state
61,237.73
banks .........................................
2,111.16
C hecks and item s of exchange
10,341.97
Cash in bank ................................

.639,146.12

T otal .....

Beatrice

Capital stock .............. .................$
Surplus fund ............................."...
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck .....................................
Demand certifica tes of d ep osit
Tim e certifica tes of deposit....
S avings d ep osits
.................
Certified ch ecks
.................
C ashier’ s ch ecks outstanding....
R e-d iscou n ts ................................
D ep ositors’ guarantee fund ....

25,000.00
25,000.00
2,823.93
219,204.08
5.00
259,027.36
19,295.94
79.90
1,572.84
86,782.85
354.22

T otal ...................................$ 639,146.12

Beatrice State Bank
G. F .

Charter N o. 1024

Ctf. N o. 556

Gage County
...........President
.V ice-P resid en t

C. G. B aker ..
J . T . Harden

H. H. W aite ....................................... Cashier
Loran J. H obbs .....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 506,600.37
O verd ra fts ......- ...............................
1,140.18
B on d s, secu rities, ju d gm en ts
and claim s ..............................
50,463.73
O ther assets ................................
37,000.08
O ther real estate
....................
13,654.50
B an king h ou se, furniture and
fixtures ................ - ..................
20,727.00
B an kers’ con serv a tion fund ....
1,972.51
Due from national and state
banks .........................................
166,292.23
C hecks and item s o f exchange
396.99
Cash in bank ..............................
54,230.57

50,000.00
Capital stock ............................... $
Surplus fund ...............................
30,000.00
U ndivided profits (net) ..........
761.70
Individual deposits su b ject to
ch eck ...........
421,818.49
Dem and certifica tes of d eposit
6,832.42
T im e certifica tes of d eposit .... 235,276.75
C ashier’ s ch ecks o u tsta n d in g
1,506.08
Due to national and state
banks ....................
105,747.37
D ep ositors’ guarantee fund ....
535.35

Total


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

.$ 852,478.16

Total

.$ 852,478.16

BUREAU OF BANKING

32

Beatrice

First State Savings Bank
G. F.

Charter N o. 1052

Ctf. N o.

581

Gage County
F.
H. H ow ey ................................President
W . C. B lack ........................... V ice-P resid en t

H.

A.

R eeves

................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $
B on d s, s ecu rities, ju d gm en ts
and claim s ............................
B an kers’ con serv a tion fund ....
Due from national and state
ban ks .........................................
Cash in bank ................................

12,367.14
256.96
21,557.15
369.13

Capital stock ................................$
Surplus fund ................................
U ndivided profits (net) .........
Individual d eposits su b ject to
ch eck .........
Dem and certifica tes of dep osit
T im e certifica tes of deposit....
S avings d ep osits .......................:.
C ashier’ s ch eck s o u tsta n d in g
D ep ositors’ guarantee fund ....

..$ 123,780.38

T otal

Beatrice
C harter N o.

89,230.00

12,000.00
2,500.00
4,689.81
2,627.85
2,000.00
17,535.61
82,341.62
14.75
70.74

T otal ....:................ ,.............$ 123,780.38

Nebraska State Bank
1227

G.

F.

Ctf. N o.

749

Gage County
C. R. H ite .......................................... President
J. H. S teinm eyer ............. V ice-P resid en t

H.

W.

A h lqu ist

.Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ................. $
O verd rafts .......................................
B onds, secu rities, ju d gm en ts
and claim s ..............................
O ther real estate .......................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks ........................................
C hecks and item s of exchange
Cash in bank ................................
U . S. bonds in cash reserve

L IA B IL IT IE S
247,286.31
586.26
11.900.87
41.129.87
19,445.63
750.74
16,158.09
428.73
15,359.86
8,500.00

Total ................................... $ 361,546.36


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

Capital stock .............. .................$
Surplus fund ................................
U ndivided profits (net) .........
Individual d eposits su b ject to
ch eck ...................
Dem and certifica tes of dep osit
Tim e certifica tes of d eposit ....
S avings d ep osits .........................
Certified ch eck s ........................
C ashier’ s ch ecks
ou tsta n d in g
Due to national and state
banks .........................................
D ep ositors’ guarantee
fund ....
Total

50,000.00
6,250.00
70,95
174,840.45
8,070.00
84,660.98
13,682.79
18.20
2,037.13
21,690.90224.96
361,546.36

33

BUREAU OF BANKING

Beatrice

Security Savings Bank
G. F . C tf. N o. 1074

C harter N o. 1552
Gage County
W . H. D avis ...........
B . H . Siefkes .............

...........P resident
.V ice-P resid en t

Fred A . W r i g h t ............. ...........- ..... — Cashier
E thel C. W rig h t ................. A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30. 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 158,766.13
B on d s, secu rities, ju d gm en ts
243.42
and claim s, w arrants ..........
O ther assets, tax certifica tes
3,242.19
O ther real estate ........................
11,149.49
B an kin g hou se, furniture and
9,597.35
fixtures ...............................
B an k ers’ con serv a tion fund ....
323.26
Due from national and state
banks .........................................
2,178.35
C hecks and item s of exchange
3,337.10
2,216.29
C ash in bank ........

Capital stock ................................$
U ndivided profits (net) _____
Tim e certifica tes of d ep osit _
S avings d ep osits .........................
Due to national and state
banks .........................................
D ep ositors’ guarantee fund ....

9,632.27
118.31

T otal ..............,.................. $ 191,053.58

T otal ....................,............$ 191,053.58

Beatrice

30,000.00
1,173.53
25,603.85
124,525.62

Union S ate Bank
G. F.

C harter N o. 652

C tf. N o. 277

Gage County
L. D. Bonham ................................... Cashier
H.
Fay Sandritter ........... A s s ’ t. Cashier

II. E. A rnold ................................ P resident
P hilip G raff ............................ V ice-P resid en t
B . H . Siefkes .........................V ice-P resid en t
STATEM EN T (

F

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 378,034.52
O v erd ra fts ..........
108.84
B on d s, secu rities, ju d gm en ts
and claim s ................................
44,114.13
O th er real estate ........
27,000.00
B an king h ou se, furnitu re and
fixtures .....................................
17,600.00
B an kers’ con serv a tion fund ....
*1,659.08
Due from national and state
banks .........................................
87,190.94
Cash in bank .............- .................
30,087.19
U . S. bonds in cash reserve....
2,150.00

Capital stock ................................$ 50,000.00
Surplus fund ................................
10,000.00
U ndivided profits (n et) ..........
806.86
Individual d ep osits s u b je ct to
ch eck .........
301,436.27
Dem and certifica tes of d ep osit
3,000.00
Tim e certifica tes
of dep osit .... 139,836.17
S avings d ep osits
................. —
12,504.96
Certified ch eck s
......................
100.00
C ashier’ s ch eck s outstanding..
469.38
Due to national and state
banks ..........-.......
69,447.33
D ep ositors’ guarantee fund
....
343.73

Total


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

.$ 587,944.70

T otal

.$ 587,944.70

34

BUREAU OF' BANKING

Beaver City

Bank of Beaver City

C harter N o. 884

G. F. Ctf. N o. 434

Furnas County
H,

B rouhard ....... -.................-.......... P resident

T . F. N ew ton ........................ ..........C ashiei
H . B. Hall ............................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ...............$ 172,336.67
O verd rafts ...... -...............................
785.51
B onds, secu rities, ju d gm en ts
and claim s .............................
2,921.27
O ther assets ...............................
402.25
Other real estate
......
4,065.00
B an king h ou se, furniture and
1,500.00
fixtures .....................................
B an kers’ con serv a tion fund ....
453.89
Due from national and state
banks .........................................
13,145.04
C hecks and item s of exchange
1,139.63
Cash in bank ........
2,469.56
T otal ...................................$ 199,218.82

Beaver City

Capital stock ...............................$
Su plus fund .................. ;............
Individual d eposits su b ject to
heck ............................... .-........
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
B ills payable ................................
D ep ositors’ guarantee fund ....

15,000.00
5,000.00
69,983.71
285.00
91,313.54
17,500.00
136.57

Total ...................................$ 199,218.82

First State Bank

Charter N o. 516

G. F. C tf. N o. 194

Furnas County
C. E. V . Sm ith ..............................President
N annie D avis .........................V ice-P resid en t

W . C. F. L um ley ..............................Cashier
A . T. N ickerson ................. A s s ’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans' and d iscou n ts ............... $ 314,079.83
O verdrafts .......................................
576.07
B on d s, secu rities, ju d gm en ts
and claim s ............................
1,000.00
O ther real estate ..........
8,000.00
B an kin g h ou se, furnitu re and
6,500.00
fixtures .....................................
B an kers’ con serv a tion fund ....
919.77
Due from national and state
banks .........................................
57,751.71
Checks and item s of
exchange
1,878.76
Cash in bank .............
9,719.13
U . S. bonds in cash
reserve....
6,000.00

Capital stock ............................... $ 20,000.00
Surplus fund ...............
30,000.00
U ndivided profits (n et) ..........
129.81
D ividends unpaid .........................
800.00
Individual d ep osits s u b je ct to
139,612.21
ch eck .........
Dem and certifica tes of d ep osit
3,038.67
Tim e certifica tes of d eposit ....
202,301.23
S avings d ep osits .............
7,496.51
Due to national and state
ban ks .........................................
2,752.19
D ep ositors’ guarantee fund ....
294.65

T otal


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

........ $ 406,425.27

Total

.$ 406,425.27

BU REAU OF BANKING

Beaver Crossing
C harter N o.

35

Citizens State Bank

867

G.

F.

C tf.

N o.

420

Seward County
W.

J.

O rgan ................................... P resident

L.

G.

..Cashier

Gake ....

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ..............$ 144,696.76
O verd ra fts .......................................
2,179.12
B on d s, secu rities, ju d gm en ts
and claim s ...............................
75,941.53
O ther real estate ........................
12,492.50
B an king hou se, furniture and
fixtures .....................................
4,000.00
B an k ers’ con serv a tion fund ....
498.91
Due from national and state
banks .........................................
12,619.92
C hecks and item s of exchange
378.61
Cash in bank ................................
3,154.55
U . S. bonds in cash reserve....
2,600.00

Capital stock ............................... $
15,000.00
Surplus fund ................................
8,500.00
U ndivided profits (n et) ..........
962.10
Individual d eposits su b ject to
ch eck .........................................
76,038.55
Dem and certifica tes of d ep osit
157,895.15
D ep ositors’ guarantee fund
....
166.10

T otal .................................. $ 258,561.90

Beaver Crossing

T otal

..$ 258,561.90

State Bank of Beaver Crossing

C harter N o. 33

G. F . C tf. N o. 13

Seward County
H.
P.

J.
O.

S outhw ick ........ ................ P resident
S outhw ick ............. V ice-P resid en t

.............Cashier
.A ss’ t. Cashier

C M. W arner
H elen R oss

S T A T E M E N T O r JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ............... $ 297,469.81
O verd ra fts ........... .■...........................
1,101.17
B onds, secu rities, ju d gm en ts
and claim s ............................
44,350.00
O ther real estate ........................
8,450.00
B an king h ou se, furniture and
fixtures .....................................
5,300.00
B an k ers’ con serv a tion fund ....
623.16
Due from national and state
banks ...........................
44,119.77
Checks and item s of
exchange
2,805.56
Cash in bank ................................
5,585.50
U . S. bonds in cash
reserve....
3,100.00

Capital s tock ................................ $
25,000.00
Surplus fund ...............................
10,000.00
U ndivided p rofits—special .......
1,500.00
Individual d ep osits su b ject to
ch eck ......................................
151,021.26
Demand certifica tes of d eposit
215,961.86
S avings d eposits ........................
9,215.68
D ep ositors’ guarantee fund
....
206.17

Total


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

.$ 412,904.97

Total

.$ 412,904.97

36

BU REAU O F BANKING

Bee

State Bank of Bee

Charter N o. 690

G.

F.

Ctf.

N o. 298

Seward County
F . J. M aixner ................................ President
H a ttie G. M aixn er ..............V ice-P resid en t

L . L. Stava .................................... ......C ashier
A . M . Stava .......................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
Loans and d iscou n ts ............... $ 253,740.81
O verd rafts .......................................
1,311.47
B on d s, s ecu rities, ju d gm en ts
and claim s ................
1,103.00
O ther real estate ......................
4,000.00
B an kin g hou se, furnitu re and
fixtures .................... _...............
3,000.00
B an k ers’ con serv a tion fund ....
662.08
D u e from national and state
110,689.35
banks ........
C hecks and item s of exch a n ge
631.35
Cash in bank ....................
3,423.76
378,558.82

T ota l

Beemer
Charter N o.

Capital stock ................................. $
Surplus fund ................................
Undivided profits (n et) ..........
ind ivid u a l d eposits s u b je ct to
ch eck ................................. .......
I) m and certifica tes of d eposit
Tim e certifica tes of deposit....
S avings d eposits .............. :.........
D ep ositors’ guarantee fund ....

10, 000.00
12 , 0 00.00

2,724.69
77,141.98
1 , 000.00
274,499.55
980.60
212.00

.$ 378,558.82

Total

Beemer State Bank
34

G.

F.

Ctf.

N o.

14

Cuming County
Paul W u p p er ................................... P resid ent
G. D. M ey er ........................ V ice-P resid en t

J. S. Severa ....................................... Cashier
A . H . Lallm an .......... ..............A s s ’ t. Cashier
F rances B elling .....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 700,655.56
O v erd ra fts ....................... - .............
117.63
B o n d s, s e cu rities, ju d gm en ts
and claim s ..............................
36,336.66
B an kin g h ou se, furnitu re and
fixtures .....................................
9,500.00
B an k ers’ con serv a tion fund ...
1,734.14
D ue from national and state
banks .........................................
108,042.39
C hecks and item s o f exch a n ge
462.20
6,786.75
Cash in bank ......
U . S. bonds in ca sh reserve....
5,000.00

Capital stock ................................$ 30,000.00
Surplus fund ...............................
30,000.00
U ndivided p rofits (net) ...........
2,949.31
Individual deposits s u b ject to
188,836.16
ch eck ....
Dem and certifica tes of d ep osit
5,075.00
T im e certifica tes of d ep osit
.... 532,762.13
S avings d eposits .........................
30,553.42
C ashier’ s ch ecks outstanding....
803.84
Due to national and state
banks .........................................
29,850.77
Bills payable ................................
15,000.00
D ep ositors’ guarantee fund
....
523.10
R eserv ed for taxes .....................
2,281.60

T otal


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

.$ 868,635.33

T otal

.$ 868,635.33

BU REAU O F BANKING

Beiden
C harter N o.

37

Farmers State Bank
1368

G.

F.

C tf. N o.

890

Cedar County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 109,205.95
O verd ra fts .......................................
215.86
B on d s, secu rities, ju d gm en ts
and claim s ......................
15,556.63
O ther assets ................................
53,969.70
O ther real estate .........................
17,714.52
B an king h ou se, furnitu re and
10,226.59
fixtures .....................................
B an kers’ con serv a tion fund __
516.77
Due from national and state
banks ....................
29,317.43
Checks and item s of exch a n ge
35.59
3,428.62
Cash in bank ................................
Total

.$ 240,187.66

Belgrade

Capital stock ...............................$
Individual deposits su b ject to
check ..........................
T im e certifica tes of dep osit _
S avings d ep osits .........................
C ashier’ s ch ecks o u tsta n d in g
D ep ositors’ guarantee fund _
O ther liabilities ......

Total

20,000.00
24,496.03
189,211.96
5,185.84
.80
142.20
1,150.83

.$ 240,187.66

Bank of Belgrade

C harter N o. 576

G. F. Ctf. N o. 225

Nance County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ...........................
O ther assets ................................
O ther real estate ................
B an king h ou se, furniture and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ....................................
Cash in bank ................................
T otal


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

31,357.19
8.34
26,364.98
22,960.82
73,975.83

Capital stock ................................$
Individual d ep osits s u b je ct to
ch eck .....................................
T im e certifica tes of dep osit ....
S avings d eposits .........................
D ep ositors’ guarantee fund ....
O ther liabilities .................... -...

25,000.00
24,782.91
116,892.33
2,048.42
139.51
313.12

9,072.50
701.28
3,915.06
820.29

.$ 169,176.29

T otal

.$ 169,176.29

BUREAU OF BANKING

38

Farmers State Bank

Belgrade
C harter N o .

G.

1109

F.

C tf.

N o.

632

Nance County
T. II. W ith row ................................President
E.
B . H ord .........................V ice-P resid en t

T.

..Cashier

N . W ith row

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts .............. $ 189,250.27
O verdrafts .......................................
742.86
B on d s, secu rities, ju d gm en ts
and claim s ..............................
2,761.13
O ther real estate .........................
25,499.67
B an kin g hou se, furniture and
fixtures .....................................
7,500.00
B an kers’ con serv a tion fund ....
479.04
Due -from national and state
banks .........................................
23,624.76
C hecks and item s of exch a n ge
23.50
Cash in hank ................................
5,897.10
U . S. bonds in cash reserve....
2,650.00

Capital stock ............................... $
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
T im e certifica tes of deposit ....
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

82,488.13155,884.831
1.664.08
148.17

T otal ................................. $ 258,428.33:

T ota l ...................... ........... $ 258,428.33

Bellwood

15,000.00*
3,000.00'
243.12'

Bank of Bellwood
G. F.

C harter N o. 653

Ctf. N o. 278

Butler County
L . F. K reizin g er ........................... P resid ent
N ick R em akel ........................V ice-P resid en t

L.
O.

F. K reizin ger ............................... Cashier
A . B ran d en bu rg!!............. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 154,547.53
O verd rafts .......................................
143.57
B on d s, secu rities, ju d gm en ts
and claim s ................................
37,404.04
O ther real estate .........................
2,000.00
B an kin g hou se, furniture and
fixtures ..................
4,130.00
B an kers’ con serv a tion fund ....
479.62
Due from national and state
banks .........................................
29,077.61
Cash in bank ................................
5,031.10
U . S. bon d s in cash reserve....
1,200.00

Capital stock ................................$ 25,000.00
Surplus fund ........
5,000.00
U ndivided p rofits (n et) ..........
1,258.16
Individual d eposits su b ject to
ch eck .....
113,609.91
Dem and certifica tes of d eposit
2,463.92
T im e certifica tes of d eposit
.... 86,557.81^
D ep ositors’ guarantee fund
....
123.67

T otal

...............................$ 234,013.47


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

Total

..$ 234,013.47

BU REAU OF BANKING

Belvidere

39

State Bank of Belvidere

C harter N o. 36

G. F .

C tf. N o. 15

Thayer County
M . B . W illiam s ................ .............. P resid ent
W . A . B ru n in g ............... ..... V ice-P res id en t

H ugh A . B run in g .
John W . D avid ........ ............ A s s ’ tv Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 198,274.12
B onds, secu rities, ju d gm en ts
and claim s .............
8,406.29
O ther assets ...................................
243.09
B an king h ou se, furniture and
fixtures
...................................
10,500.00
B an kers’ con serv a tion fund ....
684.36
Due from national and state
banks ........................
22,949.15
C hecks and item s of exchange
901.54
2,119.85
Cash in bank ........................

Capital stock ...............................$
12,500.00
Surplus fund ........
5,000.00
Individual deposits su b ject to
ch eck .........................................
71,945.03
Dem and certifica tes of dep osit
1,145.75
T im e certifica tes of d eposit .... 145,026.16
B ills payable .........
8,304.45
D ep ositors’ guarantee fund ....
157.01

T otal ............................... $ 244,078.40

T otal ............................... $ 244,078.40

Benkelman
C harter N o.

Bank of Benkelman

38

G.

F.

Ctf.

N o.

16

Dundy County
J . W . M urphy ................................P resid ent
J . A . M cD onald ................... V ice-P resid en t

R.

E. M oore ................. - .................... Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 248,245.85
728.24
O verd rafts .......................................
O ther assets ....................................
1,205.26
O th er real estate
....................
46,249.52
B an king h ou se, furniture and
fixtures .....................................
8,330.00
B an k ers’ con serv a tion fund ....
779.60
Due from national and state
banks .............
8,064.13
C hecks and item s of exchange
2,901.59
Cash in bank ....................
3,545.62

Capital stock ................................$ 25,000.00
Individual d eposits su b ject to
ch eck .........................................
92,689.29
T im e certifica tes of d eposit .... 158,188.81
C ashier’ s ch ecks outstanding..
1,697.41
Due to national
and state
banks .........................................
2,995.66
Bills payable ................................
39,300.00
D ep ositors’ guarantee fund ....
178.64

T otal ................................. $ 320,049.81

T otal ................................. $ 320,049.81


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

BU REAU O F BANKING

40

Benkelman

Citizens State Bank

C harter N o. 1065

G. F . C tf. N o. 59*

Dundy County
Jacob R ossm iller .............- ..... - ......P resid ent
John W y c k o ff ..._................ V ice-P resid en t
M ilton Earl .......................„....V ice-P residen t

Chas.

B.

T uller ................................. C ashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 447,777.54
O verdrafts .......................................
909.61
B on d s, secu rities, ju d gm en ts
and claim s ................................
9,092.26
O ther assets ..................................
13,629.17
93,399.53
O ther real estate ........................
B an king h ou se, furniture and
fixtures .....................................
16,283.00
B an kers’ con serv a tion fund ....
1,250.94
Due from national and state
banks .......................................
35,205.41
Checks and item s of exchange
408.45
7,745.04
Cash in bank .......................... —.
O ther cash resou rces
........
792.50

Capital s tock ................................$ 50,000.00
2 , 000.00
Surplus fund ................................
Individual d ep osits s u b je ct to
134,560.33
ch eck ........................... i ............
T im e certifica tes of d eposit .... 295,595.57
8,943.11
S avings d eposits .........................
1,987.94
C ashier’ s ch eck s o u tsta n d in g ..
133,077.94R e-d iscou n ts .......,..................
328.56
D ep ositors’ guarantee fund ....

T otal ...................................$ 626,493.45

T otal ................................... $ 626,493.45

Benkelman

Farmers & Merchants State Bank

Charter N o. 1499

G. F . C tf. N o. 1021

Dundy County
E . E . H ester ....................................P resid ent
M . A . H ig g in s ................... .V ice-P resid en t

M . C. H igg in s
Paul H ig g in s ..

.............. Cashier
.A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 177,262.84
O verd rafts .............................
1,036.58
B onds, secu rities, ju d gm en ts
and claim s ....... ..... - ........ ......
250.40
O ther assets ................................
4,000.00
O ther real estate .......................
4,649.14
B an king h ou se, furnitu re and
fixtures ....................- ...............
8,600.00
B an kers’ con serv a tion fund ....
443.96
Due from national and state
ban ks .........................................
16,321.23
C hecks and item s of exch a n ge
2,602.24
Cash in bank ................................
5,029.80
U . S. bonds in cash reserve....
2,000.00
T otal


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

.$ 222,196.19

Capital stock ................................i
Surplus fund ............ ...................
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
ch eck ...........................——........
T im e certifica tes of d eposit ....
C ashier’ s ch ecks o u tsta n d in g ..
D ep ositors’ guarantee fund —

T otal

25,000.00
3,000.00
4,319.04
56,814.20
128,633.69
4,288.50
140.76

.$ 222,196.19

I

41

BU REAU O F BANKING

Bennet
C harter N o.

Citizens Bank of Bennett
40

G.

F.

C tf. N o.

17

Lancaster County
J oh n P. B ratt ........................ V ice-P resid en t

H . H . B ratt .......................................Cashier
A . D. B ratt ............................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

U oans and d iscou n ts ............. .$
•Overdrafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s .................... .......
B an king h ou se, furniture and
fixtures ........................... - .......
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
C ash in bank ................................
Total

272,969.52
317.08
45,267.61
7,675.00
875.44
86,503.03
41.43
6,444.25
420,093.36

Bennington

Capital stock ............... ................$ 25,000.00
5,000.00
Surplus fund ................................
4,466.37
U ndivided p rofits (n et) _____
Individual d ep osits su b ject to
94,571.07
ch eck .........................................
290,795.79
Dem and certifica tes of d eposit
260.13
D ep ositors’ guarantee fund ....

420,093.36

Total

Bennington State Bank

C h a rter N o. 1149

G. F . C tf. N o. 671

Douglas County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

.Loans and d iscou n ts ............... $ 197,998.40
O verd rafts .............
51.22
B on d s, s ecu rities, ju d gm en ts
and claim s .................... - ......
208.70
O ther assets ....................
33,431.02
O ther real estate .........................
37,910.82
B an king h ou se, furniture and
fixtures .....................................
7,775.00
B an kers’ con serv a tion fund ....
958.53
Due from national and state
banks .........................................
9,050.44
C h eck s and item s of exchange
36.50
Cash in bank ..............
1,595.65
•Other cash resou rces
........
5.98

Capital stock .............................. $ 25,000.00
Surplus fund ................................
101.50
Individual d eposits s u b je ct to
ch eck ................................
67,277.12
Tim e certifica tes of d eposit ....
175,696.12
S avings d eposits ....................
4,837.16
C ashier’ s ch ecks o u tsta n d in g ..
5,030.50
5,000.00
B ills payable ................................
D ep ositors’ guarantee fund —
208.85
O ther liabilities .................... - ....
5,871.01

T otal


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

.$ 289,022.26

T otal

.$ 289,022.26

BU REAU O F BANKING

42

Bennington

Mangold & Glandt Bank

Charter N o. 41

•
G.

F. C tf. N o. 18

Douglas County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 138,349.24
O verdrafts .......................................
21.66
B onds, secu rities, ju d gm en ts
and claim s ................................
28,676.76
40,818.14
O ther assets .............- .................
O ther real estate ....................—8,470.00
Banking house, furniture and
nxtu res .....................................
6,500.00
B an kers’ con serv a tion fund ....
590.59
Due from national and state
banks .........................................
13,934.66
Cash in bank ................................
454.37
T otal ................................... $ 237,815.42

Bertrand

The First

Capital stock ............................... $
Surplus fund .................
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of d ep osit
T im e certifica tes of d eposit
....
S avings deposits ..............
D ep ositors’ guarantee fund ....
O ther liabilities ............................

15,000.00
4,116.79
62,994.92
737.89
112,032.29
19,694.85
136.41
23,102.27

237,815.42

Total

tate Bank
G. F. C tf. N o. 20

Charter N o. 43
Phelps County
W . F. D obbin
J. W eir D obbin

.............................P resident
............V ice-P resid en t
STATEM ENT (

T. W eir D obbin ................ ................. Cashier
F.
F. D obbin ...................... A s s ’ t. Cashier
JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
Loans and d iscou n ts ................$ 390,118.21
O verdrafts ........................
659.57
O ther real estate .........................
31,897.96
B an kin g hou se, furniture and
13,700.00
fixtures .................................
B an kers’ con serv a tion fund ....
1,113.51
Due from national and state
banks .........................................
42,032.16
C hecks and item s of exchange
244.80
Cash in bank ................................
5,065.67
O ther cash resou rces ..................
1,107.30
U . S. bonds in cash reserve ....
10,000.00
T otal


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

.$ 495,939.18

Capital stock ......... .................... 4
Surplus fund ......
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of dep osit
Tim e certifica tes o f d ep osit ....
S avings d ep osits .............
Bills payable .................... .-....... _...
D ep ositors’ gu arantee fund ....

T otal

25,000.00
17,500.00
1,914.16
119,328.01
1,106.73
288,058.19
7,719.56
35,000.00
312.53

.$ 495,939.18

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

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

45

BU REAU O F BANKING

Bingham
C harter N o.

Bank of Bingham

\

1476

G.

F.

C tf. N o. 99S'

Sheridan County
C has: F inegan ..’.............................P resident
C . H . A n d erson .................Vice-President
STATEM EN T

W.

W.

G ilbaugh ............................... Cashier

F JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............._$
O v erd ra fts .................
B an k in g hou se, furniture and
fixtures .......................
B a n k ers’ con serv a tion fund .
D ue from national and state
banks ...................................
C h eck s and item s of exchange
C ash in bank ................................

48,901.78
42.34

T otal ................................... $

61,989.78

Bladen

7,500.00
99.21
2,669.89
372.37
2,404.19

Capital stock ................................$
Surplus fund ............................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........................
Tim e certifica tes o f d ep osit ....
C ashier’ s ch eck s ou tsta n d in g
..
D ep ositors’ gu arantee fund _
T otal ........... .......... ............ 4

15,000.00
1,000.00
634.17
32,360.73
12,818.52
144.02
32.34
61,989.78

Exchange Bank

C harter N o. 654

G. F . C tf. N o. 279

Webster County
V . S. H all .............................. ............President
S. M . Hall .............................. ..V ice-P resid ent

Jay

M c llle ce

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $
O verd ra fts ...............
B on d s, secu rities, ju d gm en ts
and claim s ...........
B an k ers’ con serv a tion fund ....
D u e from national and state
banks
C hecks and item s of exchange
C ash in bank ................................
U . S. bonds in cash reserve....
T otal


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

97,657.24
31.44
13,400.00
254.41
15,767.74
1,383.45
591.33
1,000.00

.$ 130,085.61

Capital stock ----------------- --------- $
Surplus fund ___
U ndivided p rofits (n e t) ..........
Individual d ep osits s u b je ct to
ch eck ............. .............
T im e certifica tes o f dep osit _
C ashier’ s ch eck s outstanding..
Due to national
and state
banks .............
D ep ositors’ gu arantee fund _
Total

10,000.00
4,500.00
2,745.42
29,097.07
75,099.76
69.05
8,500.00
74.31
130,085.61

46

BUREAU OF BANKING

Bladen

Service State Bank

C harter N o. 1420

G. F . Ctf. N o. 942

Webster County
C.

F.

Gund .......................................P resid en ts.

P.

Duncan .......................................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oa n s and d iscou n ts ............... $
O verd rafts .......................................
O ther real estate ........................
B anking h ou se, furnitu re and
fixtures ....... -............................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exchange
C ash in bank ................................

85,722.60
210.22
3,379.36
4,500.00
235.42
12,064.78
341.87
1,429.19

Capital stock ............................... $
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit
....
B ills payable ................................
D ep ositors’ guarantee fund
....

T otal ................................... $ 107,883.44

Bladen

15,000.00
458.32
24,873.41
223.01
59,252.89
8,000.00
75.81

T otal ................................... $ 107,883.44

State Bank

Charter N o. 875
Webster

G. F . C tf. N o. 427
County

A . W . Cox .......................................... President
A . W . R ust ............................ V ice-P resid en t

J. L. A sh m ore ....................................Cashier
W . O. C ollett .........................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 167,378.22
O v erd ra fts .......................................
264.26
O ther real estate .......................
28,689.94
B an king hou se, furnitu re and
fixtures ......- ..............................
12,500.00
B an k ers’ con serv a tion fund ....
551.02
Due from national and state
banks .............
22,552.72
Checks and item s of exch a n ge
423.33
Cash in bank .............
2,054.65
U . S. bonds in cash reserve....
4,950.00

Capital stock ................................$ 25,000.00
Surplus fund ................................
2,000.00
U ndivided profits (n et) ..........
929.34
Individual d ep osits su b ject to
ch eck ....
57,500.02
Dem and certifica tes of dep osit
136.49
Tim e certifica tes o f d ep osit
.... 153,658.73
D ep ositors’ guarantee fund
....
139.56

T otal ................................... $ 239,364.


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

T otal ................................... $ 239,364.14

BU REAU OF BANKING

Blair

47

Citizens Savings Bank

C harter N o.

989

G.

F.

Ctf.

N o.

527

Washington County
A . R . B rock ...... -................ .............. P resident
R . J. M u rd och .....................V ice-P resid en t

Carrie B rock .........................A s s ’ t. Cashier
M yron B rock ................... .A s s ’ t. Cashier
Louis M u rdoch .....................A s s ’ t. Cashiier

S T A T E M E N T OF TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
B onds, secu rities, ju d gm en ts
and claim s .........................
O ther real estate .......................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .................... _...................
Cash in bank ................................

76,669.70
45,866.81
73,847.93
776.15
8,085.63
2,136.50

T otal ................................... $ 207,382.72

Blair

Capital stock ....................................... 12,500.00
Surplus fund ....................
2,500.00
756.79
U ndivided profits (net)..._..........
Savings d eposits ...................i___
191,488.43
D ep ositors’ guarantee fund ....
137.50

T otal ................................... $ 207,382.72

Citizens 1 ate Bank

C harter N o. 797

G. F . Ctf. N o. 368

Washington County
A . R. B rock ............:...................... President
R . J. M u rd och .....................V ice-P resid en t
STATEM ENT
R ESO U R CE S

Carrie B rock ........................A s s ’t.
M yron B rock ....................-...A ss’ t.
L ou is M u rdoch ................. -...A ss’ t.

Cashier
Cashier
Cashier

JU N E 30, 1927
L IA B IL IT IE S

Capital stock .............- ................$ 50,000.00
L oans and d iscou n ts ............... $ 401,175.24
Surplus fund .............
10,000.00
210.50
O verd rafts .................... - .................
U ndivided profits (n et) ..........
2,608.58
B on d s, secu rities, ju d gm en ts
and claim s ................................
54,133.26 Individual d eposits su b ject to
ch eck .........................................
187,323.08
O ther real estate .......................
86,281.29
Tim e certifica tes of d eposit
.... 279,227.17
B an kin g hou se, furniture and
Due to national
and state
fixtures ......_...............
5,000.00
banks
.................
62,178.71
B an k ers’ con serv a tion fund ....
1,349.08
D ep ositors’ guarantee fund
....
367.23
D u e from national and state
banks .........................................
33,172.11
C hecks and item s of exchange
1,014.36
Cash in bank ..................................
9,368.93
T ota l ................- ..............$ 591,704.77


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

T otal ......................... ......$ 591,704.77

BU REAU OF BANKING

48

Blair

Farmers State Bank
G. F. C tf. N o. 1064

C harter N o- 1542
Washington County
P eter M . T y s o n ............................P resident
C . M . H itchm an ................ V ice-P resid en t

R. C. H itchm an ............................... C ashier
Edna J. N oble .........................Ass’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ............... $ 365,862.67
B o n d s, s e cu rities, ju d gm en ts
and claim s ........ :...................
101,841.84
O th e r real esta te .......................
2,810.00
B an king hou se, furniture and
fixtures .......
20,300.00
B an kers’ con serv a tion fund ....
838.32
Due from national and state
banks .........................................
88,775.89
C hecks and item s of
exchange
2,357.09
Cash in bank ................................
8,662.73
U . S. bonds in cash
reserve....
6,250.00

Capital stock ........ ....................... $
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .............
Tim e certifica tes of d ep osit ....
S avings d ep osits ........................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....

.$ 597,698.54

Total

Blair

35,000.
7,350.
3,385.

sss

R ESO U R C E S

278,061.75 .
216,769.07
51,344.42
5,213.22
574.69

.$ 597,698.54

T otal

State Bank

C harter N o.

G. F .

1307

C tf. N o. 829

Washington County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 362,669.86
O v erd ra fts .....................
3,108.35
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
123,206.58
O ther assets ..................................
81,886.81
O ther real estate ........................
119,719.77
B an k in g h ou se, furnitu re and
fixtures ............
11,000.00
B an k ers’ con serv a tion fund ....
2,478.21
D ue from national and state
ban ks ................ ..................- ....
19,687.55
C ash in bank ................................
11,283.67

Capital stock ................................$ 50,000.00
Surplus fund ..................................
25,896.47
Individual d ep osits s u b je ct to
ch eck .........................................
238,615.12
Tim e certifica tes of dep osit
.... 406,824.18
Certified ch eck s ......
3.85
C ashier’ s ch ecks o u tsta n d in g ..
1,790.42
Due to national
and state
banks .........................................
11,422.11
D ep ositors’ guarantee fund
....
488.65

T otal

...............................$ 735,040.80


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

T otal ................................$ 735,040.80

49

BU REAU O F BANKING

Bloomfield

Farmers & Merchants State Bank

•Charter N o. 48

G. F .

Ctf. N o. 21

Knox County
P. A . T ulleys ................................... President

Frank

.A ss’ t.

H ughes

Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 414,861.13
-O verd ra fts .......................................
1,519.46
B on d s, secu rities, ju d gm en ts
and claim s ............................
1,044.82
62,412.21
O ther real estate ............... .......
B an king hou se, furnitu re and
fixtures ................ ....................
14,070.60
B an kers’ con serv a tion fund ....
1,153.46
Due from national and state
banks .........................................
49,435.89
-C hecks and item s of exch a n ge
1,650.00
Cash in bank ................................
7,057.25
U. S. bonds in cash reserve....
7,800.00
'O th e r cash resou rces ..............
350.99
.$ 561,355.81

Total

Bloomfield

Capital stock ................................$
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
S avings d eposits .................... .
Certified ch eck s .................. -.......
C ashier’ s ch eck s O utstandingD ep ositors’ guarantee fund ....

50,000.00
1,561.78
206,875.94
221.30
292,031.65
9,636.30
14.00
662.25
352.59

.$ 561,355.81

T otal

Nebraska State Bank

- C harter N o. 1218

G. F .

Ctf. N o.

740

Knox County
H erm an Guhlke ............................... P resid ent
F red W oid n eck ....................V ice-P resid en t

.............. Cashier
..A ss’ t Cashier

C. T. H eckt
O tto Krause

S T A T E M E N T O F JU N E 30, 1927

L oans and d iscou n ts ............... $ 525,294.49
O verd rafts ................. - ...................
2,256.77
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................—•
49,690.00
O ther assets ...................
1,965.53
O ther real estate .........................
46,205.51
B an king hou se, furnitu re and
12,500.00
fixtures .............
B an k ers’ con serv a tion fund ....
950.05
Due from national and state
banks ......- .................................
67,284.17
C hecks and item s of exchange
447.68
Cash in bank ....!...........................
13,381.26
U. S. bonds in cash reserve....
37,500.00
Total


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

.$ 757,475.46

Capital stock .........................._...!
Surplus fund ........................... ....
U ndivided p rofits (net) ..........
Individual deposits s u b je ct to
ch eck .............................. - —
T im e certifica tes of dep osit ....
S avings d eposits
C ashier’ s ch ecks O utstandingD ep ositors’ guarantee fund ....

T otal

25,000.
9,000.
217.

£83

L IA B IL IT IE S

R ESO U R CE S

264,435.68
436,570.61
21,306.85
412.36
532.50

757,475.46

50

BU REAU O F BANKING

Bloomington
C harter N o.

Bloomington State Bank

51

G. . F .

C tf.

N o. 22

Franklin County
H en ry Graf .......................................President
F.
J. C arroll ....................V ice-P resid en t

R . C. K irkbride ..................................Cashier
R . C. K irk brid e, j r ..............A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ................$ 149,656.28
O verdrafts .......................................
283.23
O ther real estate ......
3,549.16
B an king h ou se, furnitu re and
8,000.00
fixtures .....................................
B an kers’ con serv a tion fund ....
419.00
D ue from national and state
banks ....................................
24,585.01
C hecks and item s of exch a n ge
89.03
Cash in bank ................................
1,433.80

Capital stock .................... ...........$ 25,000.00
Surplus fund ...........................
4,300.00
U ndivided profits (n et) ..........
829.32
Individual d ep osits s u b je ct to
ch eck .............................:.
71,534.90
Tim e certifica tes of d ep osit .... 61,800.95
Due to national
and state
banks ...........................
24,429.12
D ep ositors’ guarantee fund ....
121.22

T otal

..............................$ 188,015.51

Bloomington
C harter N o.

T otal

............................... $ 188,015.51

Farmers State Bank

1108

G. F .

Ctf.

N o.

631

Franklin County
C. A . W ald o .................................. P resid ent
Geo. R. M cC rary ................V ice-P resid en t
E.
S. M u rray .................. V ice-P resid en t

W.

A.

Deary

....................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ............... $ 113,774.90
O v erd ra fts .......................................
235.25
B on d s, secu rities, ju d gm en ts
and claim s ....................
3,123.22
O ther assets ................................
887.36
O ther real estate ........................
21,773.12
B an kin g hou se, furniture and
fixtures ......
5,300.00
B an kers’ con serv a tion fund ....
174.32
Due from national and state
banks .........................................
5,401.28
C hecks and item s of exch a n ge
152.04
Cash in bank ................................
1,310.24
T otal


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

.$ 152,131.73

Capital stock ...............................$
Individual deposits su b ject to
check .............
Dem and certifica tes of dep osit
T im e certifica tes of d ep osit ....
Due to national
and state
banks .................... - ..................
B ills payable ..................................
D ep ositors’ guarantee fund ....

Total

20,000.00
45,989.19
5.35
53,810.27
5,750.00
26,495.00
81.92

.$ 152,131.73

5L

BUREAU OF BANKING

Blue Hill

Commercial Bank
G. F . C tf. N o. 421

•C harter N o. 868
Webster

County

E.
M cB ride .....................................P resident
Jacob Coll ...............................V ice-P resid en t

..Cashier
..A ss’ t. Cashier

E dgar M cBride
C. E. D voracek

S T A T E M E N T OF JU N E 30, 1927
# R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts .............. $ 258,298.81
O v e r d r a ft s ..........................
297.37
B onds, secu rities, ju d gm en ts
and claim s ................................
30,447.67
O ther real estate ................
12,086.00
B an king hou se, furniture and
fixtures .....................................
6,650.00
B an kers’ con serv a tion fund ....
764.62
Due from national and state
banks .........................................
30,569.33
C hecks and item s of
exchange
712.59
Cash in bank ................................
6,863.85
-U. S. bonds in cash
reserve....
9,866.00

Capital stock ............................... $
15,000.00
Surplus fund ................................
15,000.00
18,463.00
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ................................-.......
80,549.62
Tim e certifica tes of dep osit
.... 214,337.22
Savings d eposits ........................
9,185.86
C ashier’ s ch ecks outstanding..
3,591.38
D ep ositors’ guarantee fund
....
211.81
R eserved for taxes .....................
217.35

T otal

Total

.............................. $ 356,556.24

Blue Springs

............................... $ 356,556.24

Blue Springs State Bank
G.

C harter N o. 595

F.

Ctf. N o. 235

Gage County
..President

VV. C. B lack ....- ............

F.
A.

J.
A.

P atton .................................. -C a s h ie r
K rauss ..................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
Loans and d iscou n ts .............. $ 123,894.06
B on d s, secu rities, ju d gm en ts
and claim s ..............................
61,788.03
B an king hou se, furnitu re and
fixtures .....................................
4,100.00
B an kers’ con serv a tion fund ....
482.52
Due from national and state
banks .........................................
24,230.02
Cash in bank .................... —•
5,873.00
T otal ..................................$ 220,367.63


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

L IA B IL IT IE S
Capital stock ...............................$
Surplus fund ................................
LTndivided profits (net)_ ..........
Individual d ep osits s u b je ct to
ch eck ..................................... —Dem and certifica tes of dep osit
S avings d ep osits ...............
C ashier’ s ch eck s ou tsta n d in g ..
D ep ositors’ guarantee fund ....

20,000.00
5,000.00
3,228.43
107,341.33
77,482.70
5,777.21
1,413.16
124.80

T otal ...................................$ 220,367.63

52

BU REAU O F BANKING

Boelus

Boelus 5 ate Bank

Charter N o. 573
Howard
L.
P.
N.

G.

F.

Ctf. N o. 223

County

B. K en yon .................................. President
Jensen .........
V ice-P resid en t
Jensen ................................V ice-P resid en t

H arry E ricksen ................................. C ashier
A lfreda Johnson .....................A s s ’ t. Cashier

S T A T E M E N T < F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 219,240.98
O verd rafts ....................................
707.02
E xpense in excess of profits....
675.49
O ther real estate .........................
10,478.01
D ep ositors’ guarantee fund ....
1,212.55
B an king h ou se, furnitu re and
fixtures .....................................
4,815.12
B an kers’ con serv a tion fund ....
621.04
Due from national and state
banks .........................................
41,295.49
Checks and item s of exchange
3,650.96
Cash in bank ................................
4,618.38
U . S. bonds in cash reserve ....
18,976.01

Capital stock ...............................$ 20,000.00
Surplus fund .............
6,000.00
Individual d ep osits s u b je ct to
ch eck .........................................
62,856.30
T im e certifica tes of dep osit ....
203,182.16
S avings d eposits
.....................
2,245.84
Due to national and state
11,055.18
banks .............
Sundry collection a ccou n t .........
951.57

T otal ................................... $ 306,291.05

T otal ........................ .......... $ 306,291.05

Boelus
C harter N o.

Farmers

ate Bank

1380

G.

F.

C tf.

N o.

902

Howard County
C.
H. K ruse ....................................P resident
Jno. A . N elson .................V ice-P resid en t
STATEM EN T (

R oy G.

R ockw ell ................................C ashier

JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 120,472.30
O verdrafts .......................................
1,118.86
O ther assets ..................................
5,481.36
O ther real estate
....................
20,900.00
B an king hou se, furniture and
fixtures .............
5,540.00
B an kers’ con serv a tion fund ....
361.45
Due from national and state
banks ......................................—
5,433.66
C hecks and item s of exch a n ge
402.84
Cash in bank ..........1................_...
1,534.82
T otal


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

.$ 161,245.29

Capital stock ...... .........................$
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........................................
T im e certifica tes of d ep osit
S avings d eposits ..........................
C ashier’ s ch eck s o u tsta n d in g ..
R e-d iscou n ts ..................................
Bills payable .............
D ep ositors’ guarantee fund
....
T otal

15,000.00
3,000.00
2,984.61
33,148.03
92,628.86
448.43
523.33
4,300.00
9,108.65
103.38

.$ 161,245.29

BU REAU O F BANKING

Boone

53

The Boone State Bank

C harter N o. 840

G.

F.

Ctf. N o. 399

Boone County
F.
A.

S. T h om p son .......................... P resident
S. H. W h iteh orn ................................Cashier
G. M ansfield ................V ice-P resid en t B. B. Jennings .....................A s s ’ t. Cashier
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verd rafts .......................................
B on ds, secu rities, ju d gm en ts
and claim s ................................
Other assets .................................
B an king hou se, furniture and
fixtures ................
B an kers’ con serv a tion fund ....
Due from national and §tate
banks .........................................
Checks and item s of exchange
Cash in bank .....
U . S. bonds in cash reserve ....
T otal

............................... $

56,098.11
2,123.74
787.95
2,383.30
4,983.96
213.46
11,412.73
25.53
2,240.40
1,000.00

Capital stock ................................$
Surplus fund ......................:____
Individual d eposits s u b je ct to
ch eck .........................................
Dem and certifica tes of d eposit
T im e certifica tes of dep osit ....
S avings deposits .........................
B ills payable ................................
D ep ositors’ guarantee
fund ....

81,269.18

T otal

........................... _...$

10,000.00
1,000.00
20,118.23
2,009.00
39,255.64
6,383.96
2,450.00
52.35

81,269.18

©

Bradish

Farmers

ate Bank

Charter N o. 1475

G. F . C tf. N o. 997

Boone County
W . E. N elson
........................... P resident
A . E. Jacobson ....................V ice-P resid en t
STATEM ENT (

R . I.

Gutru ...........................................C ashier

JU N E 30, 1927

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ................................
O ther assets .......................... —..
O ther real estate .........................
B an king hou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Cash in bank .............
T otal

......... ..................... $


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

L IA B IL IT IE S
69,001.65
535.99
5,453.57
2,095.87
5,533.43
3,769.47
186.27

Capital stock ................................$
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit ....
S avings d eposits
......................
C ertified ch ecks ............................
R e-d iscou n ts ......_..........................
D ep ositors’ guarantee fund ....

10,000.00
29,880.15
51,321.64
249.82
4,132.20
1,479.00
60.93

10,116.57
430.92
97,123.74

T otal

................................$

97,123.74

BU REAU OF BANKING

54

Bradshaw
C harter N o.

Farmers State Bank
G.

1152

F.

C tf.

N o.

674

York County
H.
A.

B edient .................. :......... ...President
M cC loud .....................V ice-P resid en t

J. A . B oyle .......................................Cashier
E lsie M . B oyle .................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

Loans and d iscou n ts ...............$
O verd ra fts .......................................
B onds, secu rities, ju d gm en ts
and claim s ..............................
O ther real estate
....................
B an kin g h ou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ................................

68,747.01
429.43
6,050.00
1,378.61
5,000.00
212.08

15,000.00
4,500.00
600.00
29,893.93
7,000.00
56,912.28
56.42

27,917.51
617.06
3,610.93

T otal ...................................$ 113,962.63

Brady

Capital stock ................................$
Surplus fund ................................
D ividends unpaid ........................
Individual d eposits s u b je ct to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of dep osit ....
D ep ositors’ guarantee fund ....

T otal ................................... $ 113,962.63

Bank of Brady

C harter N o. 811

G. F . C tf. N o. 379

Lincoln County
B . R . K elly ...................................... P resid ent
G. J. T a ylor ............................ V ice-P res id en t

L . C. W illiam s .................... ..............Cashier
J. D. M cC ullough .............A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S
Capital stock ............................... $
Surplus fund ...........................
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of d eposit
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

20,000.00
5,000.00
2,391.71
85,246.23
3,186.46
142,579.94
164.80

.

Loans and d iscou n ts ............... $ 191,091.37
O verdrafts ......... - ...........................
930.70
B on d s, secu rities, ju d gm en ts
2,901.99
and claim s ................................
O ther assets ..................................
6,050.00
O ther real estate .............- .........
8,880.00
B an king hou se, furnitu re and
9,500.00
fixtures .............- ............ - .......
B an kers’ con serv a tion fund ....
683.00
Due from national and state
banks ............................... 32,808.85
Checks and item s o f exch a n g e
2,029.28
Cash in ban k ___ ______ _____—
3,693.95
T otal ___________________ $ 258,569.14


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

T otal ....... ........................... $ 258,569.14

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

56

BU REAU O F BANKING

Brainard

Brainard State Bank

Charter N o. 1267

G. F. C tf. N o. 789

Butler County
F . C.
Jacob

H ora cek ............. ............. —.P resid ent
H oracek ................... V ice-P res id en t

J. E. Prai .......................................... Cashier
Olga V ondra .........................A s s ’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
LIABILITIES

R E SO U R C E S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ..............................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ................................

127,737.96
109.84

T otal ................................... $

234,184.29

Brainard

53,460.00
6,000.00
490.47
41,910.92
19.09
4,456.01

Capital stock .................... .......... $
Surplus fund ................... ............
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck ............,...........................
Dem and certifica tes of dep osit
Tim e certifica tes of d eposit ....
C ashier’ s ch ecks ou tsta n d in g ..
D ep ositors’ guarantee fund ....

20,000.00
5,000.00
869.79
58,428.80
97.55
148,996.19
665.60
126.36

T otal ................ .................. $ 234,184.29

Farmers ! ate Bank

Charter N o. 931

G.

F. C tf. N o. 472

Butler County
A. A.
F rank

H a yek
F'aytinger

........................... P resid ent
............ V ice-P resid en t
STATEM EN T (

W . C. S tejskal ......... ........................Cashier
L yd ia B runer ....................... A s s ’ t Cashier
Grace A nn H a yek ......... .......A s s ’ t. Cashier
' JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 193,836.32
O verd ra fts ................... .............._...
201.77
B on d s, secu rities, ju d gm en ts
and claim s ..............i................
41,688.92
O ther real estate ........................
13,000.00
B an king h ou se, furniture and
fixtures ,........................... - ........
5,533.40
B an kers’ con serv a tion fund ....
564.35
Due from national and state
banks .........................................
15,917.70
C hecks and item s of exch a n ge
426.75
Cash in bank ................................
5,292.57
U . S. bonds in cash reserve....
12,850.00
T otal


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

.$ 289,311.78

Capital stock ................................$ 20,000.00
Surplus fund ......
16,000.00
Individual d ep osits s u b je ct to
ch eck ....................
40,418.47
Dem and certifica tes of dep osit
465.35
T im e certifica tes of dep osit .... 184,329.52
S avings d ep osits ....................
21,621.77
C ashier’ s ch ecks o u tsta n d in g ..
4,680.35
Due to national and state
banks .........................................
1,637.60
D ep ositors’ guarantee fund ....
158.72

Total

.$ 289,311.78

57

BU REAU OF BANKING

Breslau
Charter N o.

Breslau State Bank
G.

1202

F . C tf. N o, 724

Pierce County
M . Inhelder
J. S. M orris

...........J...................„P re s id e n t
.........................V ice-P resid en t

................Cashier
..A ss’ t. Cashier

L . P. Tonner
F . H . P ochap

STATEM EN T O F JU N E 30, 1927
LIABILITIES

R ESO U R CE S
Loans and d iscou n ts ............... $ 191,347.20
O v erd ra fts .............
565.92
B on d s, secu rities, ju d gm en ts
and claim s ...........................
5,497.32
O ther assets ......
1,728.96
O ther real estate .................... _...
27,329.65
B an king h ou se, furniture and
fixtures _________- ............ ......
4,300.00
B an k ers’ con serv a tion fund ....
474.61
Due from national and state
banks ....................
19,541.08
C hecks and item s o f exchange
362.16
1,291.37
Cash in bank ......

Capital stock ............................... $
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
S avings d ep osits .........................
Certified ch ecks ...........................
B ills payable ........ .'......................
D ep ositors’ guarantee fund ....

C harter N o.

67,678.96
131,677.02
925.16
2,793.90
29,200.00
163.23

T otal ................................... $ 252,438.27

T otal ................................... $ 252,438.27

Brewster

20,000.00

Brewster State Bank
58

G.

F.

C tf.

N o.

24

Blaine County
R . W . F erg u son ..................... .......President
Paul F. V an N este ......... .V ice-P resid en t

P.

C.

E rick son

..................................Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S

Total


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

83,908.92
998.30
10,000.00
1,800.00
223.85
5,861.37
101.10
2,040.14
1,.500.00
2,199.45

.$ 108,633.13

Capital stock ...............................$ 10,000.00
Surplus fund ..................................
5,000.00
U ndivided profits (n et) ..........
507.35
Individual d eposits su b ject to
ch eck .................... 37,256.80
Dem and certifica tes of dep osit
.84
Tim e certifica tes of d eposit
.... 50,801.20
Bills payable .............
5,000.00
D ep ositors’ gu aran tee fund
....
66.94
.

L oans and d iscou n ts ............... $
O verd rafts .......................................
O ther real estate ........................
B an king hou se, furniture and
fixtures ........................... - ........
B an k ers’ con serv a tion fund ....
Due from national and state
banks ................
C hecks and item s of exchange
Cash in bank ............
U . S. bonds in cash reserve....
O ther cash resou rces ......

Total

.$ 108,633.13

58

BU REAU OF BANKING

Bridgeport
C harter N o.

Bridgeport Bank

S66

G.

F.

C tf.

N o.

217

Morrill County
Operated by Guarantee Fund Commission
S T A T E M E N T O F TUNE 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 328,976.96
O ther assets ..................................
93,251.68
O ther real estate .........................
107,576.50
B an king hou se, furniture and
fixtures ....................- ...............
7,500.00
B an k ers’ con serv a tion fund ....
1,743.26
Due from national and state
banks .........................................
7,370.19
C hecks and item s of exchange
168.33
5,038.08
Cash in bank ................................

Capital stock ............ ..................$ 25,000.00
Surplus fund ................................
18,272.83
Individual d ep osits s u b je ct to
ch eck .........................................
175,171.10
Dem and certifica tes of dep osit
30,792.70
Tim e certifica tes of d ep osit
.... 117,609.88
S avings d eposits ..........................
84,113.34
C ashier’ s ch eck s o u tsta n d in g ..
347.24
Due to national and state
banks .................
20,053.32
R e-d iscou n ts .............
6,908.70
Bills payable ......- ..........................
28,000.00
D ep ositors’ guarantee fund
....
355.89
47,000.00
O ther liabilities ..........................

T otal ................................... $ 553,625.00

T otal ........................... - ......$ 553,625.00

Bridgeport

Nebraska State Bank

C harter N o. 1317

G.

F.

C tf. N o. 839

Morrill County
M . B eerline .................................... P resid ent
J as. P. Spearm an ..............V ice-P resid en t

B. R . Spearm an ................................ Cashier
R. J. W ilson ............................ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
Loans and d iscou n ts ............... $ 301,905.90
O v erd ra fts .......................................
1,360.09
B ond s, secu rities, ju d gm en ts
and claim s ..............................
3,226.45
O ther assets ...................................
461.16
O th er real estate ........................
39,272.71
B an king h ou se, furniture and
fixtures .....................................
6,083.81
B an kers’ con serv a tion fund ....
501.74
Due from national and state
banks .................................. - ....
25,985.02
C hecks and item s of exch a n ge
2,099.51
Cash in bank ..............................
4,088.68
U . S. bonds in cash reserve....
950.00
T otal


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

.$ 385,935.07

Capital stock .............................. $
Surplus fund ................................
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
T im e certifica tes of d eposit ....
S avings d eposits .................... _....
C ashier’ s ch ecks o u tsta n d in g ..
B ills payable ................................ ■
D ep ositors’ guarantee fund ...

T otal

25,000.00
3,500.00
163,404.02
2,000.00
137,605.06
13,137.46
3,108.67
38,000.00
179.86

.$ 385,935.07

5&

BU REAU O F BANKING

Nebraska State Bank

Bristow

G. F. Ctf. No. 1099

Charter No. 1577
Boyd County
Jabe B . G ibson ............. ............. „..P resid en t
Ed. A . lvrohn .....................V ice-P resid en t

L.

W.

G ibson

.................... ............ C ashier

S T A T E M E N T O F JU N E 30, 1927

Loans and d iscou n ts ............... $
B on d s, secu rities, ju d gm en ts
and claim s ...............................
B an kin g hou se, furniture and
fixtures ...................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Cash in bank ................................
U . S. bonds in cash reserve....

50,538.70

T ota l .................................. $

93,622.69

Broadwater
Charter N o.

19,436.45
4,500.00
57.70

Capital stock ............................... $
Surplus fund .................................
Undivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

15,000.
200.
1,840.

S88

LIABILITIES

RESOURCES

45,437.63
31,085.25
58.82

8,538.74
4,437.60
6,113.50
T otal ................................... $

93,622.69

Bank

Union S

G.

1352

F.

C tf.

N o.

874

Morrill County
R ay C.

M unkres ............................ President

J.

O.

R oss

..................................- ..... Cashier

S T A T E M E N T ( F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts
..............196,026.40
O verd rafts ...................
63.39
O ther assets ...................................
13,792.77
O ther real estate .................... ....
6,807.62
B an king hou se, furniture and
fixtures ........ :.............
12,500.00
B an kers’ .con serva tion fund ....
401.19
Due from national and state
banks .........................................
40,796.28
Checks and item s of exchange
330.63
Cash in bank ................................
3,027.14
U. S. bonds in cash reserve....
4,000.00

Capital stock ...............................$ 25,000.00
Surplus fund ................................
2,700.00
U ndivided profits (net) ......
3,601.98
Individual d ep osits su b ject to
ch eck ....
136,795.33
Dem and certifica tes of d eposit
2,000.00
Tim e certifica tes of dep osit ....
104,144.12
Certified ch eck s .............
50.00
C ashier’ s ch eck s o u tsta n d in g ..
793.24
Due to national and state
banks .........................................
2,500.00
D ep ositors’ guarantee fund ....
160.75

Total


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

.$ 277,745.42

T otal

.$ 277,745.42

60

BU REAU OF BANKING

Brock

Bank of Brock

Charter N o.

59

G.

F.

C tf. N o.

25

Nemaha County
E.

C.

Y on t ........................................ Cashier

R. R.

B lankenship .............. A s s ’ t.

Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verd rafts ...............
B en d s, secu rities, ju d gm en ts
and claim s ................................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Cash in b an k ................................

86,170.76
91.03
100.00
2,650.00
321.39

C harter N o.

10,000.00
10,000.00
193.98
63,781.56
31,853.95
90.53

21,465.30
5,121.54

T otal ..:................................ $ 115,920.02

Broken Bow

Capital stock ............................... $
Surplus fund .....'...........................
U ndivided profits (n et) ...........
Individual d ep osits s u b je ct to
ch eck .........................................
T im e certifica tes o f d eposit ....
D ep ositors’ guarantee fund _

T otal ................................... $ 115,920.02

Broken Bow State Bank

540

G.

F.

Ctf.

N o. 204

Custer County
Y ale

B.

.President

H uffm an

R . S. K uns .......................................Cashier
E sther A . S trick ler............. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts ....................
O ther assets ............
O ther real estate
B an king h ou se, furniture and
fixtures ..................
B an kers’ con serv a tion fund ....
Due from national and state
banks ......................
C hecks and item s of exchange
Cash in bank .............
U. S. bonds in cash reserve...

L IA B IL IT IE S
452, 611..95
988..93
3.,584 .30
42, 178.,40
15,,327..38
1, 566. 12
101,,916..90
17, 862. 95
10, 857. 23
2, 850. 00

T otal ................ .................. $ 649, 744. 16


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

Capital stock ................................$ 30.000.
Surplus fund ................................
15.000.
Individual d ep osits s u b je ct to
ch eck .........................................
235,041.53
Dem and certifica tes of d eposit
2,537.34
Tim e certifica tes of dep osit .... 366,729.47
435.82
D ep ositors’ guarantee fund ....

T otal

.$ 649,744.16

00
00

BU REAU O F BANKING

Broken Bow
■Charter N o.

61

Custer State Bank

1309

G.

F.

C tf.

N o.

831

Custer County
H.

Lom ax ................................ ......... P resident

T. C. Lom ax ... ......................................Cashier
Iv o l Gardner .. .......................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 287,884.80
O verd rafts .......................................
641.84
B onds, secu rities, ju d gm en ts
and claim s .................................... 7,839.93
O ther assets ..................................
20,402.52
O ther real estate .......................
33,574.06
B an king h ou se, furniture and
fixtures .....................................
10,776.84
B an kers’ con serv a tion fund ....
894.36
Due from national and state
banks .........................................
6,283.64
Checks and item s of exchange
1,383.97
C ash in bank ................................
7,461.78
U . S. bonds in cash reserve....
2,250.00

Capital stock .................... ......_...$ 35,000.00
Surplus fund ................................
15,000.00
3,311.32
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
132,620.70
Dem and certificates o f deposit
7,652.69
Tim e certificates of deposit ....
139,672.50
Savings deposits ........................
3,131.18
Due to national and state
banks ..........
8,605.36
R e-d iscou n ts ..................................
33,412.44
D epreciation reserve .................
752.64
D ep ositors’ guarantee fund ....
234.91

T otal ................................. $ 379,393.74

Broken Bow
Charter N o.

T otal

379,393.74

Nebraska State Bank

1358

G. F.

Ctf. N o. 880

Custer County
J. G. B renizer ..................................P resident
E. S. H olcom b ..................... V ice-P resid en t

R.

S.

I.

A rp

.................................... Cashier

S T A T E M E N T < F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...........,....$ 243,858.17
O v erd ra fts .......................................
113'.09
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
8,131.11
B a n k in g hou se, furnitu re and
fixtures .....................................
14,000.00
B an kers’ con serv a tion fund ....
770.52
Due from national and state
banks ......_..............
85,552.61
C hecks and item s of exchange
175.88
Cash in bank ..............................
9,860.77
U.. S . bon d s in cash reserve....
14,950.00

Capital stock ................ ;..............$ 35,000.00
Surplus fund ...............................
5,200.00
U ndivided profits (n et) ..........
2,299.66
Individual d ep osits su b ject to
ch eck ..................
153,545.59
Dem and certifica tes o f dep osit
7,214.65
T im e certifica tes of d ep osit
.... 173,952.39
D ep ositors’ guarantee fund
....
199.86

T o ta l ................................... $ 377,412.15


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

T otal ................................... $ 377,412.15

62

BU REAU O F BANKING

Broken Bow

Security State Bank

C harter N o. 842

G.

F.

C tf.

N o.

401

Custer County
L . W . W ilson ............. ..................P resid ent
Chas. Blakem an ................. V ice-P resid en t

P. G. R ichardson ............................ Cashier
J. C. K iker ............................ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
B onds, s ecu rities, ju d gm en ts
and claim s ..............................
O ther real estate ........................
B an king hou se, furniture and
fixtures ......... ...........................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s o f exchange
Cash in bank ...............................
U. S. bonds in cash reserve...

261,263.05

T otal .................... .............. $

441,396.16

Brownlee
C harter N o

15,953.34
35,062.40
6.5CO.OO
1,106.34
81,429.58
1,689.37
13,392.08
25,000.00

Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck ........................................
Demand certificates of deposit
T im e certificates of deposit ....
Due to national and state
banks .......................................
D ep ositors’ guarantee fund ....

T otal

35.000.

00’

10.000.

00

2,300.36
185,046.64
2,755.92
182,576.32
23,415.53
301.39

441,3%. 16

Brownlee State Bank
1175

G. F. Ctf. N o. 697

Cherry County
F . W . W h ittem ore ........................ President
J. F ish er ...............................V ice-P resid en t
STATEM ENT
R ESO U R CE S


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

F JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ................................
O th er assets .................................
O ther real estate ........................
B an kin g hou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ....................................
C hecks and item s of exchange
Cash in bank ...............................
Total

H. R . S hockley ............................ ...Cashier
P. C. S hockley
.............. A s s ’ t. C ashier
Z. G. S hockley ................... A s s ’ t. Cashier

.$

55,017.57
950.17
635.86
557.60
1,166.00
2,366.00
124.33
13,125.27
3.68
685.60
74,632.08

Capital stock ............................... $
Surplus fund ................................
Individual d eposits su b ject to
ch eck ... ....................................
Dem and certificates of deposit
T im e certificates o f deposit ....
Bills payable ................................
D ep ositors’ guarantee fund ....

34,100.20
3,400.00
19,258.48
2,818.65
38.52

Total ................................... $

74,632.08

15,000.00
16.23

BU REAU O F BANKING

Brule

Farmers

63

Bank

C h a rter N o. 1486

G. F .

Ctf. N o.

1008

Keith County
E. L. H obbs .......................................President
A . P. M oore ........................V ice-P resid en t

H.
B.

B . D off ...........................................Cashier
R . A n d erson ................. A s s ’ t. Cashier

S T A T E M E N T ( F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S

.

L oans and discou n ts ............... $ 203,964.95
O v e rd ra fts .............- ........................
452.11
....................
31,109.12
O ther real estate
B an king h ou se, furniture and
fixtures .....................................
17,500.00
B an kers’ con serv a tion fund ....
501.19
Due from national and state
banks ...............................26,312.38
C hecks and item s of exchange
268.93
C ash in bank ...........................
3,324.94
T otal ................................... $ 283,433.62

Bruning

Capital stock ......... ..................... $
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ..................................
Tim e certifica tes of d eposit ....
B ills payable .....
D ep ositors’ guarantee fund ....

35,000.00
1,000.00
1,559.29
92,534.43
120,952.71
32,219.58
167.61

T otal ................................... $ 283,433.62

Bruning State Bank

C harter N o. 618

G. F. Ctf. N o. 252

Thayer County
G. C. B ru n in g ................................. P resid ent
F rank B run in g
...................V ice-P resid en t

Fred H . B run in g ................................Cashier
D. G. R edelfs .........................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d isocu n ts ............... $ 289,880.08
O verd rafts .......................................
939.55
B an kin g h ou se, furniture and
fixtures .....................................
12,500.00
B an kers’ con serv a tion fund ...
814.95
Due from national and state
banks ....................... -................
41,586.65
C hecks and item s of exchange
322.16
Cash in bank .—...... ....................
3,023.33

Capital stock .................... ...........$ 25,000.00
Surplus fund ................................
8,000.00
U ndivided profits (net) ..........
1,246.10
Individual d eposits su b ject to
ch eck .........................................
75,962.48
Tim e certifica tes of d eposit .... 230,687.55
C ashier’ s ch ecks o u tsta n d in g ..
701.34
Bills payable ........................ ,....
5,000.00
D ep ositors’ guarantee fund ....
213.25
D epreciation reserve .................
2,256.00

T otal ................................. $ 349,066.72


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

T otal

349,066.72

BUREAU O F BANKING

64

Bruno

Bruno State Bank

C harter N o.

G.

64

F.

Ctf.

N o.

27

Butler County
F . J. R oh .......................................... P resid en t
E . J. D w orak ........................V ice-P resid en t

A.

V.

R oh

..Cashier

...

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 177,403.71
O verd rafts ...................................
244.42
B on d s, secu rities, ju d gm en ts
1,169.57
and claim s ...........................
B an king h ou se, furnitu re and
fixtures .................... —.... -........
4,800.00
B an kers’ con serv a tion fund ....
553.92
Due from national and state
banks .........................................
59,393.62
C hecks and item s of exch a n ge
272.56
Cash in bank ................................
1,626.39
U . S. bonds in cash reserve....
2,900.00

Capital stock ................................$ 12,000.00
Surplus fund ................................
10,000.00
U ndivided profits (n et) ..........
138.94
Individual d ep osits s u b je ct to
ch eck ....... »................................
62,919.42
Dem and certifica tes of dep osit
328.67
T im e certifica tes of d eposit
.... 157,929.25
S avings d ep osits .........................
4,919.08
D ep ositors’ guarantee fund
....
128.83

T otal ................................... $ 248,364.19

T otal .... .............................. $ 248,364.19

Bruno

Farmers & Merchants Bank

Charter N o.

1176

G. F.

C tf.

N o. 698

Butler County
Joseph R eruch a ............................P resid ent
A lois C. T om ek .....................V ice-P resid en t

J. A . P ro s k o v e c ................................Cashier
A . E. V ra sp ir .......................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ....... :.......$ 168,372.87
O verd ra fts .......................................
801.70
B on d s, secu rities, ju d gm en ts
and claim s ..............................
12,268.00
B an kin g h ou se, furniture and
fixtures .....................................
5,000.00
B an k ers’ con serv a tion fund ....
516.07
D ue from national and state
banks .........................................
60,699.73
C hecks and item s of exchange
718.78
Cash in bank ................................
1,949.54
U . S. bonds in cash reserve....
100.00
O ther ca sh resou rces ..............
1,500.00
T otal


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

.$ 251,926.69

Capital stock ............................... $
Surplus fund ..................................
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
Tim e certifica tes of d ep osit ....
S avings d eposits .........................
C ashier’ s ch eck s o u tsta n d in g ..
D ep ositors’ guarantee fund ....

T otal

15,000.00
3,000.00
1,307.16
60,265.51
2,116.15
166,863.52
2,804.36
449.25
120.74

.$ 251,926.69

65

BUREAU OF BANKING

Brunswick
C harter N o.

Brunswick State Bank

1310

G.

F.

C tf.

N o.

832

Antelope County
L.

C.

B arbou r

....... ..................... President
STATEM EN T C

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... ......$ 210,210.17
O verd ra fts ..................................
1,687.55
B on d s, secu rities, ju d gm en ts
and claim s ..................
8,494.29
O ther real estate ........................
31,825.23
B anking h ou se, furniture and
fixtures .....................................
12,500.00
B ankers’ con serv a tion fund ....
639.86
Due from national and state
banks .........................................
26,713.49
C hecks and item s of
exch a n ge
933.36
Cash in bank .........
6,060.11
U. S. bonds in cash
reserve....
3,400.00

Capital stock ............................... $ 25,000.00
Surplus fund ..................................
5,000.00
2,423.91
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
128,966.79
Tim e certifica tes of deposit .... 138,600.54
S avings d eposits .........................
2,284.10
D ep ositors’ guarantee fund ....
188.72

Total ...................................$ 302,464.06

Brunswick

Total ...................................$ 302,464.06

Farmers State Bank

Charter N o. 1302

G. F. Ctf. N o. 824

Antelope County
Operated by G uarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .............................
B onds, secu rities, ju d gm en ts
and claim s ........
O ther assets .,...............................,
O ther real estate
..
B an kin g h ou se, furnitu re and
fixtures ...............
B an kers’ con serv a tion fund ....
Due from national and state
banks ...........................
C hecks and item s of exchange
T otal

50,637.04
134.18
12,369.35
35,019.12
15,341.09


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

20,000.00
9,208.55
87,689.99
10.00
^72.86
12,588.93

10,000.00
387.56
5,235.14
446.85

............... :...............$ 129,570.33

4

Capital sto^k ............................... $
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit
....
C ashier’ s ch ecks o u tsta n d in g ..
D ep ositors’ guarantee fund
....
O t h 'r liab i'ities ...................

T otal

...... ....... .................$ 129,570.33

BUREAU OF BANKING

66

Burchard
Charter N o.

Bank of Burchard
65

Pawnee

G.

F.

Ctf.

N o. 28

County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verdrafts ......................................
Bonds, secu rities, ju d gm en ts
and claim s ..............................
O ther real estate .........................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Cash in bank ...............................

171,143.61
121.42
655.31
16,514.65
6,800.00
504.08
12,287.60
2,230.97

Capital stock ...............................$ 25,000.00
Surplus fund ................................
6,378.77
U ndivided profits (net) ..........
36.86
Individual d eposits su b ject to
59,402.38
ch eck ...............
T 'm e certifica tes of d eposit .... 104,263.41
S avings deposits .........................
3,073.14
D ep ositors’ guarantee fund ....
140.72
O ther liabilities .........................
11,962.36

T otal ... ............................... $ 210,257.64

Burr

T otal ...................................$ 210,257.64

The American Bank

Charter N o. 66

■

G. F . Ctf. N o. 29

Otoe County
V.
G.

H. G oerke ................................ President
J. Kahl ............................V ice-P resid en t

G. J.

Kahl ............................................ Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verdrafts ....................
B onds
s ecu rities, ju d gm en ts
and claim s ................................
O ther real estate ........................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exch a n ge
Cash in bank ................................
U . S. bonds in cash reserve....
T otal


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

83,956.29
25.52
28,624.75
1,681.59
7,500.00
381.64

Capital stock ............. ..................$
15,000.00
Surplus fund .................................
5,000.00
U ndivided p rofits (n e t )........
1,299.39
Individual d ep osits su b ject to ,
ch eck ...............
76,357.44
Tim e certifica tes of d ep osit ....
61,839.73
D ep ositors’ guarantee fund ....
95.01

30,200.65
440.48
3,780.65
3,000.00

.$ 159,591.57

Total

.$ 159,591.57

B U R E A U

Burton
C harter N o.

O F

67

B A N K IN G

Burton State Bank
1187

G.

F.

C tf.

N o.

709

Keya Paha County
C hris K irsch .................. .................. President
W . N . H udson .....................V ice-P resid en t

Geo.

J.

K irsch

.........

....... ........ Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESOU RCES
L oans and d iscou n ts ...... ........ $
O v erd ra fts ......................................
O ther real estate ......................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due f'-om national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ...............................

82,776.21
124.05
3,160.00

T otal ...................................$

100,433.82

Burwell
C harter N o.

5,000.00
305.23
6,549.47
207.14
2,311.72

Capital stock .......................... ....$
Surplus fund ..........................
U ndivided profits (net) ....
Individual d ep osits su b ject to
Tim e certifica tes of deposit
D ep ositors’ guarantee fund

T otal ........................ ..... ... $

10,000.00
10,000.00
178.81
45,309.13
34,833.66
112.22

100,433.82

Farmers Bank
1033

•

G.

F.

Ctf.

N o.

S64

Garfield County
A . I. Cram .......................................President
F. N. Sm ith ............................ V ice-P resid en t

Geo. R. Froehlich ............................ Cashier
Julia Cram ............................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... S 390,718.53
17.79
O verd rafts .......................................
36,937.00
O ther real estate ........................
Banking- h ou se, furniture and
5,787.85
fixtures .................................. —
883.16
B an kers’ con serv a tion fund ....
Due from national and state
58,759.96
ban ks .........................................
2,585.90
C hecks and item s of exchange
7,745.82
Cash in bank ...............................

Capital stock ............................... $
Surplus fund ...............................
U ndivided orofits (net) ..........
Individual deposits su b ject to
ch eck .......................:............ .
Demand certifica tes of d eposit
Tim e certifica tes of d eposit ....
S a v 'n gs d eposits ........................
C ashier’ s ch ecks o u tsta n d in g ..
B i ll s

p a y a b le

................................,.....

D ep ositors’ guarantee fund ....
Total


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

.$ 503,436.02

Total

50,000.00
10,000.00
1,953.64
148,820.34
146.52
242,883.40
22,846.56
6,497.47
20,000.(X)
288.09

.$ 503,436.02

68

B U R E A U

Burwell
Charter N o.

O F

B A N K IN G

First St te Bank
1551

G.

F.

Ctf.

N o.

107.3

Garfield County
Jack C. B ristow e
W.
L. M cM ullen

....................P resident
........ V ice-P resid en t

W m . I. H offm an ............................. Cashier
J. F. T vrd ik ........................ A s s ’ t. Cashier

S T A T E M E N T ( F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ................$ 342,860.85
O verd rafts .......................................
172.24
O ther real estate .......................
7,200.00
B an king h ou se, furniture and
fixtures .............................
7,600.00
B an kers’ con serv a tion fund ....
824.25
Due from national and state
banks .........................................
73,610.06
C hecks and item s of exchange
56.48
Cash in bank ...................
5,907.89
U. S. bonds in cash reserve....
650.00

Capital stock ............................... $
50,000.0t.
Surplus fund ................................
8,000.0''
958.C.
U ndivided profits (net) ..........
Individual d ep osits su b ject to
•heck ............... .........................
137,949.8
Tim e certifica tes of d eposit .... 240,672.3s.
C ashier’ s ch eck s o u tsta n d in g ..
1,049.85
D ep ositors’ guarantee fund ....
251.74

T otal ................................... $ 438,881.77

Bushnell

Total ................................... $ 438,881.77

American State Bank
•

C harter N o. 1571

G. F. Ctf. N o. 1093

Kimball County
C. E. E vertson .................. .............P resident
A rv id R . J u rb erg .............. ...V ice-P residen t

Geo. O. U nruh .................................... Cashier
P. H. M cG innis .....................A s s ’ t Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ................$ 108,020.45
B onds, secu rities, ju d gm en ts
and claim s ............................
18,851.85
B an king h ou se, furniture and
7,500.00
fixtures .....................................
B an k ers’ con serv a tion fund ....
95.07
Due from national and state
banks .........................................
20,005.94
C hecks and item s of exchange
32.37
Cash in bank .............
3,906.64
T otal ................................... $ 158,412.32


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

L IA B IL IT IE S
Capital stock ........ .......................$
Surplus fund .................................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........................
Tim e certifica tes of deposit ....
D ep ositors’ guarantee fund ....

15,000.00
1,200.00
1,379.73
72,816.48
67,925.73
90.38

T otal ................................... $ 158,412.32

B U R E A U

Butte

O F

69

B A N K IN G

Citizens State Bank

C harter N o. 69

G.

F.

Ctf.

N o.

30

Boyd County
A rth u r M y att ................................... President
Ida M . Ball ....r.......................V ice-P resid en t

C. M . Ball ................. ...1...... ............. Cashier
W m . P. W eb er ..................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $ 142,894,45
O verd ra fts .......................................
644.74
B on d s, secu rities, ju d gm en ts
,
and claim s ..............
654.73
O ther assets ............................
3,402.92
O ther real estate .......
20,806.29
B anking hou se, furniture and
fixtures .......
6,000.00
B an k ers’ con serv a tion fund ....
375.28
Due from national and state
banks .......................................,.
5,457.38
C hecks and item s of exchange
572.75
Cash in bank ................................
4,523.72
U. S. bonds in cash reserve....
350.00
Total

185,682.26

Byron

Capital stock ............................... $
Surplus fund ................................
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit
....
S avings d ep osits .........................
C ashier’ s ch eck s o u tsta n d in g ..
Bills payable ................................
D ep ositors’ guarantee fund
....

T otal

15,000.00
3,000.00
52,136.52
87,984.99
11,524.72
948.87
14,983.59
103.57

185,682.26

Farmers & Merchants Bank

C harter N o. 630

G. F .

C tf. N o. 262

Thayer County
C . K uhlm ann ................................... President
A . E. H ellm er ................. V ice-P resid en t

W . S. Sm ith ....................................... Cashier
R oss B ell ............................. .....Ass’ t Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts .............. .$
O verd ra fts ................................. .....
B an king hou se, furniture and
fixtures ..................................
B an kers’ con serv a tion fund ...
Due

fr o m

n a t io n a l

and


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

5,000.00
439.25

sta te

banks ................ .......................
Cash in bank ................................
T otal

175,644.90
306.52

38,419.09
3,412.45
223,222.21

Capital stock .......................... .....$
Surnlus fund ..... _........................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
S avings d eposits ..........................
D ep ositors’ guarantee fund ....

15,000.00
600.00
1,131.36
86,463.70
116,270.27
3,607.52
149.36

T otal ................................... $ 223,222.21

70

B U R E A U

Cadams
Charter N o.

O F

B A N K IN G

Cadams State Bank
G.

1038

F.

Ctf.

N o.

569

Nuckolls County
Chas. B . W in ter _________ ____ President
E . W . E llison .................... V ice-P resid en t

R . J. E llison ...................................... Cashier
M . H . G rove ....... .................... A s s ’t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

'

L oans and d iscou n ts .............. $
O verdrafts .......................................
B onds, secu rities, ju d gm en ts
and claim s ...............................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ...
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ................................

89,652.17
83.25
10,276.49
2,160.00
229.03
5,183.59
1,207.57
1,073.75

T otal .................................. $ 109,865.85

Cairo

L IA B IL IT IE S
Capital stock ...............................$
Surplus fund ..............................
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
C ashier’ s ch ecks o u tsta n d in g
Due to national and state
banks .........
B ills payable ..............................
D ep ositors’ guarantee fund ....

10,000.00
4,000.00
154.21
24,493.08
2,000.00
56,282.57
170.40
5,000.00
7,700.00
65.59

T otal ....... ........................... $ 109,865.85

Cairo State Bank

Charter N o. 698

G. F . Ctf. N o. 301

Hall County
S. R. B enton ................................. President
W m . S toeg er ............. - ......... V ice-P resid en t

M . F. T hom pson

Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 185,554.15
O verdrafts .......................................
674.08
B an king h ou se, furnitu re and
fixtures ......................................
5,300.00
B an k ers’ con serv a tion fund ....
500.40
Due from national and state
banks .........................................
19,044.34
C hecks and item s of exchange
962.39
Cash in bank ................................
7,470.92
U . S. bonds in cash reserve....
2,500.00

Capital stock ............................... $
16,000.00
Surplus fund ................................
4,000.00'
3,516.76
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
69,774.28
Tim e certifica tes of d eposit
.... 110,678.24
S avings d eposits ........................
16,039.28
C ashier’ s ch ecks outstanding..
1,848.04
D ep ositors’ guarantee fund
....
149.68

T otal ................................. $ 222,006.28

T otal ................................. $ 222,006.28


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

B U R E A U

Cairo

O F

71

B A N K IN G

Farmers State Bank

C harter N o.

1119

G.

F.

Ctf. N o.

642

Hall County
C. C. H ansen .................................President
L e v i H inkson ....................... V ice-P resid en t

G. C. R aven ....................... ................Cashier
W . E. Sorensen .....................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts .............. $ 215,638.49
O verd ra fts ...............................
514.17
675.50
O ther real estate ........................
B an kin g h ou se, furnitu re and
fixtures ............
5,700.00
B an k ers’ con serv a tion fund ....
635.58
Due from national and state
banks .........................................
23,178.71
C hecks and item s of exchange
1,819.70
Cash in bank ...................
6,374.39
U . S. bonds in cash reserve....
5,000.00

Capital stock ...............................$
15,000.00
Surplus fund .................................
3,000.00
3,681.88
Undivided profits (net) ..........
Individual deposits su b ject to
58,790.02
ch eck .........................................
169,773.08
Tim e certifica tes of d ep osit ....
8,890.38
S avings d eposits ........................
228.50
C ashier’ s ch ecks o u tsta n d in g ..
172.68
D ep ositors’ guarantee fund ....

T otal .................................. $ 259,536.54

Callaway

T otal ................................... $ 259,536.54

Callaway State Bank

C harter N o. 949

G. F . C tf. N o. 490

Custer County
Joh n

F rederick

..................... P resid ent
...........

John F red erick , J r ...............................Cashier
C. M. F rederick ................... A s s ’ t. Cashier
E. E. F rederick ................. A s s ’ t. Cashier
W . L. Frederick ............. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 545,114.74
O verd rafts .............
327.37
B ond s, secu rities, ju d gm en ts
and claim s ...............................
18,961.79
O ther assets ....................
1,989.55
25,600.00
O th er real estate ........................
B anking h ou se, furniture and
fixtures ..............
25,000.00
B an k ers’ con serv a tion fund ....
1,392.26
Due from national and state
banks .............- ..........................
31,260.75
C hecks and item s of
exchange
242.62
Cash in bank ................................
4,918.88
U . S. bonds in cash
reserve.... 37,500.00

Capital stock ................................$ 75,000.00
Surplus fund ................................
50,000.00
Individual d eposits su b ject to
ch eck ......................................... 206,731.79
T im e certifica tes of d eposit
.... 359,497.76
C ashier’ s ch ecks o u tsta n d in g ..
672.15
D ep ositors’ guarantee fund
....
406.26

T otal ................................... $ 692,307.96

T otal ................................... $ 692,307.96


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

72

B U R E A U

Callaway
Charter N o.

O F

B A N K IN G

Seven Valleys State Bank
1312

G. F .

C tf. N o.

834

Custer County
S. C. W ald ron ................................P resident
R . D. B ryson ........................ V ice-P resid en t

J. I. C hristiansen .......................... Cashier
H oy t L ow er .........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B ond s, secu rities, ju d gm en ts
and claim s ................................
B an king h ou se, furniture and
fixtures .....................................
Due from national and state
hanks .........................................
C hecks and item s of exchange
Cash in bank ...............................
U . S. bonds in cash reserve....

160,377.93
182.89
51,713.55
6,809.27
34,359.04
610.18
7,133.45
2,050.00

.$ 263,236.36

T otal

Cambridge

Capital stock ................................$
U ndivided profits (n et) ......... .
Individual d ep osits su b ject to
ch eck ........................... ............
Tim e certifica tes of d ep osit ....
C ashier’ s ch ecks o u tsta n d in g ..
D ep ositors’ guarantee fund ....

25,000.00;
270.41
101,944.68
135,597.86
231.26
192.15

263,236.36

T otal

Cambridge State Bank

Charter N o. 981

G.

F.

Ctf.

N o. 520

Furnas County
C.
M.

W . Phillips ............... .............. President
W eil ............................... ...V ice-P resid en t

C. A . Phillips
K. R. N ew com b

.............. C ashier
.A ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verd rafts ......................................
B onds, secu rities, ju d gm en ts
and claim s ..............................
B an king h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exchange
Cash in bank ...............................
T otal


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

148,801.29
344.30
15,100.00
7,500.00
394.32

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit ....
B ills payable .................................
D ep ositors’ guarantee fund ....

25,000.00
5,000.00
1,603.95
90,256.16
57,015.07
14,000.00
127.83

12,565.68
820.95
7,476.47

.$ 193,003.01

Total

4

193,003.01

B U R E A U

Campbell

O F

The Bank

73

B A N K IN G

if Campbell

C harter N o. 74
Franklin
•C. F.

G. F.

Ctf. N o. 31

County

Gund ........................... V ice-P resid en t

V ictor A . T hibodeau .........................Cashier

S T A T E M E N T < F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 280,643.58
O th er real estate .......................
23,421.25
B an king h ou se, furniture and
fixtures .....................................
5,440.00
B an kers’ con serv a tion fund ....
671.26
Due from national and state
banks .........................................
21,614.21
C hecks and item s of exchange.
1,802.21
C ash in bank ...........................
10,224.67
T otal ......................... •....'.....$ 343,817.18

Campbell

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (n e t) ..........
Individual d eposits s u b je ct to
ch eck ........................................
Dem and certifica tes of d ep osit
Tim e certifica tes of d ep osit ....
B ills payable ...........................
D ep ositors’ guarantee fund ....

25,000.00
5,000.00
214.46
92,013.94
5,145.46
210,237.51
6,000.00
205.81

T otal ................................... $ 343,817.18

Farmers State Bank

Charter N o. 1232

G. F . Ctf. N o. 754

Franklin County
A.
E-

L ’ H eureux ................... ................P resident
A rn old , J r ........................ .V ice-P resid en t

M. M. L ’H eureux ............................ Cashier
L eo L ’H eureux .........................A s s ’ t Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... i
O verd ra fts .......................................
B an king h ou se, furnitu re and
fixtures .............- ..... - ...............
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Cash in bank .................................
O ther cash resources .................
T otal


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

148,029.35
407.53
12,860.62
510.92
31,936.01
5,380.95
49.10

.$ 199,174.48

Capital stock ............... ................$
Surplus fund ................................
U ndivided profits (net) .......
Individual d eposits s u b je ct to
ch eck .........1.........................- ....
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit ....
D ep ositors’ guarantee fund ....
T otal

25,000.00
5,000.00
2,825.47
71,481.51
777.00
93,969.82
120.68

.$ 199,174.48

74

B U R E A U

Carleton

O F

B A N K IN G

Citizens State Bank

Charter N o. 75

G. F.

C tf. N o.

32

Thayer County
W . P. C arpenter ..............................President
W . N . D ick ...........................V ice-P resid en t

W . N . D ick ........................- ...............„C ashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ............... $
O verd rafts .................... -.................
O ther real estate .........................
B an king h ou se, furniture and
fixtures .................................. —
B an k ers’ con serv a tion fund ....
Due from national and state
ban ks
................................ ...
C hecks and item s of exchange
Cash in bank ................................

12.500.00
828.85
26,445.46
366.01
2,025.43
276,792.49

T otal

Carroll
Charter N o.

217,659.34
567.40
16.400.00

Capital stock ........ !...................... $
Surplus fund ......................... ......
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certificates of deposit
Tim e certifica tes of d eposit ....
C ashier’ s ch ecks o u tsta n d in g ..
D ep ositors’ guarantee fund ....

25,000.00
5,000.00
4,761.74
86,491.40
3,437.78
150,610.66
1,317.95
172.96
276,792.49

T otal

Carroll State Bank
1581

G.

F.

Ctf.

N o.

1103

W ayne County
E dw ard T rautw ein ........................ President
A . F. H uw aldt .................... .V ice-P resid en t

Edward

H uw aldt

...... .................... „..C ash ier

S T A T E M E N T O F JU N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ................$ 225,007.63
O verd rafts ...................................
314.90
B on d s, secu rities, ju d gm en ts
and claim s ............................
81,789.99
Othej assets ...................
4,063.70
O th er real estate
....................
9,671.67
B an king h ou se, furniture and
fixtures .........................
16,311.00
B an kers’ con serv a tion fund ....
688.90
Due from national and state
banks .........................................
59,081.15
C hecks and item s of exchange
28.23
Cash in bank ................................
3,275.91
U . S. bonds in cash reserve....
2,950.00

Capital stock ................................$ 25,000.00
Surplus fund ................................
2,000.00
U ndivided profits (net) ..... _...
6,771.38
Individual d eposits su b ject to
ch eck .........................................
153,992.38
Tim e certifica tes of d ep osit .... 215,194.01
D ep ositors’ guarantee fund ....
225.31

Total


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

..$ 403,183.08

Total

..$ 403,183.08

B U R E A U

Cedar Bluffs
Charter N o.

O F

B A N K IN G

Bank of Cedar Bluffs

77

G.

F.

Ctf.

N o.

33

Saunders County
Gus S ch lich tin g ..............................President
J . F. Lubker ....... .................V ice-P resid en t

M ackpran g ............................... Cashier
Pestai ............................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Eoans and d iscou n ts ............... $ 322,232.96
O v erd ra fts ................. ..,..................
1,340.92
B on d s, secu rities, ju d gm en ts
and claim s .... -..............
26,978.13
31,961.31
O ther real estate ........................
B an king h ou se, furnitu re and
fixtures .....................................
8,500.00
B an kers’ con serv a tion fund ....
1,049.01
Due from national and state
banks .........................................
49,275.77
C hecks and item s of exchange
459.46
Cash in bank ............................
3,286.94
U . S. bonds in cash reserve....
7,000.00

Capital stock ............................... $ 20,000.00
Surplus fund .............
7,000.00
U ndivided profits (n et) ..........
1,368.85
Individual d eposits s u b je ct to
ch eck .........................................
143,064.54
T im e certifica tes of d eposit
.... 259,987.76
S avings d eposits .........................
10,185.19
C ashier’ s ch eck s o u tsta n d in g ..
216.83
Due to national and state
banks .........................................
10,000.00
D ep ositors’ guarantee fund
....
261.33

T otal ................................$ 452,084.50

Cedar Bluffs
Charter N o.

T otal ............................... $ 452,084.50

Farmers & Merchants Bank

78

G.

F.

Ctf.

N o.

34

Saunders County
C has. S. W illia m s .................... „..P resid en t
J. P. J essen, S r.................. V ice-P resid en t

C. A . A nderson ...............................„...Cashier
F. E. W ehner ........................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oans and discou n ts ............... $ 374,868.26
O v erd ra fts .......................................
5,485.49
B onds, secu rities, ju d gm en ts
and claim s ...... .•........................
30,959.75
B an king h ou se, furnitu re and
fixtures ...........................
5,700.00
B an kers’ con serv a tion fund ....
975.55
Due from national and state
banks .........................................
78,167.05
C hecks and item s of exchange
18,075.94
Cash in bank ..............................
3,756.75

20,000.00
Capital stock ...............................$
Surplus fund ................................
20,000.00
Undivided profits (n e t).............
4,914.00
D ividends unpaid ..........
14.00
Individual deposits s u b je ct to
ch eck .........................................
158,935.50
Dem and certifica tes of dep osit
1,106.55
Tim e certifica tes of dep osit
.... 247,139.17
S avings d ep osits .........................
65,608.64
D ep ositors’ guarantee fund
....
270.93

T otal ................ .............$


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

517,988.79

T otal ..............................$

517,988.79

76

B U R E A U

Cedar Rapids

O F

B A N K IN G

S. S. Hadley Company, Bankers

Charter N o. 81

G.

F.

Ctf. N o.

35

Boone County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 166,657.65
O verdrafts ..........
1,886.03
B on d s, secu rities, ju d gm en ts
and claim s ............................
2,062.41
O ther assets ................................
17,272.42
O ther real estate .......................
145,466.46
B an king h ou se, furniture and
fixtures .....................................
11,000.00
B an k ers’ con serv a tion fund ....
1,013.03
Due from national and state
banks .........................................
2,161.44
Checks and item s of exchange
64.97
Cash in bank ................................
2,385.80
Total

.$ 349,970.21

Cedar Rapids
C h arter

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck .........................................
Demand certifica tes of d eposit
T im e certifica tes of d ep osit ....
S avings deposits ..............,.........
B ills payable ................................
D ep ositors’ guarantee fund ....

32,681.88
1,224.95
175,219.69
3,257.14
57,000.00
202.71

T otal ................................. $

349,970.21

50,000.00
16,903.67
13,480.17

Citizens State Bank

N o. 1237

G. F .

C tf. N o. 759

Boone County
John S. K in g ................... :............... P resident
H . T . Jackson .....................V i c e - P r e s i d e n t
F . G. W alker ......, .............V ice-P resid en t

H . M . Ripp ...........................................Cashier
N . F. L ow e ............................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 221,984.32
O verd rafts .......................................
610.89
B onds, secu rities, ju d gm en ts
and claim s ............................
6,710.47
O ther real estate ........................
40,658.08
B an king h ou se, furniture and
fixtures .....................................
15,664.78
B an kers’ con serv a tion fund ....
538.50
Due from national and state
banks .........................................
30,053.05
C hecks and item s of exchange
1,127.11
Cash in bank ..............................
4,612.28
U. S. J>onds in cash reserve....
2,926.62

Capital stock ........................... _...$ 31,000.00
Surplus fund ................................
9,000.00
U ndivided profits (n e t) ..........
752.28
D ividends unpaid .........................
2.00
Individual d eposits su b ject to
ch eck .........................................
106,205.85
Dem and certifica tes of dep osit
2.54
Tim e certifica tes of d eposit ....
166,799.50
S avings d eposits ........................
5,438.45
C ashier’ s ch ecks o u tsta n d in g ..
533.75
B ills payable ................................
5,000.00
D ep ositors’ guarantee fund ....
151.73

T otal

........................ .......$ 324,886.10


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

T otal ................................$ 324,886.10

B U R E A U

Cedar Rapids
C harter N o.

O F

77

B A N K IN G

Farmers State Bank

1515

■

G.

F.

Ctf. N o.

1037

Boone County
F.
D. B u rg ess, J r .... ................... P resident
J. W . K ern .......................... V ice-P resid en t

F.

P. S chm idt ......................................Cashier

S T A T E M E N T OP' JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 171,908.69
O verd rafts .............
564.51
B on d s, secu rities, ju d gm en ts
and claim s ...............................
22,000.00
O ther real estate ........
2,959.25
B an kin g h ou se, furniture and
fixtures ...................................
12,500.00
B an k ers’ con serv a tion fund ....
412.54
D ue from national and state
21,812.59
banks ......................... ,..............
C hecks and item s of exchange
486.36
Cash in bank ................................
3,690.15
U. S. bonds in cash reserve ...
2,500.00

Capital stock ............................... $ 25,000.00
Surplus fund ................................
2,000.00
U ndivided profits (net) ..........
2,577.85
Individual d eposits su b ject to
ch eck .........................................
70,105.14
Tim e certifica tes of d ep osit .... 133,125.79
5,897.43
Savings d ep osits ........................
D ep ositors’ guarantee fund ....
127.88

T otal

.................. ;............$ 238,834.09

Center

T otal

............................... $ 238,834.09

Center State Bank

C harter N o. 665

G.

F.

C tf. N o.

285

Knox County
H . F. Saunders ............ .............. President
B. N . Saunders ............... .... V ice-P resid en t

W . W . W alton ..... .............................Cashier
Geo. W . Saunders ...... .......A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 161,920.51
O v erd ra fts .......................................
619.66
B on d s, secu rities, ju d gm en ts
and claim s ............................
3,424.30
O th er assets ........................- ........
2,052.33
O ther real estate ........................
10,590.00
B an kin g hou se, furniture and
fixtures .....................................
3,500.00
B an k ers’ con serv a tion fund ....
556.25
D ue from national and state
banks .........................................
37,456.38
C hecks and item s of exchange
165.08
Cash in bank ....................
5,101.53
U . S. bonds in cash reserve....
1,000.00
Total


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

..$ 226,386.04

Capital stock ............................... $
Surplus fund ...............................
U ndivided prdfits (n et) ..........
Individual d ep osits su b ject to
ch eck ........................................
Dem and certifica tes of deposit
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

Total

10, 000.00
5,000.00
1,907.24

93,067.35
3,069.48
113,190.98
150.99

.$ 226,386.04

78

B U R E A U

Central City

O F

B A N K IN G

Farmers State Bank
G.

('h arter N o. 83
Merrick

F.

Ctf.

N o.

36

County

John Clay ..............
Chas. C M cE ndree

............P resident
..V ice-P resid ent

Geo. A . A gn ew ....................... -.......Cashier
E ric W rig h t
.......... .A s s ’ t. Cashier
. Cecil T ooley ............... ...........A s s ’ t. Cashier

S T A T E M E N T OF JU NE 30, 1927
R ESO U R CE S

1

L IA B IL IT IE S

Loans and discou n ts ............... $ 428,567.79
O verdrafts .......................................
22.66
B on d s, secu rities, ju d gm en ts
and claim s ..............................
260,880.15
B an king hou se, furniture and
fixtures .....................................
8,073.75
Due from national and state
banks ..................-.....................
127,248.85
C hecks and item s of exchange
106.45
Cash in bank ..............................
19,868.95

25.000.
Capital stock ............................... $
35.000.
Surplus fund ........................ .......
17,421.83
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
274,751.90
ch eck .........................................
425,038.03
Tim e certifica tes of deposit
1,155.65
C ashier’ s ch eck s ou tsta n d in g ..
Due to national and state
60,609.89
banks .........................................
495.69
D ep ositors’ guarantee fund ....
5,295.61
O ther reserves ............................

..$ 844,768.60

T otal ........................... - ......$ 844,768.60

Total

Central City

Platte Valley State Bank
G.

C harter N o. 84

F.

Ctf.

N o.

37

Merrick County
A rth u r N. Johnson
A . F. Jewell ...........

............ President
...V ice-P residen t

Carl E . E rick son .............................Cashier
.Lydia B urke .......................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $ 436,268.76
O verdrafts .......................................
78.09
B onds, secu rities, ju d gm en ts
and claim s .....................
69,900.00
O ther real estate ........................
4o,9(XJ.UU
B anking hou se, furnitu re and
fixtures .....................................
IZjOUU.w
B an kers’ con serv a tion fund ....
1,669.67
Due from national and state
banks .........
87.192.29
Checks and item s of exchange
Cash in bank ...............................
^ ’ m non
U . S. bonds in cash reserve....
3,0UU.(W
T ota l ....... .....................- $


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

668,484.50

Capital stock, ................................$
50,000.00
Surplus fund ................................
10,000.00
U ndivided profits (n et) ..........
2,773.87
D epreciation reserve .................
2,000.00
Individual d ep osits su b ject to
ch eck ........................ -..
205,723.54
Tim e certifica tes of d eposit ... 378,054.01
S avings d ep osits ........................
8,233.71
C ashier’ s ch eck s o u tsta n d in g ..
1,358.09
Due to national and state
banks .........................................
10,017.40
D ep ositors’ guarantee fund ....
323.88
T otal

.............- .................$ 668,484.50

00
00

B U R E A U

Ceresco
C harter N o.

O F

79

B A N K IN G

Farmers & Merchants Bank
1143

G. F.

Ctf. N o. 665

Saunders County
John M artin ..................................... P resident
A u g . D ahlstrom ................... V ice-P resid en t

Fred M ostrom ..................................... Cashier
Carl M ostrom .........................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 296,215.48
O v erd ra fts .......................................
626.93
B on d s, secu rities, ju d gm en ts
and claim s ............................
61,043.20
O ther real estate ........................
11,541.28
B an kin g h ou se, furniture and
fixtures .....................................
3,742.05
B an k ers’ con serv a tion fund ....
1,282.97
Due from national and state
banks .........................................
79,757.43
C hecks and item s of exchange
1,895.07
Cash in bank .............
3,521.51

Capital stock ................................$ 15,000.00
Surplus fund ................................
10,000.00
U ndivided profits (n e t)...............
2,238.31
Individual d ep osits su b ject to
ch eck ................................
113,163.13
Tim e certifica tes of deposit
.... 315,709.54
S avings d eposits ........................
2,914.38
C ashier’ s ch ecks outstanding..
292.01
D ep ositors’ guarantee fund
....
308.55

T otal

............................... $ 459,625.92

Ceresco

T otal

............................... $ 459,625.92

Union State Bank
G. F. C tf. N o. 1084

C harter N o. 1562
Saunders County
O lof P earson .....................................President
D.
P. T u rn ey ......................V ice-P resid en t

Elm er E. E liason ........................- ......Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ........ .......$ 125,592.26
O verd ra fts .......................................
231.54
B on d s, secu rities, ju d gm en ts
and claim s ...................
38,847.50
O ther real estate ........................
1,378.37
B an kin g h ou se, furnitu re and
fixtures .....................................
7,500.00
B an k ers’ con serv a tion fund ....
542.99
Due from national and state
banks .........................................
35,774.40
C hecks and item s of
exchange
581.28
Cash in bank ................................
2,882.12
U . S. bonds in cash
reserve...
2,050.00

Capital stock ............................... $ 25,000.00
Surplus fund ................................
1,100.00
3,026.53
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
47,631.33
T im e certifica tes of d ep osit .... 132,287.04
S avings d eposits .........................
6,212.13
D ep ositors’ guarantee fund ....
123.43

Total


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

.$ 215,380.46

Total

.$ 215,380.46

B U R E A U

so

Chadron
C harter N o.

O F

B A N K IN G

Chadron State Bank
G.

1299

F.

Ctf.

N o.

821

Dawes County
B . L. S covel .....................................P resident
J. H. W h ite ............................V ice-P resid en t

W.

P.

R oon ey

..............................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

RESOU RCES
Loans and discou n ts ............... $ 611,510.35
O verdrafts ...................
3,313.03
B onds, secu rities, ju d gm en ts
and claim s ..............................
1,089.95
O ther real estate ........................
24,693.08
B anking h ou se, furniture and
fixtures .........................................
23,134.68
B an kers’ con serva tion fund ....
1,255.08
Due from national and state
banks ............................................
87,249.05
Checks and item s of
exchange
2,993.39
Cash in bank ........
7,922.21
U . S. laonds in cash
reserve.... 14,263.97
Total ............... -.................. $ 777,424.79

Chaleo

256,459.22
337,707.71
70,180.14
10.00
13,014.74
15,000.00
425.41

777,424.79

Total

German American State Bank

Charter N o. 1274
Sarpy

50.000.
10.000. 00
24,627.57

Capital s tock ..........................
!
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .....—.............
~
Tim e certifica tes of d eposit ....
S avings "deposits .........................
Certified ch eck s ..........................
C ashier’ s ch ecks o u tsta n d in g ..
B ills payable ...............................
D ep ositors’ guarantee fund ....

G. F. Ctf. N o. 796

County

W m . B lum er ....................... ......... President
C. F. B artels ..... ..................V ice-P resid en t

R udloph

.Cashier

Blum

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

RESO U R CE S
Loans and discou n ts ............... 3
O v erd ra fts .......................t..............
B on d s, secu rities, ju d gm en ts
and claim s ..............................
B an king h ou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Cash in bank ...............................
U . S. bonds in cash reserve....
Total


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

81,180.89
53.74
375.00
1 , 000.00

331.16

Capital stock ..............................
Surplus fund ......................- ...
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...............................-.....
T im e certifica tes of d eposit
D ep ositors’ guarantee fund ....

1 0 ,0 0 0 .0 0

1 , 000.00
175.45
43,262.52
72,810.41
75.22

41,371.06
1,577.96
1,433.79

.$ 127,323.60

T otal

.$ 127,323.60

00

B U R E A U

Chambers
■Charter N o.

O F

81

B A N K IN G

Chambers State Bank
637

Holt

G.

F.

Ctf.

N o.

267

County

Edward A dam s ...............................P resident
S. Z . A dam s ............................V ice-P resid en t

L eo T. A dam s ..................... ....... .......'...Cashier
John M. A dam s ..................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ............... $ 172,061.77
53.56
O v e rd ra fts ................
B on d s, secu rities, ju d gm en ts
and claim s .............
5,131.05
O ther real estate .........,............
4,500.00
B an kin g h ou se, furnitu re and
fixtures ............!.......................4,670.00
B an kers’ con serv a tion fund ....
507.22
Due from national and state
banks .........................................
46,111.73
Checks and item s of exchange
274.78
Cash in bank ................................
7,349.42
■U. S. bonds in cash reserve....
700.00

Capital stock .......... ................ ;....$
16,000.00
Surplus fund ................................
4,000.00
U ndivided profits (n et) ............
760.93
Individual d eposits su b ject to
ch eck .............
105,147.36
Tim e certifica tes of d eposit
.... 115,292.83
D ep ositors’ guarantee fund
....
158.41

T otal ................... ........... .$ 241,359.53

Champion

T otal ................ ............. . 4

241,359.53

The State Bank of Champion

C harter N o. 1539

G. F . Ctf. N o. 1061

Chase County
J.

D.

K elly

....................................P resid ent

W . H. P yle ...........................................Cashier
L. S. P yle ......................’......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
LIABILITIES

R ESO U R CE S
b r a n « p nd discou n ts ........ .;......$
■ O verd rafts ......... - ...........................
B an king h ou se, furniture and
fixtures ......................................
B an kers’ con serv a tion fund ....
Due from national and state
banks ................................. -......
C hecks and item s of exchange
Cash in bank ...........
Total


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

...... .$

53,356.05
367.19
7,890.00
122.95
1,670.47
788.01
2,430.11
66,624.78

Capital stock ................................ $
Surplus fund ............,....................
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .............
Tim e certifica tes of deposit ....
B ills payable ....................- ........
D ep ositors’ guarantee fund ....

23,607.92
21,022.04
9,000.00
43.43

.$

66,624.78

Total

10,000.00
1,700.00
1,251.39

82

B U R E A U

Chapman

Chapman State Bank

O F

B A N K IN G

G.

C harter N o. 685

F.

Ctf.

N o.

294

Merrick County
E lm er

E.

R oss

..... ........................P resident

D. E. M agnuson ........................... -...Cashier
J. P. R oubal ........................A s s ’ t. C ashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 306,608.67
O v erd ra fts .................. ,...................
881.42
B on d s, secu rities, ju d gm en ts *
and claim s ......................
31,000.00
O ther real estate .........................
13,200.00
B an kin g h ou se, furnitu re and
fixtures .....................................
5,000.00
B an kers’ con serv a tion fund ....
938.69
Due from national and state
banks .........................................
30,820.36
C hecks and item s of
exchange
174.37
Cash in bank ..............................
3,934.04
U . S. bonds in cash
reserve.... 10,000.00
T otal ................................... $ 402,557.55

Chapman
C harter N o.

Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck ...............................- ........
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit ....
D ep ositors’ guarantee fund ....
D epreciation reserve ................

10,000.00
40,000.00
1,212.73
117,446.95
544.69
231,413.65
239.53
1,700.00

T otal ................................... $ 402,557.55

Farmers State Bank
1410

G.

F.

C tf.

N o.

932

Merrick County
A . M . Sm ith ................................. President
O. H . R em bolt ................... V ice-P resid en t

V ernon R ice ...........................................Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 167,213.46
O v erd ra fts ................. .............-.......
658.70
B on d s, secu rities, ju d gm en ts
4,200.00
and claim s ...............................
B an king h ou se, furnitu re and
fixtures .....................................
6,950.00
B an kers’ con serv a tion fund ....
280.20
Due from national and state
banks .............- ..........................
19,098.74
C hecks and item s of exchange
428.56
Cash in bank ................................
2,603.20
U . S. bonds in cash reserve....
2,750.00
Total


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

.$ 204,182.86

Capital stock ................................ $
Surplus fund ................................
U ndivided p rofits (net) ..........
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d ep osit ....
C ashier’ s checks o u tsta n d in g ..
D ep ositors’ guarantee fund ....

T otal

15,000.00
5,500.00
660.26
75,053.75
106,718.38
1,132.14
118.33

.$ 204,182.86

B U R E A U

83

B A N K IN G

Chappell State Bank

C h a p p e ll
C h a rter N o.

O F'

G.

1171

Deuel

F.

Ctf.

N o. 693

County
...... P resident
V ice-P resid en t

H. C. Peterson ...............
M . P. Jensen ...................

T . M. Johnson
R . M. R obbins
C. A . P eterson
M. L. M cGrale

......... .......................... Cashier
......... ...........A s s ’ t. Cashier
.... . ........... A s s ’ t. Cashier
........ ............A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $ 545,405.58
O th er real estate ...............................33,859.43
B an king h ou se, furnitu re and
fixtures ...........................
15,000.00
B an kers’ con serv a tion fund ....
1,216.73
Due from national and state
banks ....... -............
44,206.92
«Checks and item s of
exchange
69.36
Cash in bank ...............................
8,670.60
,U. S. b on d s in cash
reserve...
3,100.00
T otal ................................. $ 651,528.62

'Chappell
C h a rter N o.

Capital stock ............. ..................$
Surplus fund ................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d ep osit . ..
S avings d eposits ...................-......
C ashier’ s ch ecks ou tsta n d in g ..
B ills payable .................................
D ep ositors’ guarantee fund ....

50,000.00
25,000.00
1,583.80
211,937.55
4,000.00
283,904.33
23,839.66
839.22
50,000.00
424.06

T otal ................................. $ 651,528.62

Deuel County State Bank
1487

G.

F.

Ctf.

N o.

1009

Deuel County
R. E. M urphy ................................ P resident
E.
H. Gerhart ..................V ice-P resid en t
'll. R. M urphy ........................V ice-P resid en t

C. M . E m pson ...........:................ _
Cashier
Clyde T rum p .......................... A s s 't. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 207,200.65
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
100.00
O ther assets ..................................
530.85
O t h e r real estate ....................... 27,000.00
B an kin g hou se, furniture and
fixtures ...............
12,500.00
B an kers’ con serv a tion fund ....
458.27
Due from national and state
banks ...................-................19,899.06
C hecks and item s of exchange
3,953.41
(.Cash in bank ................................
3,464.90

Capital stock ................................S 25.000.
10. 000 .
Surplus fund ...............................Individual d eposits su b ject to
59,460.01
ch eck ......... ...............................
4,500.00
Dem and certifica tes of deposit
115,540.74
Tim e certifica tes of deposit ....
7,971.71
S avings d ep osits .........................
4,429.91
C ashier’ s ch eck s o u tsta n d in g ..
Due to national and state
5,000.00
b an ks. .....................-............-.....
43,052.85
Bills payable .................................
151.92
D ep ositors’ guarantee fund ....

T otal


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

.$ 275,107.14

T otal

.$ 275,107.14

00
00

84

B U R E A U

Cheney

O F

B A N K IN G

Bank of Cheney

C harter N o. 1097

G. F . Ctf. N o. 620

Lancaster County
A . L. M agee ............. ;........................P resident
H.
J. Fetzer ...................... V ice-P resid en t

J.

J.

Brew

...........................................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $
O v erd ra fts ................. .....................
B on d s, secu rities, ju d gm en ts
and claim s ................................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks ............
C hecks and item s of exchange
Cash in bank ....................

62,947.82
75.57

T otal ................................... $

94,806.68

Chester

2,709.65
2,571.34
159.43

Capital stock ................................$
Surplus fund ...........................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck ............
Tim e certifica tes of d ep osit ....
D ep ositors’ guarantee fund ....

10,000.00
650.00
1,549.38
33,481.80
49,081.73
43.77

T otal ................................... $

94,806.68

25,097.47
194.40
1,051.00

Farmers State Bank

C harter N o. 90

G. F. C tf. N o. 40

Thayer County
Jam es W ilson ................................P resident
John C. L loyd ........................V ice-P resid en t

M . A . B urton ............
R obert J. Malowney^

.............. Cashier
.A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 106,510.04
O verd ra fts ...........'........ - .....- .........388.59
O ther real estate ................................. 7,700.00
B an king hou se, furniture and
fixtures .....................................
11,061.15
B an kers’ con serv a tion fund ....
288.78
Due from national and state
banks ................ - ......................
21,196.78
C hecks and item s of exchange
240.28
Cash in bank ................................
4,913.29
U . S. bonds in cash reserve.,..
5,150.00
T otal


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

.$ 157,448.91

Capital stock ............................... $
Surplus fund ................................
U ndivided profits (n et) ......
D ividends unpaid .........................
Individual d ep osits su b ject to
ch eck ..........
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
S avings d ep osits ........................
C ashier’ s ch ecks o u tsta n d in g ..
D ep ositors’ guarantee fund ....
R eserved for taxes .....................
Total

25,000.00
10,000.00
52.63
80.00
53,559.03
812.40
58,560.64
9,002.81
39.75
91.65
250.00

.$ 157,448.91

B U R E A U

Chester
C harter N o.

O F

Chester S

85

B A N K IN G

Bank

1111

G. F .

Ctf. N o. 634

Thayer County
A.

R ichard s

..................................... P resident

W . H . Kuhlm ann ............................ Cashier
L. C. Soldan ........................... A s s ’ t. Cashier

S T A T E M E N T C 7 JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $ 152,751.43
O verdrafts .......................................
843.09
Bonds,, secu rities, ju d gm en ts
and claim s ............................
8,123.95
O ther real estate ........................
10,089.05
B an kin g hou se, furniture and
fixtures ................
10,000.00
B an k ers’ con serv a tion fund ....
,422.16
Due from national and state
banks .........................................
14,384.28
C hecks and item s of exchange
30.41
Cash in bank ................................
4,943.46
T otal .............. ...... :.............$ 201,587.83

Clarks

Capital stock ............... .,.............. $
Surplus fund ................................
U ndivided profits (net) ..........
D ividends unpaid ........................
Individual d eposits su b ject to
check ..................,.....................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
S avings d eposits .........................
C ashiers’ ch ecks o u tsta n d in g ..
D ep ositors’ guarantee fund ....

30,000.00
6,000.00
553.92
180.00
66,721.25
5,000.00
68,745.31
24,242.75
13.65
130.95

Total ................................... $ 201,587.83

Farmers State Bank

C harter N o. 1233

G. F. C tf. N o. 755

Merrick County
G. R . Cam pbell ..............................P resident
A . E. N ord gren .....................V ice-P resid en t

V in cen t D ouglas ..................................Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 204,204.98
O verdrafts ................................. -.....
380.25
B on d s, secu rities, ju d gm en ts
and claim s ................................
419.63
O ther assets .................................
286.48
O ther real estate ......... - .............
13,354.16
B anking house, furniture and
fixtures .....................................
5,350.00
B an kers’ con serv a tion fund ....
462.69
Due from national and state
banks .........................................
20,024.45
C hecks and item s of exchange
1,144.03
Cash in bank ................................
3,384.69
U . S. bonds in cash reserve....
1,100.00

Capital stock ....1.......................... $ 20,000.00
Surplus fund .................................
2,000.00
Individual d eposits su b ject to
ch eck .........................................
93,629.47
Tim e certifica tes of d eposit .... 100,466.18
S avings d eposits .........................
25,567.49
C ashier’ s ch ecks ou tsta n d in g ..
293.90
R e-d iscou n ts ..................................
8,000.00
D ep ositors’ guarantee fund ....
154.32

T otal ................................... $ 250,111.36

T otal ................................... $ 250,111.36


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

86

B U R E A U

Clarks

O F

B A N K IN G

State Bank

Charter N o. 1305

G. F . Ctf. N o. 827

Merrick County
W . Cham berlin
M . Shonsey

..............................P resident
..................V ice-P resid en t

E.

S.

Cham berlin ........................... ..Cashier

S T A T E M E N T C F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ................$ 326,374-79
O v erd ra fts .......................................
157.37
B onds, secu rities, ju d gm en ts .
and claim s .................. -............
8,196.95
...................
52,676.71
O ther real estate
B an king h ou se, furnitu re and
fixtures .................
16,000.00
B an kers’ con serv a tion fund ....
1,033.16
Due from national and state
banks .........................................
32,205.64
Checks and item s of exchange
1,372.95
Cash in bank ........._......................
9,066.07

Capital stock ......... ..................... $
Surplus fund .........
U ndivided profits (n et) ..........
Individual deposits s u b je ct to
ch eck ..................
Tim e certifica tes of d eposit ....
S avings d eposits ....
C ashier’ s ch ecks o u tsta n d in g ..
Due to national and state
banks ..................
R e-d iscou n ts ...........
B ills payable .........
D ep ositors’ guarantee fund ....

T otal ................................. $ 447,083.61

T otal ........... ..................... $

Clarkson

50,,000. 00
1,,000,.00
399. 50
118.,055,,92
177, 747. 83
66,,071. 52
1.,629..24
S.,324.,74
6,604,.00
20,,000,.00
250..89
447, 083. 64

Clarkson State Bank

Charter N o. 92

G. F . Ctf. N o. .41

Colfax County
Em il Folda ................... ..................P resid ent
J. M. M undil ........................V ice-P resid en t

E m il P etr ...
J. A . K ucera
J os. M undil
Fr. V idlak ...

............... Cashier
..A ss’ t. Cashier
.A ss’ t. Cashier
.A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ......... ......$ 601,377.40
O verd rafts ...................................
1,358.82
B on d s, secu rities, ju d gm en ts
and claim s ............
98,250.00
O ther real estate ........................
20,000.00
B an king h ou se, furniture and
fixtures .....................................
13,100.00
B an kers’ con serv a tion fund ....
1,482.11
Due from national and state

Capital stock ............................... $ 25,000.00
Surplus fund ................................
35,000.00
1,071.20
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ...........................
195,218.94
Tim e certifica tes of dep osit
.... 564,500.98
S avings d ep osits ........................
19,759.77
C ashier’ s ch eck s o u tsta n d in g ..
871.73
D ep ositors’ guarantee fund
....
471.55
D epreciation reserve .................
5,188.20

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

8 4 ,3 5 3 .1 4

C hecks and item s of exchange
Cash in bank ......................
U . S. bonds in cash reserve....

banks

674.51
7,986.39
18,500.00

T otal ................................. $ 847,082.37


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

T otal ................................. $ 847,082.37

B U R E A U

Clarkson
Charter N o.

O F

87

B A N K IN G

Farmers State Bank
882

G.

F.

Ctf.

N o.

433

Colfax County
J. D. W o lf ................... - ................ President
E. E . Dudek ......................:..... V ice-P resid en t

A d o lf Dudek ............................... „ ..„ .C a s h ie r
J. A . Indra ........................... _...Ass’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 503,761.91
O verdrafts .......................................
1,221.42
B on d s, secu rities, ju d gm en ts
and claim s ............................... ' 63,817.66
O ther real estate .........................
14,433.87
B an kin g h ou se, furniture and
fixtures .....................................
12,000.00
B an k ers’ con serv a tion fund ....
1,430.15
Due from national and state
banks .........................................
66,807.03
C hecks and item s of exchange
70.41
Cash in bank ................................
9,975.49
U . S. bonds in cash reserve....
17,000.00
T otal ....... ........................... $ 690,517.94

Clatonia

Capital stock ............................... $
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of dep osit ....
S avings d eposits .........................
C ashier’ s ch eck s ou tsta n d in g ..
D ep ositors’ guarantee fund ....
D epreciation reserve ............

25,000.00
28,000.00
729.73
163,823.28
258.15
439,135.00
29,784.02
402.46
385.86
2,999.44

T otal ...................................$ 690,517.94

Farmers Bank of Clatonia

C harter N o. 481

G.

F.

Ctf. N o.

178

Gage County
..................President
W . F. A lb ert .'...................... V ice-P resid en t

H erbert J.

.................... Cashier
R iechers .... .....A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 197,987.87
O verd rafts .......................................
208.53
B on d s, secu rities, ju d gm en ts
and claim s ............................
32,027.50
O ther real estate .............
4,029.67
B an kin g h ou se, furnitu re and
fixtures .........
9,986.73
B an kers’ con serv a tion fund ....
726.23
Due from national and state
banks .........................................
34,292.69
C hecks and item s of exch a n ge
10.30
Cash in bank ..........:....................
3,450.68
U . S. bonds in cash reserve....
5,050.00

Capital s tock ............................... $ 20,000.00
Surplus fund ...........................
5,000.00
U ndivided profits (net) ..........
4,364.66
Individual d eposits su b ject to
ch eck .........................................
67,474.68
Dem and certifica tes of dep osit
2,000.00
T im e certifica tes of deposit
.... 172,277.19
S avings d ep osits .........................
16,470.09
D ep ositors’ guarantee fund
....
183.58

T otal


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

.$ 287,770.20

Total

.$ 287,770.20

S's

B U R E A U

Clatonia
C harter N o.

O F

B A N K IN G

Clatonia State Bank
1483

G.

F.

Ctf.

N o.

1005

Gage County
Fred D am kroger ............................President J.
E. A . V on d erfech t ..... ........V ice-P resid en t

E.

.Cashier

M cC orm ack

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ...............$
O verd ra fts ..................
B on d s, secu rities, ju d gm en ts
and claim s ..................
B an king h ou se, furniture and
fixtures
................,...............
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exchange
Cash in bank ....................

Capital stock .......................................20,000.00
Surplus fund ................
1,000.00
U ndivided profits (n et) ..........
464.52
Individual d ep osits s u b je ct to
ch eck .......................
35,509.57
Dem and certifica tes of d ep osit
2,000.00
Tim e certifica tes o f d eposit
.... 71,077.60
D ep ositors’ guarantee fund
....
71.66
R eserved for taxes .....................
508.18

53,665.18
299.00
48,648.00
10,000.00
187.80
15,130.51
120.61
2,580.43

T otal .................................. $ 130,631.53

Clay Center

..$ 130,631.53

T otal

Commercial State Bank
G.

C harter No. 94

F.

Ctf.

N o.

42

Clay County
H . B . Cam pbell ................................. Cashier
Gladys M . B uch tel ........... ...A ss’ t. Cashier

H . E. M cD ow ell ................................President
H . H . Johnson .................... V ice-P resid en t
STATEM ENT O

F

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 168,562.54
O verd rafts .......
280.35
B onds, secu rities, ju d gm en ts
and claim s ..............................
55,965.58
O ther real estate ........................
17,999.04
B an king h ou se, furniture and
fixtures .....................................
6,450.00
B an kers’ con serv a tion fund ....
831.67
Due from national and state
banks .........................................
46,761.81
Checks and item s of exchange
330.08
Cash in bank ...............................
10,145.27

Capital stock ................................$ 30,000.00
Surplus fund .........
3,000.00
U ndivided profits (net) ..........
54.50
Individual d eposits s u b je ct to
ch eck ...............
116,353.80
Dem and certifica tes of d ep osit
3,992.27
Tim e certifica tes of d eposit .... 135,039.44
S avings d ep osits ................
18,526.91
C ashier’ s ch ecks o u tsta n d in g ..
181.56
D e p ositors’ guarantee fund ....
177.86

Total


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

.$ 307,326.34

Total

.$ 307,326.34

B U R E A U

Clay Center

O P

89

B A N K IN G

Clay Center State Bank

C harter N o. 911

G.

F.

Ctf. N o. 456

Clay County
F.
T . Sw anson ............................. President
A . E. Randall ......................V ice-P resid en t

H.

A.

Sw anson

..................................C ashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 203,939.92
O verd rafts .......................................
467.97
B on d s, secu rities, ju d gm en ts
and claim s .......................;......
18,850.00
O ther real estate ..........
12,565.30
B an king h ou se, furniture and
8,000.00
fixtures .....................................
B an kers’ con serv a tion fund ....
653.12
Due from national and state
banks
.........................
17,505.29
C hecks and item s of exchange
983.43
Cash in hank ................................
10,849.93
273,814.96

Total

Clearwater

Capital stock ............................... $
Surplus fund ................................
U ndivideed profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ................................
Dem and certifica tes of dep osit
Tim e certifica tes of d ep osit ....
S avings d ep osits .......................
C ashier’ s ch eck s o u tsta n d in g ..
D ep ositors’ guarantee fund ....

25,000.00
7,500.00
476.62
91,142.58
394.82
135,549.56
12,447.40
1,138.87
165.11

T otal ................................... $ 273,814.96

State Bank of Clearwater

C harter N o. 629

G.

F.

Ctf. N o. 261

Antelope County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 100,469.32
O verd rafts ............,..................... ..
45.09
B onds, secu rities, ju d gm en ts
and claim s ..............................
14,416.95
O ther assets ................................
47,654.41
O ther real estate .............
87,789.15
B an king h ou se, furniture and
fixtures .....................................
4,000.00
B an kers’ con serv a tion fund ....
800.81
Due from national and state
banks .........................................
14,345.65
Checks and item s of exchange
25.06
Cash in bank ................................
2,280.43
Total


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

271,826.87

Capital stock ................................. $
Surplus fund ................................
Individual deposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....
O ther liabilities
....................

Total

12,000.00
5,801.62
52,517.83
199,460.53
167.95
1,878.94

..$ 271,826.87

90

B U R E A U

Clearwater

O F

B A N K IN G

Citizens State Bank
G.

Charter N o. 976

F.

Ctf. N o.

516

Antelope County
P. H em enw ay ................................. P resid en tL eo
T h os. M arw ood .....................V ice-P res id en t M .

R ose ...............
W . R utledge

.............. Cashier
.A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts .............. $ 263,184.07
O verd ra fts .................................... —
731.36
B on d s, secu rities, ju d gm en ts
and claim s ..............................
1,000.00
O ther real estate ........................
15,900.00
B an king hou se, furnitu re and
fixtures ........................
6,000.00
B an k ers’ con serv a tion fund ....
412.06
Due from national and state
hanks ............................
15,948.72
C hecks and item s of exchange
114.18
Cash in bank ................................
2,648.32
U . S. bonds in cash reserve.—
4,800.00

Capital stock ............................... $
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
T im e certifica tes of d eposit ....
C ashier’ s ch ecks ou tsta n d in g—
Bills payable ................
D ep ositors’ guarantee fund ....

T otal ...............................

T otal ..................................$ 310,738.71

Cody

20,000.00
6.04
111,915.07
160,162.64
37.97
18,438.06
178.93

$ 310,738.71

The Bank of Cody

Charter N o . 542

G. F . C tf. N o. 205

Cherry County
H . B. Skeen ..................... ..............P resident
M. E. Skeen .........................V ice-P resid en t

II.

V.

L. Severns ..... .............................. Cashier
II. Van Kirk ................. A s s 't . Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 196,886.26
761.04
O verdrafts ..........................
B onds, secu rities, ju d gm en ts
and claim s ..............................
25,000.00
O th er real estate
...................
10,000.00
B an king hou se, furnitu re and
fixtures .....................................
12,500.00
B an kers’ con serv a tion fund ....
524.77
Due from national and state
banks .........................................
34,176.18
C hecks and item s of exchange
146.11
Cash in bank ................................
7,703.83
Total


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

.$ 287,698.19

Capital stock ............................... $
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
Certified ch eck s .............- ...........
C ashier’ s ch ecks outstanding....
Due to national and state
banks .......................1................
B ills payable .................................
D ep ositors’ guarantee fund ....
Total

25,000.00
859.28
120,634.67
2,000.00
103,351.54
174.26
510.05
15,000.00
20,000.00
168.39

.$ 287,698.19

B U R E A U

Cody

O F

91

B A N K IN G

Ranchers State Bank

Charter N o. 1384

G. F. Ctf. N o. 906

Cherry County
E.
P.

C. Cole ...................................... President
N. Cole ................ ........ V ice-P resid en t

H. A.

Cole ............................................ Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ............... $ 171,574.80
O verdrafts .......................................
802.41
B onds, secu rities, ju d gm en ts
and claim s ..............................
13,222.86
O ther assets .................................
95.64
O ther real estate ......
14,776.66
B anking h ou se, furniture and
12,500.00
fixtures .....................................
B an k ers’ con serv a tion fund ....
400.88
Due from national and state
banks .......................................
18,338.54
Cash in bank ................................
2,295.38
Total

.$ 234,007.17

College View

Capital stock ...................... .........$
Surolus fund .........
Individual d eposits su b ject to
ch eck .......
Dem and certifica tes of d eposit
Tim e certifica tes of deposit ....
Certified ch eck s ......
C ashier’ s ch ecks outstand ing...
Due to national and state
banks .........................................
B ills payable ........
D ep ositors’ guarantee fund ....
Total

25,000.00
3,000.00
74,070.60
3,000.00
84,773.76
5,000.00
1,522.10
17,500.00
20,000.00
140.71
234,007.17

Farmers State Bank

Charter N o. 1363

G. F. C tf. N o. 885

Lancaster County
V ern on D. A ndrew s .....................P resident
W m . L . Gore .........................V ice-P resid en t

H . D. E nslow ..................... ......... Cashier
C. H . Lile ................................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ................$ 157,414.41
O verdrafts ............... •......,................
292.98
B onds, secu rities, ju d gm en ts
and claim s .............
15,545.85
O ther real estate ......................
79,036.57
B an king h ou se, furnitu re and
fixtures .....................................
2,500.00
B an kers’ con serv a tion fund ....
906.23
Due from national and state
banks .................
33,268.79
Cash in bank ...............................
6,990.57
U . S. bonds in cash reserve....
2,221.40

Capital stock ................................. $ 25,000.00
U ndivided profits (n et) ..........
493.70
Individual d eposits su b ject to
ch eck ........................................
160,879.57
T im e certifica tes of d eposit
.... 104,450.43
S avings d eposits ........................
6,906.85
Certified ch eck s ...».
91.00
C ashier’ s ch ecks outstanding....
147.31
D ep ositors’ guarantee fund
....
207.94

T otal ................................. $ 298.176.80

T otal ................................. $ 298.176.80


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

92

B U R E A U

Colon

O F

B A N K IN G

State Bank of Colon
G.

Charter N o. 529

F . Ctf. N o. 200

Saunders County
F. T. K irchm an ....... ..................... President
J. F. B astar ............. ...........V ice-P resid en t
J . A . Sams ................ ...........V ice-P resid en t

............... Cashier
..A ss’ t. Cashier

E. H . H enderson
A . F. V asina .........

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ............... $ 323,227.19
O verd rafts .......................................
150.75
B an king h ou se, furniture and
10,000.00
fixtures .....................................
B an kers’ con serv a tion fund ....
885.17
Due from national and state
banks ......................................... »69,864.01
Cash in bank .....................
3,252.61
U . S. bonds in cash reserve....
3,900.00

Capital stock ...........................—.$ 20,000.00
Surplus fund ................................
10,000.00
U ndivided profits (n et) ..........
9,892.88
Individual d eposits su b ject to
ch eck .........................................
102,733.97
Tim e certifica tes of d eposit
.... 263,400.04
S avings d eposits .............4,911.80
C ashier’ s ch ecks outstanding....
115.92
D ep ositors’ gu aran tee fund
....
225.12

T otal ................................ $ 411,279.73

Columbus
C harter N o.

.

R ESO U R CE S

T otal ................................. $ 411,279.73

Columbus State Bank
97

G.

F.

C tf. N o.

43

Platte County
M . B ru g ger ............. .......................President
C. L. Gerrard .........................V ice-P resid en t

H . A . Clarke ............. ......................... Cashier
V . H . W ea v er ......... .............A s s ’ t. Cashier
M . A . S ten ger ........................A s s ’t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $ 705,653.77
O v erd ra fts .......................................
2,749.60
B onds, secu rities, ju d gm en ts
and claim s ................................
45,805.18
O ther real estate .......................
88,310.75
B an king h ou se, furnitu re and
38,588.74
fixtures .....................................
B an k ers’ con serva tion fund ....
2,325.65
Due from national and state
..................................................

107,492.46

C hecks and item s of exchange
Cash in bank ....................- .........
U . S. bonds in cash reserve....

banks

15,808.46
23,863.35
29,500.00

T otal


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

.$1,060,097.96

Capital stock .................... ........... $
Surplus fund ................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck .........................................
T im e certifica tes of d ep osit ....
S avings d ep osits ..............
C ashier’ s ch ecks outstanding....
Due to national and state
banks .........................................
D ep ositors’ guarantee fund ....

T otal

75,000.00
25,000.00
2,318.36
273,009.16
572,043.03
45,210.15
7,752.81
59,175.62
588.83

.$1,060,097.96

B U R E A U

Columbus
C harter N o.

O F

93

B A N K IN G

Home Savings Bank
1066

Platte

G.

F.

C tf.

N o.

595

County

G. W . Phillips .......... ..................... President
R obert K rau se ...................„..V ice -P re s id e n t

M arie

W alter

........................................Cashier

S T A T E M E N T OF JU N E 30, 1927
LIABILITIES

RESOURCES
Loans and discou n ts ............... $ 116,731.40
B onds, secu rities, ju d gm en ts
and claim s ....................
3,604.88
O th er assets .....................
21.16
O ther real estate ....................
12,556.70
B an kers’ con serv a tion fund ....
406.64
Due from national and state
banks ........
21,903.49
500.00
Cash in bank ..........
T otal .................. ,.............. $

Columbus

155,724.27

Capital stock ................................$
Surplus fund ..................................
D ividends unpaid ........
Individual d ep osits su b ject to
ch eck .........................................
Tim e certificates of d ep osit ....
D ep ositors’ guarantee
fund ....

T otal

12,000.00
1,545.00
20.00
115,577.84
26,488.59
92.84

....................... :........$ 155,724.27

Farmers State Bank

Charter N o. 1442

G. F. Ctf. N o. 964

Platte County
W m . B uch er ..........,.................- ......P resid en t
F.
J. B oehm ........................ V ice-P resid en t

F. J. B oehm .... .......... ............ ,.......... Cashier
A . W . Ivlug ........................ A s s ’ t. Cashier
Frank B. D ietz .................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
RESOURCES

LIABILITIES

L oans and d iscou n ts ............... $ 732,405.78
O verdrafts .......................................
3,802.73
B onds, secu rities, ju d gm en ts
51,000.00
and claim s .............
O ther real estate .........................
53,973.85
B an king hou se, furniture and
fixtures ............v.......................
5,000.00
B an kers’ con serv a tion fund ....
1,692.15
Due from national and state
banks ................
91,785.05
Checks and item s o f exchange
5,671.21
Cash in hank ...............................
25,445.82
U . S. bon d s in ca sh reserve....
22,900.00

Capital s tock ...............................$
50,000.00
Surplus fund ................................
10,000.00
U ndivided profits (net) .......
11,564.95
Individual d eposits su b ject to
ch eck .............. .,............ t........
214,547.77
T im e certifica tes of d eposit .... 670,799.87
S avings deposits ........................
26,813.24
Certified ch ecks ..........................
6,650.00
C ashier’ s ch ecks outstanding....
2,745.43
D ep ositors’ guarantee fund ....
555.33

T otal


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

.$ 993,676.59

T otal

.$ 993,676.59

94

B U R E A U

Comstock

O F

B A N K IN G

Citizens State Bank
G.

Charter N o. 948

F. Ctf. N o. 489r

Custer County
W . E. Gibbons ...........v.................. P resid ent
John H ruby
................... V ice-P resid en t

E. F. Skolil ....
G. G. R ockhold

....... .......Cashier
.A ss’ t. C ashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 274,156.50
1,226.31
O verdrafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ..............................
21,009.52
5,700.00
O ther real estate ........................
B an kin g hou se, furniture and
fixtures ......................... -..........
10,000.00
B an k ers’ con serv a tion fund ....
814.30
Due from national and state
banks ........ ,...............................
59,945.50
Checks and item s of exchange
273.35
Cash in bank ...............................
4,098.45
U . S. bonds in cash reserve....
950.00
..$ 378,173.93

T otal

Comstock

Capital stock ................................. $
Surplus fund ..................................
U ndivided p rofits (net) ..........
Individual d ep osits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

T otal

25,000.00
15,000.00
700.74
106,251.91
230,996.21
225.07

............... -..............$ 378,173.93

Farmers & Merchants Bank
G. F. Ctf. N o. 616

Charter N o. 1092
Custer County
V en cel K rik ac ......................-............P resident
E . J. C raw ford .........-.......V ice-P resid en t

V . K rik ac, Jr.
C. D. W ard rop

...............C ashier
.A ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 194,841.42
O verd rafts ................. .................. 1,347.22
B on d s, secu rities, ju d gm en ts
and claim s ................ - .............
82,454.75
B an kin g h ou se, furnitu re and
fixtures .....................................
8,000.00
B an k ers’ con serv a tion fund ....
650.60
Due from national and state
banks .........................................
35,847.17
C hecks and item s of exchange
374.80
Cash in bank ................................
6,414.92
U . S. bonds in cash reserve....
9,600.03

Capital stock ................................. $ 25,000.Off
Surplus fund ..................................
5,000.00
U ndivided profits (n et) ..........
3,072.21
Individual d ep osits su b ject to
ch eck ..............
87,673.16
Tim e certifica tes of d eposit .... 214,758.19
C ashier’ s ch ecks outstanding....
3,831.54
D ep ositors’ guarantee fund ....
195.78

T otal ................................. $ 339,530.88

T otal .................. ,.... ........$ 339,530.88


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

B U R E A U

Concord

O F

B A N K IN G

95

Concord State Bank
G.

C harter N o. 99

F.

Ctf. N o. 44

Dixon County
.

D. A . Paul .....................

President

Wm.

E. Paul ..........................V ice -P re sid e n t

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $
O v erd ra fts ......................................
B on d s, secu rities, ju d gm en ts
and claim s ...............................
O ther real estate .......................
B an king h ou se, furniture and
fixtures ...............................- ....
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
C ash in hank ................................
U . S. bonds in cash reserve....
O th er assets .................................
Total

95,994.94
262.16
500.00
28,550.41
4,000.00
565.94
18,773.14
60.70
2,446.90
5,000.00
302.29
156,456.48 ]

Concord

Capital stock ............................... $ 30,000.00
Surplus fund ..............................
8,601.93
Individual d eposits su b ject to
ch eck ........................................
39,183.68
Dem and certifica tes of
d eposit 8,476.46
T im e certifica tes of d eposit ....
69,155.66
S avings d eposits ........
.'.
943.06
D ep ositors’ guarantee fund ....
95.69

Total

.$ 156,456.48

Farmers State Bank

C harter N o. 1454

G. F . C tf. N o. 976

Dixon County
G.
E.

R ieth ............................................ P resident
J. H ughes ..................... V ice-P resid en t

C. S. Sherm an ....................................C ashier
G. C. N im rod .............. :......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 194,842.66
O verdrafts .......................................
1,296.47
B on d s, secu rities, ju d gm en ts
and claim s ..............................
5,510.06
O ther real estate ........................
11,987.72
B an king h ou se, furniture and
fixtures .....................................
6,666.00
B an kers’ con serv a tion
fund ....
439.56
Due from national and state
hanks .........................................
66,830.55
Checks and item s o f exchange
225.00
Cash in bank ................................
3,219.46
U . S. bonds in cash reserve....
2,000.04
O th er cash resou rces ...............
11.05
Total


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

.$ 293,028.53

Capital stock ............................... $
Surplus fund .................................
U ndivided profits (net) ..........
Individual d ep osits su b ject to
ch eck .........................................
T ime certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

Total

20,000.00
1,000.00
1,863.24
106,398.86
163,595.60
170.83

..... $ 293,028.53

96

B U R E A U

Cook

O F

B A N K IN G

Cook State Bank
G. F. Ctf. N o. 574

Charter N o. 1044
Johnson County
G. T . O verton ...............................President
Jacob Specht ........................V ice-P resid en t

E rnest F risch ...............................- ....Cashier
L ou ise A . B rehm ................. A s s ’ t. C ashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 107,925.41
O verd rafts ....................- .................
224.19
O ther real estate .........................
20,710.21
B an king h ou se, furniture and
fixtures ......- .......
5,500.00
B an kers’ con serv a tion fund ....
294.58
Due from national and state
banks .........................................
18,260.94
C hecks and item s of exchange
372.79
Cash in bank ......
2,240.41
T otal .................................. $ 155,528.53

Capital . stock ............... ,.......... _...$
Surplus fund ...... ........................ —
U ndivided profits (net) ..........
Individual deposits su b ject to
ch eck .........................................
Dem and certificates of deposit
T im e certificates of deposit
....
S avings deposits ........................
D ep ositors’ guarantee fund
....

20,000.00
4,000.00
422.14
52,768.86
2,049.30
48,698.19
27,520.29
69.75

T otal ................................... $ 155,528.53

Farmers Bank

Cook
Charter N o.

100

G.

F.

C tf.

N o.

4o

Johnson County
W . O. T om er ................................. P resident
Fred H ubold .........................V ice-P resid en t

P. H . N aeve ................................-...... Cashier
H . L . N iem ann .....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
Loans and d iscou n ts ............... $ 221,123.88
O verd rafts .'.................
460.82
B on d s, secu rities, jud gm ents
and claim s ................................
31,096.00
O ther real estate .............
700.00
B an kers’ con serv a tion fund ....
789.57
Due from national and state
banks .........................................
54,044.47
C hecks and item s of exchange
2,372.87
Cash in bank ................................
5,183.41
U . S. bonds in cash
reserve....
9,350.00
T otal ...................................$ 325,121.02


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

L IA B IL IT IE S
Capital stock ........ .......................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits subject to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d ep osit ....
S avings d ep osits ........................
D ep ositors’ guarantee fund ....

17,500.00
12,000.00
1,581.39
148,147.32
165.50
134,925.09
10,610.96
190.76

Total ......................... ......... $ 325,121.02

BUREAU

Cordova

O F

B A N K IN G

97

Cordova State Bank

C harter N o. 639

G

F

C tf

No

269

Seward County
P.

O.

S outhw ick

.......................... President L. R . Lull ............................................ Cashier
M.
C. C hristiansen............A s s ’ t. Cashier
S T A T E M E N T OF JU NE 30, 1927

RESOU RCES

L IA B IL IT IE S

Loans and discou n ts ............... $
O verd ra fts .................................. .
B on d s, secu rities, ju d gm en ts
and claim s ..............................
B an king h ou se, furnitu re and
fixtures ........................... .........
B an kers’ con serv a tion fund ....
Due from national and state
banks ................................. '......
C hecks and item s o f exchange
Cash in bank ................................
Total

45,491.90
4,750.00
488.98

Capital stock ............................... $
13,000.00
Surplus fund .......,........................
3,000.00
U ndivided profits (n et) ..........
243.86
Individual d ep osits su b ject to
ch eck .....
65,140.33
Dem and certifica tes of d eposit
171,013.65
D ep ositors’ guarantee fund
....
142.37

51,617.67
174.03
4,490.89
252,540.21

Cornlea
C harter N o.

145,303.89
222.85

Total

.$ 252,540.21

Cornlea State Bank
822

Platte

G.

F.

C tf.

N o.

389

County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927

R ESO U R CE S
L oans and discou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ................................
O ther assets ..................................
O ther real estate .........................
B an king h ou se, furnitu re and
fixtures ................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .......
C hecks and item s of exchange
Cash in bank ................................
T otal

5


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

L IA B IL IT IE S
68,360.23
18,075.21
22,415.08
23,763.18
14,177.83

Capital stock ............................... $ 15,000.00
Individual d ep osits su b ject to .
ch eck ....................... ’..................
23,320.90
Tim e certifica tes of d eposit ....
124,119.95
S avings d ep osits ..........................
1,464.41
D ep ositors’ guarantee fund ....
127.08

3,805.00
557.36
11,045.29
1,073.53
759.63
164,032.34

Total

.$ 164,032.34

98

B U R E A U

Cortland
C harter N o.

O F

B A N K IN G

Farmers State Bank
1120

G.

F.

Ctf.

N o.

643

Gage County
Paul S chultz .................... _............. President
F.
J. A . H artw ig ............. .V ice-P resid en t

Frank M ilten b erger ........... ............. Cashier
H . W . Grieser ....................... A s s ’ t. Cashier
Jacob S chultz ........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESOU RCES
L oans and d iscou n ts ............._.$ 232,770.03424.25
O verd rafts .......................................
O ther real estate .........................
725.00
B an kin g h ou se, furnitu re and
fixtures .....................................
15,000.00
B an kers’ con serv a tion fund ....
802.87
Due from national and state
23,390.81
banks ......... ................._...........
C hecks and item s of exch a n ge
249.82
Cash in bank ..................................
1,967.93
U . S. bon d s in cash reserve....
8,600.00
T o ta l ....... ........................... $ 283,930.71

Cotesfield
C harter N o.

First St

Capital s tock ............. ..................$
Surplus fund ...................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........... .......1.............. ........
D em and certifica tes of d eposit
Tim e certifica tes o f dep osit ....
D ep ositors’ guarantee fund ....

30,000.00
10,000.00
6.40
90,627.04
5,000.00
148,127.51
169.76

T otal ................................... $ 283,930.71

Bank

879

G.

F.

Ctf. N o.

431

H oward County
C. C. H ansen ......
T . J. H ansen .............

P resid ent
V ice-P resid en t
STATEM ENT (

Cashier
L. C. M adsen ....................
A dam Tum a ........................... A s s ’ t. Cashier
JU N E 30, 1927

R ESOU RCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 243,546.72
O verd rafts ......
287.33
O ther real estate .........................
24,940.39
B an king h ou se, furnitu re and
fixtures ..—................
2,680.00
B an kers’ con serv a tion fund ....
679.27
Due from national and state
banks .........................................
32,417.08
C hecks and item s o f exch a n ge
414.08
Cash in bank ......
3,492.68
U. S. bon d s in cash reserve....
1,011.68

Capital stock ................................$
10,000.00
Surplus fund ............ ,........
10,000.00
U ndivided p rofits (n et) ..........
1,531.32
Individual d ep osits s u b je ct to
ch eck .........................................
68,398.39
Dem and certifica tes of dep osit
10.00
Tim e certifica tes of dep osit
.... 207,376.01
S avings d eposits .........................
10,947.07
D ep ositors’ guarantee fund
....
206.44
R eserv ed for losses .....................
1,000.00

T otal


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

.$ 309,469.23

T otal

.$ 309,469.23

BU REAU O F BANKING

Cowles

99

Cowles State Bank

C harter N o. 800

G. F . Ctf. N o. 371

W ebster County
E.
T . Foe ....................................... President
C. F . Gund ........................-...V ice-P residen t

Jas. M cB ride ............................... ........Cashier
J. M. Foe ................................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oans and d iscou n ts ................$ 217,336.41
O verdrafts .......................................
196.17
O ther real estate ...................._...
4,581.11
B an k in g h ou se, furnitu re and
fixtures ....................
4,000.00
B an k ers’ con serv a tion fund ....
493.65
Due from national and state
banks .............. '.................... :....
16,189.46
C hecks and item s of exchange
77.31
Cash in bank ................................
1,104.57
U . S. bonds in cash reserve....
500.00

Capital s tock ............................. $ 30,000.00
Surplus fund ..................................
6,000.00
U ndivided p rofits (n et) ..........
2,258.25
Individual d ep osits su b ject to
ch eck .........................................
62,932.47
Demand certificates of deposit
5,464.20
Tim e certificates o f deposit ...
109,898.30
S avings d ep osits .........................
792.30
B ills payable ............
27,000.00
D ep ositors’ guarantee fund
133.16

T otal ................................... $ 244,478.68

Cozad

T otal ..............................

$ 244,478.68

Cozad State Bank

C harter N o. 870

G. F . C ff. N o. 423

Dawson County
C. P. H ord .......................................President
Susie J. H ord .......................V ice-P resid en t

Cashier

M . C. C usack .

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $
O verd ra fts ..-...... ..............................
B on d s, secu rities, ju d gm en ts
and claim s ............................
O ther assets ........................... .....
O ther real estate ........................
B an king h ou se, furnitu re and
fixtures .................................. .
B an k ers’ con serv a tion fund ....
Due from national and state
ban ks ............................... - .......
C hecks and item s of exchange
Cash in bank ..................................

L IA B IL IT IE S
197. 373.29
190.05
,379.65
,500.00
,998.16
,500.00
677.31

25,000.00
500.00
532.22
90,116.99
168,757.30
664.15
178.64

22 ,752.03
698.89
,679.92

T otal ................................... $ 285,749.30


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

Capital stock ...........................
$
Surplus fund ........................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck ......... ..............................
Tim e certifica tes of deposit
C ashier’ s ch ecks o u tsta n d in g—
D ep ositors’ guarantee fund

T otal

..$ 285,749.30

BUREAU OF BANKING

100

Farmers State Bank

Cczad

G. F . Ctf. N o. 801

Charter N o. 1279
Dawson County
W . B. P ierce _____ _____ _____ __President
N . B row nfield ........................ V ice-P resid en t

W . T . T h om p son , Jr .....................Cashier
Edwin G. P ierce ..................A s s ’ t. Cashier
T . J. B row n field ................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts .......... .....$ 653 .697.65
O verd rafts ...................................—2,006.94
B onds
secu rities, ju d gm en ts
and claim s ...................
6,547.10
O ther real estate .......................19,843.80
B anking hou se, furnitu re and
fixtures ......................................
25,000.00
B an k ers’ con serv a tion fund ....
1,567.05
Due from national and state
banks .........................:.....1.........
94,848.80
Checks and item s of exchange
1,382.06
Cash in bank ......................
16,442.83
U . S. bonds in cash reserve...
2,150 00
T otal ................................... $ 825,486.23

Capital stock ............................... $
Surplus fund ........ .►
.....................
U ndivided profits (n et) ..........
individual deposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit ....
S avings d eposits ........................
C ashier’ s ch ecks ou tsta n d in g—
Bills payable .......... ...................
D ep ositors’ guarantee fund ....

50.000.
10,030.00
12,462.94
307,067.41
378,452.69
35,419.70
6,618.41
25.000.
465.08

T otal ................................... $ 825,486.23

Stockmens State Bank

Cozad
C harter N o.

G.

1394

F.

C tf.

N o.

916

Dawson County
..... P resident
S. D. R alston ....................
C. T . Y ou n g .................. -- ..V ice-P resident

J. T . C hristenson
E. E. B arta ..........

................. ......... Cashier
..... .......A s s ’ t Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 276,058.85
6,047.64
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ............................
1,300.00
O ther assets ................................
5,000.00
O ther real estate
..................
2,500.00
B an king h ou se, furniture and
fixtures ................................
19,775.00
B an kers’ con serv a tion fund ....
612.64
Due fr o m . national and state
banks .........................................
39,151.09
Checks and item s of exchange
1,061.35
Cash in bank ................................
10,841.36
T otal


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

.$ 362,347.93

Capital stock ............................... $
Surrdus fund ..... ..................... .....
U ndivided profits (net)
........
Individual d ep osits su b ject to
ch eck ........................................
Tim e certifica tes of d eposit ....
C ashier’ s ch eck s O utstandingD ep ositors’ guarantee fund ....

T otal

50,000.00
1 , 200.00
3,135.66
162,006.85
145,072 75
720.55
212.12

.$ 362,347.93

00

00

BU REAU OF BANKING

Crab Orchard
C harter N o.
.

101

Bank of Crab Orchard

104

Johnson

G. F

C tf. N o . 46

County

C. L. R oth ell ...................................President

O. R . H u tch ison .............................. ....Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ........ .......$ 146,578.38
352.10
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s .............................
7,000.00
O ther assets ........
21.00
...................
14,477.84
O ther real estate
B anking h ou se, furniture and
fixtures ..........
6,650.00
B an kers’ con serv a tion fund ....
614.24
Due from national and state
hanks .........................................
9,918.32
C hecks and item s of exchange
2,558.48
Cash in bank ................................
3,707.08
T otal ...................................$ 191,877.44

Crawford
C harter N o.

Capital stock ................................. $
U ndivided profits (n et) .....•.....
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of d eposit
....
S avings d eposits ...........................
C ashier’ s ch ecks outstanding....
Bills payable ..................................
D ep ositors’ guarantee fund
....

25,000.00
137.60
65,085.72
75,278.90
2,121.55
1,643.73
22,500.00
109.94

T otal .................................. $ 191,877.44

Commercial State Bank
107

Dawes

G.

F.

C tf.

N o.

47

County

President
L e ro y H all ..............................
Frank L. Hall ...........
V ice-P resid en t
A nd rew V etter ..................... V ice-P resid en t

M. G. E astm an ................................... Cashier
B esse E. Chapman ............. A s s ’ t. Cashier

S T A T E M E N T C F JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 706,660.50
B ond s, secu rities, jud gm ents
and claim s ................................
11,919.81
O th e r assets ...................................
2,768.20
O ther real estate ........................
93,649.12
B an king hou se, furnitu re and
fixtures ........................
17,100.00
B an k ers’ con serv a tion fund ....
1,758.04
Due from national and state
banks .........................................
70,581.21
C hecks and item s of exchange
6,446.49
12,537.32
C ash in bank ......

Capital stock ............................... $ 35,000.00
Surplus fund ..............................
30,000.00
U ndivided p rofits (n et) ..........
1,722.76
Individual d ep osits su b ject to
ch eck ......................................... 270,679.79
Tim e certifica tes of dep osit .... 507,079.60
S avings deposits ..........................
21,499.18
Certified ch eck s ............................
1,196.00
Cashier’ s ch eck s ou tsta n d in g ...
1,868.87
B ills payable ..................................
53,860.00
D ep ositors’ guarantee fund ....
514.49

Total


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

.$ 923,420.69

Total

.$ 923,420.69

102

BUREAU OF BANKING

Crawford

Crawford State Bank
G. F. Ctf. N o. 1120

C harter N o. 1596
Dawes County
O.
F.

R . Iv in s ............. - ................. .... P resident
M cG ivern .................... „...V ice-P resid ent

C. A .
A . F.

M in ick
......................... - ..Cashier
J ohnson ................... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ......- ........$ 303,090.57
B on d s, s ecu rities, ju d gm en ts
10,689.50
and claim s ........................... -...
O th er assets — .....- ............ - ........
877.44
B an kin g hou se, furnitu re
and
fixtures ......... - .......... - ..- .......—.
4,422.00
Due from national and state
banks ............. ........................ —
37,335.29
C hecks and item s of exchange
1,321.63
Cash in bank ..................................
14,098.82
T o ta l ........

371,835.25

Capital stock ................................$
Individual d ep osits su b ject to
ch eck ..._.....................................
T im e certifica tes of dep osit ....
S avings d eposits ........................
C ashier’ s ch eck s O utstandingD ep ositors’ guarantee fund ....

30,000.00160,568.50
162,508.67
11,985.20
3,390.88
3,382.00

T otal ....... ..........................$ 371,835.25

Security Bank

Creighton

G. F. C tf. N o.

C harter N o. 466

172

Knox County
H . A . C heney ................................... P resid ent
R . C. C heney ....................... .V ice-P resid en t

A . J. L u n ebu rg
H . C. S cott ........

................C ashier
.A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 549,816.78
O verd ra fts ....................
4,498.C4
B on d s, secu rities, ju d gm en ts
and claim s ....... ................... —
4,606.63
O ther real estate .........................
68,981.19
B an k in g h ou se, furniture and
fixtures .....................................
13,000.00
B an k ers’ con serv a tion fund ....
1,738.34
Due from national and state
banks .............
101,756.52
C hecks and item s of exchange
1,638.65
Cash in bank ................................
9,911.42
U . S. bon d s in cash reserve....
3,600.00
T otal


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

.$ 759,547.57

Capital stock ................................$
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .............................
T im e certifica tes of d eposit ....
S avings d eposits ........... ............
C ashier’ s ch ecks outstanding..
Due to national and state
banks .........................................
D ep ositors’ guarantee fund ....

Total

40,000.00
8,000.00
700.42
176,253.78
505,946.81
25,080 38
2,711.11
380.72
474.35

.$ 759,547.57

BUREAU OF BANKING

103

Bank of Creighton

Creighton
C harter N o. 475

G.

F.

C tf. N o. 175

Knox County
Chas. A tk in son ................ ..............P resident
O . W . R ice ......— .................V ice -P re s id e n t

C. A . B artlett ..................................... Cashier
C. T . B ritt ________ ______...Ass’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oans and discounts ............... $ 497,883.92
O v erd ra fts ................._........._.........
224.08
B on d s, s ecu rities, ju d gm en ts
122,537.50
and claim s ......- ................... ....
O ther real estate ............._..... .
29,900.00
B an king hou se, furniture and
fixtures ........................
8,000.00
B an kers’ con serv a tion fund ....
1,788.47
Due from national and state
banks ..............................
176,949.68
C hecks and item s of exchange
41.52
Cash in bank .!...........
17,216.97
U . S. bonds in cash reserv e...
19,700.00

Capital stock ............ ....................$ 25,000.00
Surplus fund ................
10,000.00
U ndivided p rofits (n et) ......
5,970.89
Individual d ep osits s u b je ct to
ch eck ...............................
189,257.32
T im e certifica tes o f dep osit
.... 625,251.25
S avings d ep osits ___
17,799.74
Certified ch eck s ..........................
34.50
C ashier’ s ch eck s outstanding..
352.08
D ep ositors’ guarantee fund
....
576.36

T otal .................................. $ 874,242.14

T otal ................................... $ 874,242.14

Crestón

Citizens State Bank

C harter N o. 514

G. F . C tf. N o. 192

Platte County
R . M . Cam pbell .............................. President
L aV erne Clark .................... .V ice-P resid en t
A nna G. Luedtke ..................V ice-P resid en t
STATEM ENT (
R ESO U R CE S


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

J U N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verd ra fts ...............................
B onds, s ecu rities, ju d gm en ts
and claim s ........................... _...
O ther real estate ........................
B an king hou se, furnitu re and
fixtures ...........................
B an kers’ con serv a tion fund _
Due from national and state
banks ...............
Cash in bank ......................................
U . S. bonds in cash reserv e_
T otal __

O. W . H ahn — ........... ......................Cashier
C has. H ook ........................... A s s ’ t. Cashier

394,572.00
1,278.32
10,243.21
82,383.83
35,000.00
1,246.22

Capital stock ............. ...... ............ $ 70,000.00
Surplus fund ..................................
3,000.00
U ndivided p rofits (n et) ......
215,83
Individual d eposits su b ject to
ch eck .............
234,840.66
T im e certifica tes of dep osit _
290,479.50
S avings d eposits ..........................
15,415.55
C ashier’ s ch ecks outstanding..
2,604.70
D ep ositors’ gu arantee fund _
324.98

81,351.25
5,006.39
5,800.00

.$ 616,881.22

T ota l __

.$ 616,881.22

BUREAU O F BANKING

104

Crete State Bank

Crete
Charter N o.

G. F . Ctf. N o.

1003

540

Saline County
T . H . M iller .................... ...............P resident
W . S. C ollett ................... .... V ice-P resid en t
J. G. M iller ....................... .....V ice-P resid en t

L. H . W e ste rh o ff ...... ..... .................. Cashier
A . L . P osp isil ............ ...... ...Ass’ t. C ashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ...... -........$ 435,046.80
O v erd ra fts ........................... - ..........
176.31
B on d s, secu rities, ju d gm en ts
and claim s ................................
59,990.18
O ther real estate ..................
18,203.28
B an king hou se, furniture and
fixtures .....................................
4,975.50
B an k ers’ con serv a tion
fund ....
1,308.51
Due from national and state
hanks .........................................
138,135.05
C hecks and item s of exchange
6,858.78
Cash in bank ............/..................
9,789.35
O ther cash resou rces
........
396.66

Capital stock ................................$
50,000.00'
Surplus fund ................................
10,000.00
3,679.96U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
284,509.24
T im e certifica tes of d eposit
.... 279,447.99
S avings d eposits ........................
38,081.10
Certified ch ecks ............................
1,406.00
C ashier’ s ch ecks outstanding..
4,035.07
Due to national and state
banks .........................................
3,360.07
D ep ositors’ guarantee fund
....
360.99

674,880.42

T otal

674,880.42

Total

First State Bank

Crete
Charter N o. 1062

G. F. Ctf. N o. 591

Saline County

ft

L . E. U den ..................................... P resid en t
Ed. J. A ron .......................... V ice-P resid en t

J. D. B rehm .........................................Cashier
T . J. A ron ............................... A s s ’ t. C ashier
F . j . K obes ......... .................. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 359,122.92
O verd rafts .......................................
685.00
B on d s, secu rities, ju d gm en ts
and claim s ................................
43,502.62
O ther real estate ........................
13,100.00
B an king h ou se, furniture and
fixtures .....................................
26,735.00
B an kers’ con serv a tion fund ....
1,067.70
Due from national and state
banks .........................................
65,772.06
C hecks and item s of exch a n ge
4,460.98
Cash in bank ..................................
8,457.25

Capital stock ................. .............. $ 50,000.00
10,000.00
Surplus fund .................................
U ndivided profits (n et) ..........
966.28
Individual d ep osits su b ject to
ch eck ......
164,422.02
T im e certifica tes of d eposit
.... 201,502.65
S avings deposits ........................
71,871.91
C ashier’ s ch eck s outstanding..
17,523.44
Due to national and state
banks .........................................
6,318.32
D ep ositors’ guarantee fund
....
298.96

Total


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

.$ 522,903.53

T otal

522,903.53

BU REAU OF BANKING

Crofton

105

Farmers State Bank

C harter N o. 909

G. F. Ctf. N o. 455

Knox County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oans and d iscou n ts ..... -.........$ 286,430.19
57.22
O verd rafts .......................................
O ther assets .................................
50,633.36
O ther real estate ........................
67,683.00
B an king h ou se, furnitu re and
fixtures ............................
4,708.02
B an kers’ con serv a tion fund ....
1,191.59
Due from national and state
banks ................
6,823.95
C hecks and item s of exchange
232.68
Cash in bank ................................
1,628.28

Capital stock ............................... $
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of d ep osit ....
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....
O ther liabilities ........................

T otal .............. ..................... $ 419,388.29

Crookston
Charter N o.

Farmers

50,000.00
85,133.48
231,822.22
4,367.05
265.54
47,800.00

Total ................. :.................$ 419,388.29

ate Bank

1444

G.

F.

Ctf.

N o. 966

Cherry County
E. L. M oss .......................................P resident
C . H . E lliott
..................... V ice-P resid en t
STATEM EN T (

D.

A y lsw orth

JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and discou n ts ............... $
O verdrafts .............................
O th er real estate ........................
B an king hou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ................................
Cash resou rces ............... .’... —..
T otal


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

.......................................Cashier

168,559.10
630.72
13,164.25
9,990.00
294.89
12,203.06
122.60
6,413.66
5.90

.$ 211,384.18

Capital stock ........................ .'......$
Surplus fund ......
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
T im e certifica tes of d eposit
....
Certified ch ecks ............................
C ashier’ s ch eck s outstanding..
B ills payable ..........
D ep ositors’ guarantee fund
....
T otal

20,000.00
807.30
482.29
90,115.81
79,991.54
68.10
252.80
19,544.44
121.90

.$ 211,384.18

BUREAU OF BANKING

106

The Culbertson Bank

Culbertson
C harter N o. 1055

G. F . C tf. N o. 584

Hitchcock County
Geo. G. E isenh art ________ _____ President
A . C. E isenhart ................. V ice-P resid en t

O. P .

S im on ........................................C ashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ......- ....... $ 250,591.45
O verd rafts .................... - .................
779.41
B on d s, s ecu rities, ju d gm en ts
and claim s .................—
120,544.64
B an k in g hou se, furniture and
fixtures ....................- ............ —
2,000.00
B an kers’ con serv a tion fund —
1,035.23
D ue from national and sta te
banks ......- .....- ................... ......
47,960.69
Cash in bank ................... .............
11,366.15
U . S. bonds in cash reserv e—
10,000.00

Capital stock ............. ................... $ 25,000.00
Surplus fund .............10,000.00
8,354.32
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .............
177,937.91
T im e certifica tes o f dep osit — 220,058.40
1,047.75
C ertified ch eck s ......- ..... — ------C ashier’ s ch eck s outstanding..
1,558.01
D ep ositors’ gu aran tee fund
—
321.18

T otal .................... ...............$ 444,277.57

T otal .................... - ............. $ 444,277.57

.

R ESO U R C E S

Curtis State Bank

Curtis
C harter N o. 1129

G. F . C tf. N o. 651

Frontier County
V an E . P eterson .......................... P resid en t
C. M . B row n .........................V ic e -P re s id e n t

H . R . W ilk in so n ......- ............ - ......... Cashier
H . D. B an croft .....................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ......... .....$ 258,005.68
O verd ra fts .................... - ................
1,435.77
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
417.45
O ther real estate ......
4,719.61
B an king h ou se, furniture and
fixtures .............-............ - ........
9,739.68
B an k ers’ con serv a tion fund ....
773.31
Due from national and state
banks .........................................
28,084.59
C hecks and item s of exchange
2,097.79
Cash in bank ....................
9,401.88
U . S. bonds in cash reserve....
6,300.00

Capital stock ............ ........ ......... $ 20,000.
Surplus fund ......
5,000.
U ndivided p rofits (n et) ......_...
172.
Individual d ep osits s u b je ct to
ch eck .........................................
109,093.70
Dem and certifica tes o f d eposit
2,106.51
T im e certifica tes of dep osit
.... 172,579.85
S avings d eposits .....................
11,806.07
D ep ositors’ guarantee fund
—
217.37

T otal .................... ............ $ 320,975.76

T otal .................... - ........... $ 320,975.76


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

888

RESOURCES

BU REAU O F BANKING

Curtis

107

Security State Bank

Charter N o. 1230

G. F . C tf. N o. 752

Frontier County
S.

W.

G ilbert

................... ...........P residen t

J. E. B oas ....... ................................. Cashier
Nina Latham ......— ................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

LIABILITIES

L oans and d iscou n ts ................$ 324,270.09
O v erd ra fts ...................................
1,269.18
B onds, s ecu rities, ju d gm en ts
and claim s ......_......................
293.22
O ther real estate .............
13,928.59
B an king h ou se, furnitu re and
fixtures ..........................
1,096.10
B an kers’ con serv a tion fund _
Due from national and state
banks ......- ................... —.........
35,134.95
C hecks and item s o f exch a n ge
3,687.78
Cash in bank ................... _ ..........
14,566.87
U . S. bonds in cash reserve....
9,150.00

Capital stock ...............................$ 30,000.00
Surplus fund ......- ....._............ _....
6,000.00
U ndivided p rofits (n et) _____
104.51
Individual d ep osits s u b je ct to
ch eck ....................
128,822.14
T im e certifica tes o f dep osit .... 240,493.93
8,000.00
C ertified ch eck s .............
13.25
C ashier’ s ch eck s outstanding..
673.78
Due to national and state
banks ....................
5,000.00
D ep ositors’ guarantee fund _
289.17

T otal .................................. $ 411,396.78

T otal ....... .......................... .$ 411,396.78

Cushing

Cushing State Bank

C harter N o. 939

G. F. C tf. N o. 480

Howard County
J. H . K ilzer ............. ...... .............. P resid ent
N . M . M cK eever ................. V ice-P resid en t

A . C. H unkins ........... - .........- ...... ..Cashier
R osa H unkins ............. - ......... A s s ’t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $
O verdrafts ..............................
B on d s, secu rities, ju d gm en ts
and claim s .............
B an king hou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks _______- .........- .........- ....
C h eck s and item s of exch a n ge
Cash in bank ........................... —.

70,899.00
85.51

T otal ...................................$

92,609.38


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

3,467.38
2,500.00
228.41

Capital stock ................................$
Surplus fund ..........
U ndivided p rofits (net) ..........
Individual d ep osits su b ject to
ch eck ........................ - ...............
Dem and certifica tes o f dep osit
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund —

10,000.00
3,000.00
128.95
37,769.26
325.00
41,335.20
50.97

T otal .................... - ............. $

92,609.38

13,542.04
233.87
1,653.17

108

BUREAU O F BANKING

Dakota City

Bank of Dakota City
G.

C harter N o. 994

F.

Ctf. N o.

532

Dakota County
H.

H.

A dair ................................... P resident

Elm er

H.

..Cashier

Bierm ann

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $
O verdrafts .......................................
B onds, secu rities, ju d gm en ts
and claim s ............... ...............
B an kin g h ou se, furnitu re and
fixtures .....................................
B an kers’ con serv ation fund ....
Due from national and state
banks .........................................
Cash in bank .................................

96,654.19

,

10 000.00

962.68

60,125.10
2,724.53

.$ 455,697.44

Total

Dalton
Charter N o.

285,011.37
219.57

Capital stock ................. ..............$ 20,000.00
Surplus fund ........................
5,000.00
U ndivided profits (net) ..........
5,145.44
Individual d eposits su b ject to
ch eck ...................
185,913.41
Dem and certifica tes of d eposit
640.55
Tim e certifica tes of d eposit
.... 221,319.25
S avings d eposits ..........
17,408.22
Certified ch eck s ....................
1.65
D ep ositors’ guarantee fund
....
268.92
.$ 455,697.44

Total

Dalton State Bank
G. F .

1028

Cheyenne

C tf.

N o.

559

County
........ President
.V ice-P resid et

W . J. E w ing
O. Cam pbell

R . F. B uchanan ................................... Cashier
F. J. Jennett .........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 192,724.10
O verdrafts ...........................
474.48
B on d s, secu rities, ju d gm en ts
and claim s ............ -................
35,000.00
B an king h ou se, furniture and
fixtures .....................................
7,656.99
B an kers’ con serv a tion fund ....
434.43
Due from national and state
banks .........................................
25,684.81
C hecks and item s o f exchange
3,659.55
C -sh in bank ............- .................
3,622.49
U. S. bonds in cash reserve....
4,150.00
O ther cash resou rces ...,............
900.46
T otal


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

.$ 274,307.31

Capital stock ................................. $
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
T im e certifica tes o f d eposit ....
C ashier’ s ch ecks outstanding..
B ills payable ....... ........................
D e p ositors’ guarantee fund ....

Total

25.000.
3,798.00
114,319.87
110,888.83
133.70
20. 000.
166.91

.$ 274,307.31

00

00

109

BU REAU OF BANKING

Farmers State Bank

Dalton
C harter N o.

1377

G.

F.

Ctf.

N o.

899

Cheyenne County
J. H . F oster ......... ............. ......'.......P resident
H erm an A rm u th .....................V ice-P resid en t

R ussell F.

D edrick ............................ Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 141,443.35
O verd ra fts .......................................
157.28
B on d s, secu rities, ju d gm en ts
and claim s ................................
6,265.25
O ther real estate .........
29,441.65
B an kin g h ou se, furnitu re and
fixtures ...................
8,333.00
B an k ers’ con serv a tion fund ....
395.79
Due from national and state
banks .......,........................... .....
75,486.84
C hecks and item s of exch a n ge
166.52
Cash in bank ................................
6,050.64
Total ................................... $ 267,740.32

Danbury
C harter

N o.

Capital stock ................................. $
U ndivided profits (n et) ........
Individual d eposits su b ject to
ch eck ........
Tim e certifica tes of d ep osit ....
S avings d ep osits ........................
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

25,000.00
1,136.16
149,023.12
86,041.64
6,368.03
26.38
144.99

T otal ....................... .".......... $ 267,740.32

Bank of Danbury
G.

117

F.

C tf.

N o.

48

Red Willow County
T.
H.

E. M cD onald .... ....................... P resident
C. B astian .......... ............ V ice-P resid en t

E. F. E rvin ...... ....................................Cashier
Geo. H orton ....... .....................A s s ’t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 241,918.06
O v erd ra fts .......................................
2,145.55
B on d s, secu rities, ju d gm en ts
and claim s ...............................
12,705.80
O ther real estate .......................
9,175.80
B an k in g hou se, furnitu re and
fixtures ................................-....
8,300.00
B an k ers’ con serv a tion fund ....
962.00
Due from national and state
banks .........................................
34,297.82
C hecks and item s of
exchange
4.33
Cash in bank ............,..................
13,095.52
U.
S. bonds in cash reserve....
3,100.00

Capital stock ................................. $ 25,000.00
Surplus fund ..................................
5,000.00
U ndivided profits (n et) ..........
2,887.09
Individual d eposits su b ject to
ch eck ....................................
56,636.11
Dem and certificates of deposit
2,000.00
Tim e certificates of deposit ..... 226,864.03
Savings deposits .........................
5,373.93
C ashier’ s ch ecks outstanding..
700.33
D ep ositors’ guarantee fund ....
220.31
R eserv e for depreciation ......
1,023.08

T otal


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

.$ 325,704.88

T otal

.$ 325,704.88

110

BU REAU O F BANKING

Dannebrog
C harter N o.

Dannebrog State Bank

118

G. F . Ctf. N o. 49

Howard County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
R ESOU R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 219,703.93
1,212.21
O verd rafts — ........................ ........
B on d s, s ecu rities, ju d gm en ts
and claim s ...................
8,351.56
O ther assets ...................................
35,571.19
O ther real estate ........................
28,550.35
B an kin g hou se, furniture and
fixtures ........................... _........
6,820.00
B an kers’ con serv a tion fund ....
834.16
Due from national and state
banks ....—................
3,744.25
C hecks and item s of exch a n ge
7,911.05
Cash in bank ..............................
1,811.14
»Other cash resou rces .................
170.20

Capital stock ................................ $ 25,000.00
5,055.64
Surplus fund ............. ...... _...........
Individual d eposits su b ject to
ch eck ..... ,..................................
48,462.84
Tim e certifica tes of d ep osit
.... 183,073.22
S avings d ep osits ......
19,228.39
C ashier’ s ch eck s outstanding..
583.49
Due to national and state
banks ........................- ...............
10,000.00
D ep ositors’ guarantee fund
....
208.54
O ther liabilities ...........................
23,067.92

T otal

..............................$ 314,680.04

Dannebrog

T otal .................. .................$ 314,680.04

First State Bank
G. F .

C harter N o. 992

C tf. N o.

530

Howard County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 300,463.82
O verd ra fts
....................................
1,819.41
O ther assets
...... - ...........
36,144.28
O ther real estate ............. - .........
28,219.74
B an k in g h ou se, furnitu re and
fixtures ....... ........ - ...........
3,333.33
B an kers’ con serv a tion fund ....
769.49
Due from national and state
banks .........................................
511.22
C hecks and item s of exch a n ge
422.39
Cash in bank ................................
1,110.47
U . S. bonds in cash reserve....
650.99
■Other cash resou rces .................
1,816.33

Capital s tock ................. .............. $ 15,000.00
Surplus fund .......................;......
5,561.39
Individual d ep osits su b ject to
ch eck ......
63,065.12
Dem and certifica tes of dep osit
9,221.76
T im e certifica tes o f d ep osit .... 187,743.06
S avin gs d ep osits .........................
4,307.55
Due to national and state
hanks .........................................
27,063.45
R e-d iscou n ts ...........................
2,500.00
B ills payable .............
37,060.00
D ep ositors’ guarantee
fund ....
231.14
O ther liabilities ......
23,508.00

T otal


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

.$ 375,261.47

T ota l .....

.$ 375,261.47

B U R E A U

Davenport
C harter N o.

O F

111

B A N K IN G

Farmers State Bank

1158

G.

F.

C tf.

N o.

680

T h a yer C ounty
A . D. S ch rä g ......... .........................P resid ent
H arriet S ch rä g
............V ice-P resid en t

E lizabeth

S hattuck

.......................... Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ...............$ 110,129.53
O verd ra fts .........
177.12
B on d s, secu rities, judgments
and claim s ........................
1,000.00
O ther assets ....................
1,579.60
6,964.77
O ther real esta te .............
Banking house, furniture and
fixtures ......
5,000.00
B an kers’ con serv a tion fund ....
289.37
Due from national and state
banks ....................
17,953.63
Cash in bank ................................
1,807.35
O ther cash resou rces ......
36.89
.$ 144,938.26

T otal

Davenport
C harter N o.

15,000.00
2,340.00
-28,313.07
50.13
93,144.08
6,000.00
90.98

T otal ....... ..... „.................. $ 144,938.26

Jennings State Bank

120

T h a y er
W.
H.

Capital stock ............................... $
Surplus fund .....................
Individual deposits s u b ject to
ch eck .............
Dem and certifica tes o f d ep osit
T im e certifica tes of d ep osit
B ills payable .............
D ep ositors’ guarantee fund ....

G.

F.

Ctf. N o .

50

C ounty

H. Jennings ...... ..................... President
B . Jennings .................V ice-P resid en t

M . M . Jennings
R . B . W a lk er ....

_______ Cashier
.A ss’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927

L oans and d iscou n ts ............... $ 392,527.08
O v erd ra fts ..........
579.80
B an k ers’ con serv a tion fund ....
1,136.54
Due from national and state
banks .................... - ..................
83,602.18
C hecks and item s of exchange
86.42
Cash in bank ........................
5,810.78

T otal


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

.$ 483,742.80

Capital stock ...............................i
Surplus fund ........................... —
U ndivided profits (n e t) ........
Individual d ep osits s u b je ct to
ch eck .................
Dem and certifica tes of d eposit
T im e certifica tes o f d ep osit
S avings d eposits ........................
D ep ositors’ guarantee fund ....
R eserv e for taxes ............. - .....—
T otal

4

15,000.
20,000.
6,018.

£88

L IA B IL IT IE S

R ESO U R CE S

119,921.
2,805.
290,410.
27,561.
541.
1,483.
483,742.80

112

BU REAU O F BANKING

Davey

Farmers State Bank

C harter N o.

756

Lancaster
II. Johnson
P eter N elson

G.

F.

Ctf.

N o.

339

County

-............................... President
..... ................ V ice-P resid en t

J. M . H anson .....................................Cashier
H arry R obertson ................. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ...............$ 199,064.55
O verdrafts ..........
925.73
B onds, secu rities, jud gm ents
and claim s ..................-..........
2,602.45
O ther real esta te ........................
4,638.25
B an king hou se, furniture and
fixtures .........................
5,000.00
B an k ers’ con serva tion
fund ....
586.36
Due from national and state
banks .....................
36,781.43
Cash in bank ......
1,959.34
U . S. bonds in cash reserve. ..
3,500.00

10,000.00
Capital stock .............. ................. $
Surplus fund .................................
5,500.00
U ndivided profits (net) ..........
9,497.96
Individual d ep osits su b ject to
ch eck .........................................
73,755.39
Tim e certifica tes of d eposit
.... 155,266.51
C ashier’ s ch eck s outstanding..
878.84
D ep ositors’ guarantee fund
....
159.41

Total ...................................$ 255,058.11

T otal ................................... $ 255,058.11

David City
Charter N o.

Butler County State Bank

1085

G. F . C tf. N o. 609

Butler County
Joseph Shram ek ___ _______ ____ President
P eter M y sen b u rg ................. V ice-P resid en t

R.

F.

H avelka ....................................C ashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ..... ..........$ 429,682.53
O verdrafts .......................................
302.37
B onds, secu rities, ju d gm en ts
and claim s ..............................
90,245.38
O ther real estate ........................
2,324.92
B an king h ou se, furniture and
fixtures .....................................
6,386.00
B an kers’ con serv a tion fund ....
1,244.60
Due from national and state
banks .........................................
90,202.24
Checks and item s of
exchange
3,611.13
Cash in bank .................................
6,482.80
U . S. bonds in cash
reserve....
7,300.00

Capital stock ................. ..............$
50,000.00
Surplus fund ................
15,000.00
U ndivided profits (n et) ...........
8,611.25
Individual d eposits su b ject to
ch eck .........................................
149,781.65
Tim e certifica tes of d eposit
.... 307,065.04
S avings d eposits .....................
50,176.14
C ashier’ s ch ecks outstanding..
707.07
Due to national and state
ban ks ................................'........
56,112.86
D e p ositors’ guarantee fund
....
327.96

Total


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

.$ 637,781.97

Total

.$ 637,781.97

BUREAU OF BANKING

David City
•Charter N o.

113

City Savings Bank

1071

G.

F.

Ctf.

N o. 599

Butler County
Chas. S toops ................................... President
■C. O. C rosthw aite ..............V ice-P resid en t

J.

F.

B astar

....................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 126,307.32
B onds, secu rities, ju d gm en ts
33,663.27
and claim s ............
O th e r real estate ........................
4,000.00
B an kers’ con serv a tion fund ....
356.74
Due from national and state
banks .........................................
44,220.85
«Cash in bank ... ............................
1,042.61

Capital stock ................................$ 12,500.00
Surplus fund .................................
10,000.00
U ndivided profits (n et) ..........
5,604.95
Tim e certifica tes of d eposit ....
22,871.82
S avings deposits ........................
158,507.19
D ep ositors’ guarantee fund ....
106.83

Total ................ .................. $ 209,590.79

T otal ................................... $ 209,590.79

Dawson

Dawson Bank

C harter N o. 670

G. F. Ctf. N o. 287

Richardson County
Daniel R iley ...................................... President
L . M . R yan ........................ V ice-P resid en t

Dan J. R iley .......................................Cashier
J. O. P eck ............................A s s ’t. Cashier
N . T . R iley ........................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ...............$ 271,802.18
251.69
O verd rafts .......................................
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
40,287.77
B an king h ou se, furnitu re and
fixtures ..........................
3,500.00
B an kers’ con serv a tion fund ....
720.81
Due from national and state
banks .........................................
37,561.19
Checks and item s of
exchange
166.09
Cash in bank ................................
5,188.21
U . S. bonds in cash
reserve...
9,691.34
T otal


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

.$ 369,169.28

Capital stock ................................. $
Surplus fund .................................
U ndivided profits (net) ..........
Individual d ep osits su b ject to
ch eck ...............................
T im e certifica tes of d eposit ....
D e p ositors’ guarantee fund _

T otal

25,000.00
26,000.00
6,688.26
157,848.07
153,408.53
224.42

.$ 369,169.28

114

B U R E A U

B A N K IN G

Jefferson County Bank

Daykin
C harter N o.

O F

G.

122

F.

C tf. N o.

51

Jefferson County
L ou is Jarchow ......- ................ .......President
H . H . H um p hrey ......- ......V ice-P resid en t

F.
W . D en ney .....................- ......... Cashier
Geo. A p k in g ........................ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............-.$ 127,177.93
O v erd ra fts ....................................................307.50
O ther real estate ......- ...............
10,732.65
B an kin g h ou se, furnitu re and
fixtures ......- ......-.
4,895.00
B an kers’ con serv a tion fund —
394.58
Due from national and state
banks .............- .....- ..... - ...........
30,879.52
C hecks and item s of exch a n ge
452.32
Cash in bank ..................................
5,080.09
T otal ....... ......................... $ 179,919.59

Capital s tock ....... ..... ...... ...........$
•
..
Surplus fund
U ndivided profits (n et) ......—
Individual d ep osits s u b je ct to
ch eck .................................... ..
D em and certifica tes of dep osit
T im e certifica tes of dep osit —
S avings d eposits ........................
—
B ills payable ............
D ep ositors’ guarantee fund ....

15,000.00
3,000.00
94.24
75,699.79
1,508.39
76,633.75
2,861.41
5,000.00
122.01

T otal ....... ......................... $ 179,919.59

State Bank of Decatur

Decatur

G.

C harter N o. 1373

F . C tf. N o. 895

Burt County
E.
W . R ossiter ............................. President
T ed C onnealy ........................ V ice-P resid en t

E dgar M . H oar
N . A . C onnealy

............................ ..Cashier
Cashier
.............. A s s ’ t.

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $ 129,872.68
B on d s, s ecu rities, ju d gm en ts
and claim s ......... — ...............
2,579.84
O ther real estate .........................
6,967.34
B an k in g hou se, furnitu re and
8,750.00
fixtures .............- ..... ........ ........
B an k ers’ con serv a tion fund ....
228.40
D ue from national and state
banks ..._...................... - .....- ....
52,289.85
C hecks and item s of exch a n ge
275.74
Cash in bank .............- .................
3,193.27
U . S. bonds in cash reserve....
150.00
T otal ............................. ......$ 204,307.12


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

L IA B IL IT IE S
Capital stock — ........................... $
Surplus fund ........................- ......
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...............................- ........
T im e certifica tes o f dep osit ....
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....

30,000.00
3,000.00
417.18
83,368.19
87,369.57
67.31
84.87

T otal ......... - ........................$ 204,307.12

BUREAU OF BANKING

Denton

115

Denton State Bank

C harter N o. 927

G.

F

Ctf

No

468

Lancaster County
G.

L.

V o ss

...................................President

W.

T.

V oss

............. .......................... Cashier

S T A T E M E N T O F JU N E 20, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verdrafts ....................................
O ther real estate
....................
B an king hou se, furniture and
fixtures ......
B an kers’ con serv a tion fund ....
Due from national and state
banks .............
C hecks and item s of exch a n ge
Cash in bank .........

T otal

90,392.99
50.56
18,400.00
4,000.00
268.17
6,464.06
120.00
1,416.21

.$ 121,111.99

Capital stock ....... ..... ..................$
Surplus fund ................................
U ndivided profits (n e t) ..........
Individual d ep osits su b ject to
ch eck .........................................
Tim e certifica tes of dep osit ....
S avings d eposits .............„....._....
C ashier’ s ch eck s outstanding..
Due to national and state
banks ...............................
D ep ositors’ gu arantee fund ....

15,000.00
1,100.00
887.06
39,956.43
61,221.91
240.29
239.20
2,400.00
67.10

T otal ................................... $ 121,111.99

Deshler State Bank

D e s h le r
Charter No. 1212

G. F. Ctf. N o. 734

Thayer County
P hilip Werner ................... ............. President
'C has. Krutz ........................ ... Vice-President

C. Krutz ............ .............. .................. Cashier
E. C. Werner ...... ..................A s s ’t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 219,206.30
431.93
O verd rafts ..............................- ......
O ther real estate ......
17,068.27
B an king h ou se, furnitu re and
fixtures .............
7,500.00
B an kers’ con serv a tion fund ....
585.39
Due from national and state
banks ...........................
19,780.74
C hecks and item s o f exch a n ge
6,855.45
'Cash in bank .................
3,304.01
T otal


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

.$ 274,732.09

Capital stock ................... .......... $
Surplus fund ............................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .................
D em and certifica tes o f d ep osit
T im e certifica tes o f dep osit ....
S avin gs d ep osits ........
Certified ch eck s .................
B ills payable .............
D ep ositors’ guarantee fund ....
Total

20,000.00
7,500.00
315.06
68,047.47
1,227.41
137,079.78
19,641.84
762.45
20,000.00
158.08

.$ 274,732.09

BUREAU OF BANKING

116

Farmers & Merchants Bank

Deshïer

G. F . Ctf. N o. 586

Charter N o. 1057
Thayer County
Rudolnh K och ................................. P resident
H.
J. S truve ..................... V ice-P resid en t

R . W . R od en b u rg ............................Cashier
P. A . U dem ........................... A s s ’ t. Cashier
E. A . R od en b u rg ................ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $
O verd rafts ................... -..................
O ther real estate ...... ....................
B an kin g hou se, furniture and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .............. ..........................
C hecks and item s of exchange
Cash in hank ...............................

274,307.26
688.28
25,850.00
9,435.00
892.75
23,082.34
1.28
8,633.51

.$ 342,890.42

Total

Capital stock ......... .........'.............$
Surplus fund ................................
U ndivided profits (n et) ...........
Individual d ep osits s u b je ct to
ch eck ........... .......... .............
D em and certifica tes of d eposit
T im e certifica tes of d eposit ....
S avings d eposits ........................
C ashier’ s ch ecks outstanding..
B ills payable .................................
D ep ositors’ guarantee fund ....

25.000.
25.000.
462.63
78,215.15
48.30
191,035.10
11,612,35
1,315.55
10. 000 .
201.34

.$ 342,890.42

Total

The State Bank of Deweese

Deweese

G. F.

Charter N o. 829

C tf. N o. 391

Clay County
C. L. Lew is .......................................President
T . P. S hively ........................V ice-P resid en t

R . A . B rig g s .........................................Cashier
J os. L . Barta .........................Ass’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 138,196.81
O verd rafts .......................................
967.93
B on d s, secu rities, ju d gm en ts
and claim s ................................
5,486.55
O ther assets ....................................
1,109.83
O ther real estate
....................
8,400.00
B an king h ou se, furnitu re and
4,795.70
fixtures .....................................
B an k ers’ con serv a tion fund ....
301.10
Due from national and state
banks .........................................
21,722.79
C hecks and item s of exchange
510.64
Cash in bank ................................
3,631.86
U . S. bonds in cash reserve....
1,000.00

Capital stock ................................$ 10,000.00
Surplus fund ....................-...........
4,000.00
U ndivided profits (net)^ ..........
106.25
Individual d ep osits su b ject to
ch eck .........................................
50,901.43
Tim e certifica tes of d ep osit
.... 109,439.55
S avings d eposits .............—3,579.12
B ills payable ,..........
8,000.00
D ep ositors’ gu arantee fund
....
96.86

T otal


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

.$ 186,123.21

T otal

.$ 186,123.21

00
00

00

BU REAU OF BANKING

DeWitt

117

Farmers & Merchants Bank

C harter N o. 643

G.

F . C tf. N o. 271

S aline C ounty
H . D am kroger .................................P resident
H . Pohlm an ............................V ice-P resid en t

J. A . Sire .......................... ................ „..Cashier
G. H . Sire ................................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 205, 669.45
O verdrafts ......... :............................
377.01
B on d s, secu rities, ju d gm en ts
and claim s ...............................
30,103.30
O ther real estate ........................
3,500.00
B an king h ou se, furniture and
fixtures .............................
7,500.00
B an kers’ con serv a tion fund ....
785.55
Due from national and state
banks .........................................
71,182.36
Cash in bank ................................
6,867.74

Capital stock ....................... ........$ 25,000.00
Surplus fund .............
10,000.00
Undivided profits (net) ..........
3,131.67
Individual d ep osits su b ject to
ch eck ............
116,910.19
Dem and certifica tes of d ep osit
146,834.06
S avings d eposits ..........................
23,934.96
D ep ositors’ guarantee fund
....
174.53

T otal

325,985.41

DeWitt

Total

325,985.41

Flome State Bank

Charter N o. 746
Saline

G. F . Ctf. N o. 330
C ounty

W . W . B arm by ................................P resident
H enry H ahn ........................ V ice-P resid en t

C. C. Shoem aker ................................Cashier
J. M . N orton ........................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 179,215.45
O verdrafts .................... ..................
571.87
B on d s, secu rities, judgm ents,
and claim s ......................
73,888.11
O ther real estate .........................
5,000.00
B an king h ou se, furniture and
fixtures ............... ,....................
6,800.00
B an k ers’ con serv a tion fund ....
674.06
Due from national and state
39,130.24
banks .........................................
Checks and item s of exchange
647.36
Cash in bank ..................................
3,424.00

Capital stock ............................... $ 20,000.00
Surplus fund ....:.................t..........
6,000.00
U ndivided profits (net) ..........
386.76
Individual d ep osits su b ject to
ch eck .........................................
105,030.67
T im e certifica tes of d eposit
.... 168,637.80
S avings d eposits .....
8,549.76
C ertified ch ecks ............................
1.00
C ashier’ s ch eck s outstanding..
577.75
D ep ositors’ guarantee fund
....
167.35

Total


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

.$ 309,351.09

Total

.$ 309,351.09

118

BU REAU O F BANKING

Dickens

First State Bank

C harter N o. 1258

G. F . C tf. N o. 780

Lincoln County
F.
C. P ielstick er .... - .................P resid ent
J . W . P ielstick er .............. V ice-P resid en t

L.

R.

Seiler ................................- ......Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$
O verd ra fts .......................................
O th er real estate .....,...................
B an kin g hou se, furnitu re and
fixtures ........................... - ........
B an kers’ con serv a tion fund ....
Due from national and state
banks .............- .....- ...................
Cash in bank .........

85,625.21
833.26
2,119.09
3,332.00
206.38
9,911.23
3,971.00

Capital stock ............................... .$
Surplus fund ....................
U ndivided profits (n e t) ......_...
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of dep osit
Tim e certifica tes o f dep osit ....
C ashier’ s ch eck s outstanding..
B ills payable ___ ____ ,..................
D ep ositors’ gu aran tee fund ....

51,180.90
1,300.00
34,524.20
1,130.83
4,000.00
67.27

T otal .................... ..............$ 105,998.17

T otal ................................... $ 105,998.17

Diller

10,000.00
3,000.00
794.97

Citizens State Bank

C harter N o.

1239

G.

F.

C tf. N o.

761

Jefferson County
A.

H.

Colm an ................................. P resid ent

J.

Sm ith D iller ...... ........................._...Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

L IA B IL IT IE S

............. 213,006.26
L oans and d iscou n ts
O v erd ra fts _____ __________ -........
204.61
B o n d s, s ecu rities, Judgm ents
and claim s ............. - .................
17,850.00
O ther assets ............... .— ..... - ......
32,000.00
B an kin g h ou se, furnitu re and
fixtures ....................
8 ,0 0 0 .0 0
B an k ers’ con serv a tion fund ....
845.49
Due from national and state
banks ......... _................... .........
57,585.30
C hecks and item s of exch a n ge
137.08
C ash in bank ....................- .........
5,254.92

Capital stock ................................$ 25,000.00
Surplus fund ......
6,000.00
U ndivided p rofits (n et) _____
3,015.18
Individual d ep osits s u b je ct to
ch eck ....................
171,718.65
T im e certifica tes of d ep osit .... 109,548.81
S avings d ep osits .............
19,360.34
C ertified ch eck s ............................
26.00
D ep ositors’ guarantee fund ....
214.68

T ota l ....................................$ 334,883.66

T ota l .................................. $ 334,883.66


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

BUREAU OF BANKING

Diller

Diller Si

C harter N o.

119

Bank

773

G.

F.

C tf.

N o.

349

Jefferson County
A.

M a yb orn .......... ............. ...... ....President
STATEM EN T (

Cashier
O. J. M ayborn .............
W . E. A n d erson ................ ....A ss’ t. Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and1 d iscou n ts ......... ..... $ 182,974.73
O v erd ra fts _____________________
400.69
B o n d s, s ecu rities, ju d gm en ts

Capital s tock ............ ..................$ 20,000.00
Surplus fund ......- ................
16,000.00
U ndivided p rofits (n et) ...........
3,015.87
Individual d ep osits s u b je ct to
ch eck .........................................
46,297.61
Dem and certifica tes o f deposit
2,000.00
Tim e certifica tes o f deposit .... 226,968.86
S avings deposits .........................
4,946.74
C ashier’ s ch ecks outstanding..
228.04
D ep ositors’ guarantee fund ....
188.98

a n d c l a i m s ....... - ..........................

7 9,5 55 .00

O ther real estate ......_.................
B an king hou se, furnitu re and
fixtures ............................._......
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank .......
U . S. bonds in cash
reserv e_

6,000.00
3,000.00
728.88
33,234.41
150.40
4,799.80
8,802.19

T otal ................... ............. $ 319,646.10

Dixon

T otal ..................................$ 319,646.10

Dixon State Bank

Charter N o. 759

•

g

. F.

C tf. N o. 340

Dixon County
E d.

O.

F lah erty ............ .............. P resid ent

R.

J.

F la h erty .................... V ice -P re sid e n t

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 146,592.13
O v erd ra fts .............
72.30
B on d s, secu rities, ju d gm en ts
and claim s ....................
18,000.00
O ther assets ......
1,674.12
3,975.00
O ther real estate ....................
B an k in g h ou se, furnitu re and
fixtures ......
8,645.00
B an k ers’ con serv a tion fund ....
506.35
Due from national and state
banks .........................................
18,115.90
C hecks and item s of exchange
92.89
Cash in bank _______
2,819.69
U . S. bonds in cash reserv e...
6,600.00
T otal ..


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

.$ 207,093.38

Capital stock ............ ..................$ 20,000.00
Surplus fund ......... ......................
1,000.00
Individual d eposits s u b je ct to
ch eck ................
66,377.36
Dem and certifica tes of
d eposit 3,400.00
Tim e certifica tes of dep osit .... 114,102.49
Saving's d eposits ......
2,080.03
D ep ositors’ guarantee fund
133.50

T otal

.$ 207,093.38

120

BU REAU O F BANKING

Dodge

Dodge State Bank

C harter N o.

1579

G.

F.

Ctf. N o.

1101

Dodge County
Ira E. A tk in son ..... ......... ............President
Em il C hudom elka ................. V ice-P resid en t

R . J. Suchan ....................................... Cashier
B. J. B orgm ey er ................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 290,431.00
O v erd ra fts .......................................
2,783.38
B on d s, secu rities, ju d gm en ts
and claim s ........................... _...
7,500.00
2,648.72
E xpenses .....................................
O ther real estate
....................
27,500.00
B an kin g h ou se, furnitu re and
fixtures .............
10, 000.00
B an kers’ con serv a tion fund ....
363.50
Due from national and state
banks ........................... - ...........
23,585.94
C hecks and item s of exchange
3,513.15
Cash in bank ..................................
4,029.01

Capital stock ................................$
Surplus fund ................................
Individual d eposits su b ject to
ch eck ..........................,.............
T im e certifica tes of d eposit ....
Due to national and state
banks .................;.......................
R e-d iscou n ts ........................... _....
B ills payable ................................
D ep ositors’ guarantee fund ....

T otal ................................... $ 372,354.70

Dodge

25,000.00
15,000.00
96,955.80
196,374.29
8 , 000.00
13,565.00
17,250.00
209.61

T otal ...................................$ 372,354.70

Farmers State Bank

C harter N o.

128

G.

F.

C tf.

N o.

52

Dodge County
H erm an H olsten ............................ President
W ill R . H rabak ................. V ice-P resid en t

R ichard

H.

H olsten

............. _......... Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 926,029.15
O verd rafts ................ -.....................
4,918.23B on d s, secu rities, ju d gm en ts
and claim s .......................:.......
5,750.00
O ther real estate ........................
40,000.00
B an kin g hou se, furnitu re and
fixtures .....................................
6 , 000.00
B an k ers’ con serv a tion fund ....
2,351.07
Due from national and state
banks ........ :....................... .
281,210.43
C hecks and item s of exchange
2,555.60
Cash in bank ................................
25,988.30
U . S. bonds in cash reserve....
12,000.00

Capital stock ........ .............. .........$ 30,000.00
Surplus fund ................................
30,000.00
U ndivided profits (n et) .....
10,477.49
Individual d ep osits s u b je ct to
ch eck .........................................
351,268.64
Dem and certifica tes of dep osit
2,000.00
T im e certifica tes of dep osit .... 867,734.43
S avings d eposits .............
13,508.34
D ep ositors’ guarantee fund ....
753.88
D epreciation reserve ................
1,060.00

T otal ................................... $1,306,802.78


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

T ota l ....... ........................... $1,306,802.78

BU REAU OF BANKING

Doniphan
Charter N o.
Hall

12t

Bank of Doniphan
129

G.

F.

Ctf.

N o.

S3

County

S. N . W olb a ch ................ ............... President
B ayard H . Paine ................ .V ice-P resid en t

C. M . Carlson ........ ............................ C ashier
B esse Gideon .........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ............... $ 225,664.72
O verd rafts ..........
117.72
B an kin g h ou se, furniture and
fixtures .....................................
7,673.00
B an kers’ con serv a tion fund ....
611.07
Due from national and state
banks .....................
45,621.65
Cash in bank ................................
6,316.70
U . S. bonds in cash reserve....
4,100.00

Capital stock ............................... $ 20,000.00
Surplus fund .................................
7,500.00
U ndivided profits (n et) ..........
4,026.64
Individual d eposits su b ject to
ch eck .........................................
103,557.33
Dem and certifica tes of d eposit
716.37
T im e certifica tes o f d eposit
.... 147,107.96
S avings d ep osits ..........................
5,800.91
D ep ositors’ guarantee fund
....
178.65
1,217.00
D epreciation reserve .................

T otal ................................. $ 290,104.86

T otal ................................. $ 290,104.86

Doniphan
Charter N o.

Commercial Exchange Bank
1146

G. F . C tf. N o. 668

Hall County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $ 111,848.70
O verd rafts .......................................
104.64_
B onds, secu rities, ju d gm en ts
and claim s ...............................
682.22
O ther assets ................................
5,735.86
O ther real estate ........................
18,631.85
B an kin g h ou se, furniture and
fixtures .....................................
7,500.00
B an kers’ con serv a tion fund ....
526.39
Due from national and state
banks .........................................
2,217.83
Cash in bank ................................
921.77
Total


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

.$ 148,169.26

Capital stock ................................$ 15,000.00
Individual d eposits su b ject to
ch eck .........................................
18,753.91
Tim e certifica tes of dep osit .... 100,966.88
S avings d ep osits
.............
1,127.48
C ashier’ s ch eck s outstanding..
101.15
Due to national and state
banks .........................................
3,100.00
B ills payable ................................
9,000.00
D ep ositors’ guarantee fund ....
114.14
O ther liabilities ......................
5.70
Total

.$ 148,169.26

122

BU REAU O F BANKING

Dorchester

Bank of Dorchester

C harter N o. 1138

G.

F . C tf. N o. 660

Saline County
J.
E.

W . B yers .............. ..................P resid en t
L . Parker .................„..V ice-P res id en t

E.

H.

S tech

................. ............. ....... Cashier

S T A T E M E N T O F TUNE 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 138,639.25
O v erd rafts .................... - .................
275.39
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
32,888.15
O ther real estate .........................
17,187.24
B an king h ou se, furnitu re and
fixtures .....................................
3,500.00
B an kers’ con serv a tion fund ....
468.52
Due from national and state
banks ........................ ............ .
34,149.33
C hecks and item s of exch a n ge
77.90
Cash in bank .................... _.........
6,250.25
U.
S. bonds in cash reserv e_
7,200.00

Capital stock ................. .............. $ 25,000.00
Surplus fund .... ...................... _...
7,000.00
398.26
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ....................
123,609.42
Dem and certifica tes o f dep osit
81,019.13
3,494.05
C ertified ch eck s ...1................
D ep ositors’ gu aran tee fund
....
115.17

T ota l ....................................$ 240,636.03

T otal ...................................$ 240,636.03

Dorchester

Citizens State Bank

C harter N o . 961

G. F .

C tf. N o.

502

Saline County
F.
F.

A.
R.

G u ggenm os ... ..................P resid en t
M ares ..................... V ice-P resid en t

R alph

D oty

.............. ............................ Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ............... $ 311,185.78
O v erd ra fts ..........
65.28
B on d s, secu rities, ju d gm en ts
233,936.77
and claim s ....................
B an kin g hou se, furnitu re and
fixtures ........
4,500.00
B an k ers’ con serv a tion fund ....
1,181.99
Due from national and state
banks .........
76,111.23
C hecks and item s o f exch a n ge
7,433.97
C ash in bank ______________ L......
7,536.30
U.
S. bonds in cash reserve....
14,950.00
T otal


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

.$ 656,901.32

Capital s tock ................................$ 25.000.
26.000.
Surplus fund ................................
U ndivided p rofits (n e t) ..........
1,926.87
Individual d ep osits s u b je ct to
234,282.68
ch eck .................................. ......
T im e certifica tes of d eposit .... 362,161.70
7,168.98
C ashier’ s ch eck s outstanding..
361.09
D ep ositors’ guarantee fund ....

T otal

.$ 656,901.32

00
00

125

BU REAU O F BANKING

Douglas
Charter N o.

Bank of Douglas
131

G.

F.

C tf. N o.

54

Otoe County
W m . M arshall ................ .............. P resid ent
A . H . H ostetter ................ .V ice-P resid en t

Dean M arshall .................................... Cashier

S T A T E M E N T O F JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ....... ......... $ 152,729.27
O verd ra fts .............
472.88
O ther real estate ......
13,037.32
B an king h ou se, furniture and
6,600.00
fixtures .......................- ...........
B an kers’ con serv a tion fund __
512.44
Due from national and state
banks .........................................
12,526.21
C hecks and item s of exch a n ge
16.62
Cash in bank ...........................
5,109.22
U . S. bonds in cash reserve....
4,000.00

Capital stock ............ ..................$
Surplus fund ......
U ndivided p rofits (n et) ..............
Individual d ep osits s u b je ct to
ch eck
..........................
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
Due to national and state
banks
..........................
R e-d iscou n ts ............. - ................ —
D ep ositors’ gu arantee fund ....

T otal ................................... $ 195,003.96

Douglas

20,000.00
10,000.00
723.62
68,875.41
69,554.39
296.07
6,361.42
19,086.20
106.85
195,003.96

T otal

Farmers State Bank

C harter N o . 1479

G. F . C tf. N o. 1001

Otoe County
S. A . W a lk er ...................................P resid en t
John C. F arrell ......... - ......... V ice-P resid en t

M.

W.

Dunlap ................................... C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ............... $
O verd ra fts ....................- .................
O ther assets ....................- ...........
B an kin g h ou se, furniture and
fixtures .................- ..................
B an k ers’ con serv a tion fund —
Due from national and state
banks ...........................
C hecks and item s o f exchange

73,886.81
135.85
174.65
10 , 000.00

186.75

Cash in bank ________________

1,635.06
100.00


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

20,000.00
48,349.58
41,481.94
5,493.27
58.58

29,212.77
51.48

U . S. bonds in cash reserv e—
T otal

Capital stock ................................ $
Individual d ep osits s u b je ct to
ch eck .... ..... ...................... .....
Tim e certifica tes of dep osit ....
S avings d ep osits ................... .
D ep ositors’ guarantee fund ....

.$ 115,383.37

T otal

.$ 115,383.37

124

BU REAU O F BANKING

DuBois

State Bank of DuBois

C harter N o. 132
Pawnee

G.

F. Ctf. N o. 55

C ounty

H . S. Farwell ................................... President
F red R ohlm eier .....................V ice-P resid en t

L . C. Farw ell .......................................Cashier
S. I. R u ssell ........................A s s ’ t. Cashier
M ax Church ......... .............. A s s ’ t. Cashier

S T A T E M E N T O! F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 186,998.83
Capital stock .....................■........ 25,000.00
O verdrafts .......................................
74.81
Surplus fund ..................................
5,000.00
B o n d s ,' secu rities, ju d gm en ts
U ndivided profits (n et) ..........
1,840.34
and claim s ..........................
89,954.50
Individual d eposits su b ject to
B an king h ou se, furniture and
132,471.26
ch eck .....................................
fixtures ...........................
5,000.00
Dem and certifica tes of dep osit
170,983.06
B an k ers’ con serv a tion fund ....
691.90
D ep ositors’ guarantee fund
....
207.21
Due from national and state
banks ..........................................
45,591.01
C hecks and item s
of exch a n ge
605.11
4,185.71.
Cash in bank ...............................
U . S. bonds in cash reserve....
2,400.00
T otal ................................... $ 335,501.87

Dunbar
C harter N o.
O toe

T otal ................................... $ 335,501.87

Farmers Bank
996

G

F

Ctf-

N o . 534

C ounty

A . W eiler .......... ......................... ......President
W . H. B ricknell ................ .V ice-P resid en t

Carl A . W eiler ....................................Cashier
L . I. K iersey .........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discou n ts ............... $
O v erd ra fts ......................'.................
B an king h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ................................
U . S. bonds in cash reserve....
Total


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

324,420.87
148.54
1.500.00
668.13
62,145.94
1,360.53
2,715.56
6 . 100.00

.$ 399,059.57

Capital stock ................................$ 15,000.00
20 , 000.00
Surplus fund ....:......
U ndivided profits (net) ..........
4,741.60
Individual d eposits su b ject to
ch eck .............
152,877.73
Tim e certifica tes of d eposit
.... 171,637.74
S avings d ep osits ........................
3,949.51
C ashier’ s ch eck s outstanding..
30,648.27
D ep ositors’ guarantee fund
....
204.72
T otal .

.$ 399,059.57

125

BU REAU OF BANKING

Dunbar State Bank

Dunbar
C harter N o.

G.

133

F.

C tf.

N o.

56

O toe C ounty
Operated b y Guarantee Fund C om m ission
S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 311,111.32
O v erd ra fts ..............................
2,062.24
B on d s, secu rities, ju d gm en ts
and claim s .....-..........................
2,894.96
1,915.CO
O th er assets ...................................
O ther real estate ........................
17,709.56
B an king h ou se, furnitu re and
fixtures ......,..............................
5,000.00
B an kers’ con serv a tion fund ....
890.10
Due from national and state
banks .......
17,458.26
Cash in bank .................
1,021.82

Capital s tock ................................$ 25,000.00
10,883.95
Surplus fund .................................
Individual d eposits su b ject to
83,309.38
ch eck ......... - .......i.....................
208,114.29
T im e certificates of d ep osit ....
7,099.50
C ashier’ s ch ecks outstanding..
7 ,SCO.00
Bills payable .... ,................ r '........
256.14
D ep ositors’ guarantee fund ....
17,900.00
O ther liabilities ......■_....................

T otal ................................... $ 360,063.26

T otal ................................... $ 360,063.26

Duncan
Charter N o.

Duncan

tate Bank
G. F.

1093

Ctf. N o. 617

Platte County
G. H . Gray „...................................President
H erm an E rn st ........................V ice-P resid en t

A.

J.

Lindley

....................... ............. Cashier

S T A T E M E N T < F JU N E 30, 1927
R ESO U R CE S
Loans and d iscou n ts ............... $ 134,639.08
O verd rafts ........................
14.24
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
56,390.00
O ther real estate ........................
4,000.00
B an king h ou se, furnitu re and
fixtures .....................................
3,100.00
B an k ers’ con serv a tion
fund ....
548.31
Due from national and state
banks .........................................
42,276.32
Cash in bank .................................
7,222.04
U . S. bonds in cash reserve....
6,000.00
T ota l ....... ........................... $ 254,189.99


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

L IA B IL IT IE S
Capital stock ............................... $
Surplus fund ................................
U n divided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

10,000.00
9,000.00
2,117.19
63,243.39
940.00
168,754.48
134.93

T otal ........................ .......... $ 254,189.99

126

BU REAU O F BANKING

Dunning
C harter N o.

State Bank of Dunning
1500

B laine

G.

F . C tf. N o.

1022

C ounty

C. M ackey ...........................................P resid ent
W m . M ackey
................V ice-P resid en t

Wm.

M a ck ey

......................................Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ..............$
O verd rafts ......
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
O ther real estate .........................
B an king hou se, furnitu re and
fixtures .................
B an kers’ con serv a tion fund ....
Due from national and state
banks ....................
C hecks and item s of exchange
Cash in bank ................................
U . S. bonds in cash reserve....

71,987.88
635.73
12,946.52
1,516.27
7,500.00
235.42

Capital stock .................... ...........$
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes o f dep osit _
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

51,646.76
41,588.75
347.17
56.01

10,696.11
220.07
2,917.44
400.00

T otal ..................................$ 109,055.44

Dwight

15,000.00
348.14
68.61

T otal ................................... $ 109,055.44

Dwight i

Bank

Charter N o. 774

G.

F . C tf. N o. 350

Butler County
F.

J. N ova k .................

P resident
STATEM ENT (

G.

J.

....................................... Cashier

T om es

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 222,881.11
O v erd ra fts ......
557.69
B on d s, s ecu rities, ju d gm en ts
and claim s ......................
24,939.80
O ther real esta te ........................
10,000.00
B an kin g hou se, furnitu re and
fixtures .....................................
6,500.00
B an k ers’ con serv a tion fund ....
646.33
Due from national and state
banks .............
95,986.19
C hecks and item s of exch a n ge
14.00
Cash in bank .....................,___ __
3,392.42
U . S. bonds in cash reserve....
6,100.00

Capital s tock .................................$ 20,000.00
Surplus fund ......
5,500.00
973.63
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .............
106,111.67
T im e certifica tes of dep osit _
227,111.08
S avings d eposits .............
7,031.07
C ashier’ s ch eck s outstanding..
4,088.61
D ep ositors’ gu arantee fund ....
201.48

T otal ........................... ...... .$ 371,017.54

T otal ................................... $ 371,017.54


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

BU REAU O F BANKING

Eagle

127

Bank of Eagle

C harter N o.
C ass

G.

839

F.

C tf. N o.

398

C ounty

H.
K . Frantz ...
„...President
H enry Snolte .........................V ice-P resid en t

A . M . Longm an ....................- ............. C ashier

STATEM EN T OF J U N E 30. 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts .....................218,330.04
O verd rafts ......
656.55
O ther assets ......
3,121.76
O ther real estate ........
50,486.27
B an kin g hou se, furniture and
fixtures ......- .............................
10, 000.00
B ankers con serv a tion fund —
732.17
Due from national and state
banks ......... .........._...................
13,897.42
Checks and item s of exch an ge
422.71
Cash in bank ....................
3,366.14
O ther cash resou rces ........
1,606.19
T ota l ................................... $ 302,619.25

Eagle

Capital s to c k ........................... -...$
Surplus fund .............
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
T im e certifica tes of dep osit ....
S avings d ep osits ............. - .....- ....
C ashier’ s ch ecks outstanding....
Bills payable .............
D ep ositors’ guarantee fund ....
D epreciation a ccou n t ....— .........

20,000.00
5,000.00
14.66
105,557.18
144,028.76
5,806.74
6,227.46
15,000.00
188.79
795.66

T otal ,.................................. $ 302,619.25

Farmers State Bank

C harter No. 1464

G. F. C tf. No. 986

Cass County
Operated by Guarantee Fund Commission
S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ......- ........$
O verd rafts .......................................
B ond s, secu rities, ju d gm en ts
and claim s ......- ........................
O ther assets .................
O ther real estate ........................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exch a n ge
Cash in bank ................— .........

50,764.61
33.03

.$

67,103.95

Total


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

1,300.54
3,580.75
3,455.50
7,500.00
125.20

Capital stock ................................$
Individual d ep osits su b ject to
ch eck ........................- ............ .
Dem and certifica tes of d ep osit
T im e certifica tes o f dep osit ....
S avings d ep osits .........................
C ashier’ s ch eck s outstanding..
B ills payable ..................................
D ep ositors’ guarantee fund ....

21,151.75
2,000.00
26,734.34
926.76
52.14
1,200.00
38.96

15,000.00

.$

67,103.95

3.70
46.75
293.87
T otal

128

BU REAU O F BANKING

Eddyville
Charter N o.

Eddyville State Bank
737

Dawson
L.
O.

E.
E.

G.

F.

Ctf.

N o.

324

County

B ranson ........................... „..P resid en t
T h om p son ................V ice-P resid en t

B.

R.

H edglin

................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 170,283.54
O verd ra fts .......................................
326.62
B onds, secu rities, jud gm ents
3,943.34
and claim s ...............................
O ther assets ...................................
619.38
O ther real estate ..................
5,910.30
B anking h ou se, furniture and
10 , 000.00
fixtures .....................................
B an kers’ con serv a tion fund ....
509.81
Due from national and state
banks .........................................
6,986.63
Checks and item s of exchange
765.77
Cash in bank ..................................
3,264.00
U . S. bonds in cash reserve....
5,695.00
O ther cash resources
........
19.16

Capital stock ...............................$
Surplus fund ..................................
Individual d eposits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
S avings d eposits
......................
R e-d iscou n ts ................................ •
B ills payable .........................
D ep ositors’ guarantee fund ....

208,323.55

Total

Edgar

Total

25,000.00
3,000.00
64,288.51
84,793.83
1,414.31
5,000.00
24,693.00
133.90

.$ 208,323.55

State Bank of Edgar

Charter N o.

136

G.

F.

Ctf.

N o.

57

Clay County
A . H . W arren ........ ...........................P resident

E.

W.

Clack

.......................................Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S
L oans and d iscou n ts ......... ......$
O verd rafts .......................................
B an k in g h ou se, furnitu re and
fixtures ....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .......................... ..............
C hecks and item s of exchange
Cash in bank ........................ .........
Total


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

L IA B IL IT IE S
279,385.64
254.30
12,500.00
800.85
45,414.44
2,295.80
6,271.85
346.922. f

Capital stock ................................$ 25,000.00
Surplus fund ..........................
2,000.00
U ndivided profits (n et) ..........
901.76
Individual d eposits su b ject to
ch eck .........................................
110,179.53
Dem and certifica tes of d ep osit
201,287.14
S avings d eposits .......
7,355.43
D ep ositors’ guarantee fund ....
199.02
Total

.$ 346,922.88

BUREAU OF BANKING

Edgar

129

Clay County State Bank

C harter N o.

724

G.

F . C tf. N o.

318

Clay County
C.

A . V oorh ees .............................President

F A . V oorh ees ............................... ....Cashier
C.
S. V oorh ees ............. -...A ss’ t. Cashier
E.
R . V oorh ees ................. .A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927

RESOURCES
L oa n s and d iscou n ts

..........

$ 233,344.22
Overdrafts ...............................
774.22
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
28,500.00
O ther real estate ........................
800.00
B an king h ou se, furniture and
fixtures .....................................
8 , 000.00
B an kers’ con serv a tion fund ....
759.71
Due from national and state
banks .........................................
57,037.54
C hecks and item s of exch a n ge
2,545.96
Cash in bank ................................
6,247.27

L IA B IL IT IE S
Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ............

Individual deposits subject to
ch eck

o f d ep osit ......
D ep ositors’ guarantee fund ....

T otal ................................... $ 338,008.92

Edison
C harter N o.

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

Time and demand certificates

25,000.00
5 , 000.00
875.75
122,094.74
184,822.55
215.88

T otal ................................... $ 338,008.92

Farmers & Merchants Bank
1418

F urnas

G.

F.

C tf.

N o.

940

C ounty

W . H . W illiam s ............................President
Ben O sborn ......................... V ice-P resid en t

F.

G.

B osw ell

...................A s s ’ t.

Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $ 231,328.75
O v erd ra fts ....
585.86
B on d s, s ecu rities, ju d gm en ts
and claim s .............
2,553.35
O th er real estate ........................
18,709.00
B an k in g h ou se, furniture and
fixtures .....................................
8,000.00
B an k ers’ con serv a tion
fund ....
728.67
Due from national and state
banks .....................
18,771.32
C hecks and item s of exchange
,751.93
Cash in bank ..................
5,502.71
U . S. bonds in cash reserve....
8,200.00
O th er ca sh resou rces ......
6.55
T otal ................................... $ 295,138.14

6


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

L IA B IL IT IE S
Capital stock ................................. $ 20 , 000.00
U ndivided profits (n et) ..............
1,850.54
Individual d ep osits s u b je ct to
ch eck .........................................
87,482.73
Dem and certifica tes of deposit
601.00
T im e certifica tes o f deposit ....
182,857.92
S avings deposits ...............................
1,904.38
C ashier’ s ch eck s outstanding..
310.80
D ep ositors’ guarantee fund ....
130.77

T otal ................................... $ 295,138.14

130

BU REAU OF BANKING

Elba

Elba State Bank

C harter No*

557

Howard

G.

F.

C tf.

N o.

211

County

C. C. H ansen ................................P resident
T . J. H ansen ........................ V ice-P resid en t

Svend Sorensen

a.............. ........... ........Cashier

S T A T E M E N T O F TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 205,416.68
342.59
O v erd ra fts ........... ,.............
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
3,270.30
3,500.00
O ther real estate .............. -.........
B an k in g h ou se, furniture and
fixtures ..............
3,000.00
B an k ers’ con serv a tion fund ....
499.27
Due from national and state
banks .........................................
8,880.35
C hecks and item s of exchange
180.74
Cash in bank ......,.........................
1,960.29
U . S. bonds in cash reserve....
1,000.00

Capital stock ................................$ 10,000.00
Surpuls fund .........
7,500.00
1,759.33
U ndivided p rofits (n et) ........-...
Individual d ep osits s u b je ct to
ch eck .................................... .
45,541.77
Tim e certifica tes of d ep osit
.... 160,428.86
2,565.52
S avings d ep osits ..........................
C ashier’ s ch ecks outstanding..
113.61
D ep ositors’ guarantee fund
....
141.13

T ota l ................................... $ 228,050.22

T otal .......... .........................$ 228,050.22

Eldorado
C harter N o.

. Eldorado State Bank
1189

G.

F.

C tf,

N o.

711

Clay County
H ora ce Iliff .......................................P resid en t
Geo.' E ngland .........................V ice-P resid en t

E.

M.

B en gtson

................................ Cashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O v erd ra fts ......- ...............................
O ther real estate ........................
B an k in g h ou se, furnitu re and
fixtures ........................... - ........
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........
Cash in bank ......
U . S. bonds in cash reserve....

52,737.38
531.97
1,325.00

.$

73,763.43

T otal


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

4,500.00
134.85
7,604.73
1,129.50
5,800.00

Capital stock ................................$
Surplus fund ................................
U ndivided p rofits (net) ..........
Individual d ep osits s u b je ct to
ch eck ...................
T im e certifica tes of d eposit ....
S avings d eposits ........................
D ep ositors’ guarantee fund ....

26,400.80
21,598.68
11,871.07
39.74

.$

73,763.43

Total

10,000.00
2,500.00
1,353.14

BU REAU OF BANKING

Elgin

131

Elgin State Bank

C harter N o.

139

G.

F _ Ctf> No< 5g

Antelope County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and discou n ts .....:..........$ 414,033.79
O v erd ra fts ...................
514.07
B on d s, secu rities, ju d gm en ts
and claim s ....................
10,299.76
O th er assets ....................
142,847.45
O th er real estate .....
208,962.75
B an kin g hou se, furnitu re and
24,900.00
fixtures .....................................
B an k ers’ con serv a tion fund ....
1,893.00
D ue from national and state
banks ............ ............... ;...........
3,251.79
1,925.86
.Cash in bank ............,....................

Capital stock ............................... $ 100,000.00
Surplus fund .................
12,743.99
Individual d ep osits s u b je ct to
ch eck ............................... :........
81,970.77
Dem and certifica tes of d ep osit
26,039.91
Tim e certifica tes of d eposit
.... 417,096.28
Due to national and state
banks .................
870.90
B ills payable ..................................
153,463.85
D ep ositors’ guarantee fund
....
405.69
16,037.08
O ther liabilities ...........

T otal

.$ 808,628.47

Elgin

T otal

.$ 808,628.47

Farmers & Merchants Bank

C harter N o.

1530

G.

F.

C tf.

N o.

1052

Antelope County
C. B . K inn ey ................................... President
W m . A . N yrop .....................V ice-P resid en t

N . S. Strom ........... ............................. C ashier
R oss M artin .........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ........... ;....$ 334,854.17
O v erd ra fts .......................................
945.38
B o n d s, secu rities, ju d gm en ts
14,918.24
and claim s ..........
O th er real estate .........................
16,217.73
B an k in g h ou se, furnitu re and
fixtures .....................................
23,399.96
B an k ers’ con serv a tion fund ....
769.48
D u e from national and state
banks ....„ ................
96,970.45
C hecks and item s o f exch a n ge
910.89
C ash in bank ..................................
2,960.30
U . S. bonds in ca sh reserve....
2,800.00

Capital stock ................................$ 50,000.00
Surplus fund ..................................
2,000.00
U ndivided profits (n et) .......
9,249.29
Individual d ep osits su b ject to
ch eck .........................................
148,125.31
Dem and certifica tes o f dep osit
158.15
T im e certifica tes of d eposit
.... 284,929.29
D ep ositors’ guarantee fund
....
284.56

T otal ................................... $ 494,746.60


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

T otal

..$ 494,746.60

132

BUREAU OF BANKING

EH

Your Bank of Eli

Charter N o.

1389

G.

F.

C tf.

N o. 911

Cherry County
Chas. Larsen ...............................„...President
A lice D erry ............................V ice-P resid en t

Geo.

W.

D erry .................................. Cashier

S T A T E M E N T O F JU N E 30, 1927

L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s .............- .................
O ther real estate ........................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of
exch a n ge
Cash in bank ..................................
U . S. bonds in cash
reserve....
T ota l ................................... $

Elk Creek
C harter N o.

67,714.27
47.56
500.00
3,668.93
3,850.00
122.27
5,161.35
37.00
1,866.94
750.00

Capital s tock ......... ......................$
Surplus fund ..................................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .......
Dem and certifica tes o f dep osit
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
Due to national and state
banks ............... ,........................
B ills payable ................................
D ep ositors’ gu arantee fund ....

83,718.32

T ota l ................................... $

10,000.
2,000.
682.

0 8 8

L IA B IL IT IE S

RESOURCES

39,760.92
1,000.00
17,190.37
200.00
838.40
12,000.00
46.13
83,718.32

State Bank
141

Johnson

G.

F.

C tf.

N o.

59

County

R A . K ovanda ............................... P resid ent
A . R . K ovanda ..._................ V ice-P resid en t

C.

G.

......................... Cashier

Kent

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ................................
B an kin g h ou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks ..._.........
C hecks and item s of exchange
Cash in bank ......
T otal


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

70,454.16
8.94
65,279.84
5,500.00
472.89

Capital stock ................................$
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ................................
T im e certifica tes of d ep osit ....
D ep o s ito rs ’ guarantee fund ....

15,000.00
3,000.00
2,305.45
88,865.05
71,166.76
208.22

34,944.04
14.30
3,871.31

.$ 180,545.48

Total

.$ 180,545.48

BUREAU OF BANKING

Elkhorn
Charter N o.

133

State Bank
1075

G

F

Ct{

No

m

Douglas County
S. M . W y a tt ....... ............... ...........P resident
G. A . G ibbons — ....................V ice-P resid en t
Stella M . W y a tt ................. V ice-P resid en t

E.
E.

A
Schurm an
Saeger ...... ......

........... ....C ashier
.A s s ’ t. Cashier

ST ATEM EN T OF JUNE 30, 1927
RESOURCES

L IABILITIES

L oans and d iscou n ts ................$ 372,800.02
O verd ra fts ..........
638.08
B on d s, secu rities, ju d gm en ts
and claim s ............ ...... ...........
68,866.33
O ther real estate
.
11,000.00
B an king hou se, furnitu re and
fixtures ....
18,100.00
B an kers’ con serv a tion fund ....
1,293.89
Due from national and state
banks .........................................
137,198.97
C hecks and item s of exchange
437.29
Cash in bank ............ ............. .....
8,390.49

Capital stock ....... ........................$ 40,000.00
Surplus fund ....................
8,000.00
2,054.03
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
173,891.91
Tim e certifica tes of dep osit _
319,816.55
S avings d eposits ........................
13,590.44
C ashier’ s ch eck s outstanding..
1,240.00
Due to national and state
banks .........................................
59,801.27
D ep ositors’ guarantee fund ....
330.87

T otal

618,725.07

Elkhorn
C harter N o.

Farmers

T otal ................................... $ 618,725.07

ate Bank

1266

G.

F . C tf. N o. 788

Douglas County
W . T . W ald ron .............................. P resid ent
L . D . S palding ..................... V ice-P resid en t
STATEM ENT (

W . E . M oor ............. .................... ....... Cashier
J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............._.$
O verd rafts .......................................
B o n d s, secu rities, ju d gm en ts
and claim s .........
B an king h ou se, furnitu re and
fixtures .................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exchange
Cash in bank ......
T otal


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

79,116.69
270.24
321.02
6,100.00
196.20
30,106.61
316.75
2,841.97

..$ 119,269.48

Capital stock ................................$
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck _.........................................
T im e certifica tes of d eposit _
S avings d ep osits ....................
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

T otal

15,000.00
2,000.00
251.01
52,632.38
44,365.27
2,338.06
2,624.51
58.25

..$ 119,269.48

134

BU REAU O F BANKING

Ellis

Ellis State Bank
G. F. C tf. N o. 504

C harter N o. 964

Gage County
A . C. P efferm an ............................P resid ent
J. E . P ierce ........................V ice-P resid en t

Chas.

B onham

........................- ......... Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 45,772.04
O verd rafts ................... ...... - ..........
93.29
B on d s, s ecu rities, j u d g m e n t s
and claim s ................................
500.00
1,779.95
O ther real estate ......- .................
B an kin g hou se, furnitu re and
fixtures ................................
1,666.00
B an kers’ con serv a tion fund ....
191.62
Due from national and state
banks ............................
7,279.68
C hecks and item s of
exchange
125.25
Cash in bank ......................
1,732.37
U . S. bonds in ca sh
reserve....
1,250.00
T otal ....... ............ ............ $

Elm Creek
C harter N o.

60,390.20

Capital stock .
Surplus fund
U ndivided profits (n et)
Individual d eposits s u b je ct to
ch eck ........ ,.......... ....................
T im e certificates of d ep osit ....
S avings deposits ........................
D ep ositors’ guarantee fund ....

..$

Total

5.000.
5.000.
384.64
21,895.41
27,759.18
307.76
43.21

60,390.2ft

Farmers & Merchants Bank

143

G.

F.

C tf.

N o. 60

Buffalo County
..President

R . A . St. John ...............

A . E. St. John ................................... Cashier
H.
F. St. John .................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
' R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 211,122.85
O verd rafts ............................... - ......
98.97
B an king hou se, furniture and
fixtures .....................................
11,725.00
B an kers’ con serv a tion fund _
614.94
Due from national and state
banks .........................................
34,169.68
C hecks and item s o f exch a n ge
551.10
Cash in bank ............................
3,643.26
U . S. bonds in cash reserve....
4,950.00

Capital stock ......................... .......$ 25,000.00'
Surplus fund ................................
5,000.00
U ndivided p rofits (n et) ..........
144.35
Individual d ep osits s u b je ct to
ch eck ......................................
73,973.85
T im e certifica tes of dep osit .... 152,908.30
S avings d ep osits ..........................
9,266.35
C ashier’ s ch eck s outstanding..
417.51
D ep ositors’ guarantee fund ....
165.44

T otal .............- .................... $ 266,875.80

T otal ........... ........................ $ 266,875.80-


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

00
00'

BUREAU OF BANKING

Elm Creek

135

City Bank

C harter N o. 969

G . F . C tf. N o. S09

Buffalo County
C. G. B liss ..
Earl E. B liss

............P resid ent
...V ice-P residen t

L . M . B liss ........................................... Cashier
R . A . B liss ............................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ......... ..... $ 188,339.00
O verd rafts ....................
330.67
B onds, .secu rities, ju d gm en ts
and claim s ........................... ....
7,327.06
O ther real estate ..........................
24,283.75
B an king hou se, furnitu re and
fixtures .....................................
10,000.00
B an kers’ con serv a tion fund ....
686.07
Due from national and state
banks .........................................
41,371.48
C hecks and item s of exchange
349.25
Cash in bank ..........
5,662.20
U . S. bonds in cash reserve....
6,000.00

Capital stock ................................. $ 20,000.00
Surplus fund .................
5,000.00
U ndivided profits (n et) ..........
365.48
Individual d ep osits s u b je ct to
73,001.49
ch eck .................
Dem and certifica tes of d eposit
1,020.86
T im e certifica tes o f d eposit _
167,243.91
S avings deposits ___
17,523.28
D ep ositors’ guarantee fund ....
-194.46

T ota l ........ .— .................... $ 284,349.48

Elmwood

T otal .................................. $ 284,349.48

Elmwood State Bank

C harter N o. 1221

G. F . C tf. N o. 743

Cass County
H.

A.

M cL en on

................... .......P resid en t

W . N . M cL en on .................... .......... Cashier
K arl A . Schneider ------ -----A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 180,589.86
128.12
O v erd ra fts .......................................
B on d s, secu rities, ju d gm en ts
and claim s __________
959.64
O ther assets ................................
856.60
O ther real estate ........................
4,925.00
B an kin g h ou se, furnitu re and
fixtures .................
7,500.00
B an k ers’ con serv a tion fund ....
553.87
Due from national and state
banks .........................................
18,890.97
Checks and item s o f exchange
516.40
Cash in bank ................................
4,771.06
U . S. bonds in cash reserve....
2,600.00

Capital s tock ................................$ 25,000.00
Surplus fund ..................................
4,000.00
165.28
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck .................... .,.
64,585.16
T im e certifica tes of dep osit
.... 102,551.93
S avings d eposits ........................
9,889.32
C ashier’ s ch ecks outstanding..
963.85
B ills payable ................................
15,000.00
D ep ositors’ guarantee fund
....
135.98

T otal


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

222,291.52

T otal

.$ 222,291.52

BUREAU OF BANKING

136

Elmwood
C harter N o.

American Exchange Bank
145

■>
- -* ~r
G. F . C tf. N o. 61:

Cass County
Jno. P. Cobb ......_.......- .................P resid ent
B . I. C lem ents .....................V ice-P resid en t

.Cashier

Guy L . Clem ents

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ....... ........$ 352,610.42
429.98
O v erd ra fts ..................................
B on d s, secu rities, ju d gm en ts
7.256.25
and claim s ------------ ---- --------15,000.00
O ther real estate ........................
B an king h ou se, furnitu re and
7,600.00
fixtures ......- ............. ...............
1,070.56
B an kers’ con serv a tion fund ....
Due from national and state
57,061.95
banks .........................................
84.16
C hecks and item s of exchange
7.907.26
Cash in bank .............- .................
11,348.76
U . S. bonds in cash reserve....

Capital stock .—.............. - ...........$ 25,000.00
Surplus fund ......- ..........................
10,000.00
U ndivided p rofits (n et) ..........
1,573.52
Individual d ep osits s u b je ct to
ch eck .................... - ................ — 108,155.57
Tim e certifica tes o f d ep osit .... 305,903.45
S avings d ep osits .........................
9,190.39
C ashier’ s ch eck s outstanding..
255.06
D ep ositors’ guarantee fund ....
291.35

T otal ........................... - .... $ 460,369.34

T otal ................................. $ 460,369.34

Elsie

Commercial State Bank

C harter N o. 975
Perkins

G. F . C tf. N o. 515
County

S. J. O ’ C onnor ..........- ................... P resid en t

S.

M.

O ’ C onnor .....................

..Cashier

S T A T E M E N T O F JU N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ......- ........$ 279,648.46
O verd rafts .................................. —
298.15
B an kin g h ou se, furniture and
fixtures ......... - ..........................
2,000.00
B an kers’ con serv a tion fund ....
431.32
Due from national and state
ban ks .............- ............ - ...........
44,919.03
Cash in bank ......... - .........- ..... ......
790.47

Capital s tock ................................. $ 20,000.00
Surplus fund ..................................
5,000.00
U ndivided profits (n et) ..........
20,714.57
Individual d ep osits su b ject to
ch eck .....................................
166,182.46
Dem and certifica tes of d ep osit
19,065.07
T im e certifica tes of dep osit .... 96,887.89
D ep ositors’ guarantee fund
....
237.44

T ota l —


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

..$ 328,087.43

T otal

.$ 328,087.43

13

BUREAU OF BANKING

Equity S

Elsie
Charter N o.

Bank
G.

1461

Perkins

C tf.

N o.

983

County

Joseph O sier .... ........ - .................... President
Ola H anson ....... ............ - ......V ice-P resid en t
STATEM ENT (

J. M . B aker .............
G. T . T u ck er ______ ____ _...Ass’ t.

LIABILITIES

Loans and d iscou n ts ......_........$ 201,307.70
O verd rafts ............. - ................... —
342.41
O ther real estate .................... - ....
8,209.97
B an king h ou se, furnitu re and
3,939.10
fixtures .................... - ........ ......
B an kers’ con serv a tion fund __
367.14
Due from national and state
banks ....................
13,312.04
C hecks and item s of exchange
850.21
3,047.11
C ash in bank ...............
T otal ......................... ..........$ 231,375.68

Elwood

Cashier
Cashier

JU N E 30, 1927

R ESO U R CE S

-Charter N o.

F.

Capital stock ................................$
Surplus fund ........
U ndivided p rofits (n et) _____
Individual d ep osits su b je ct to
ch eck ............ - ................- ........
T im e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
B ills payable ................... - ..........
D ep ositors’ gu aran tee fund —

15,000.00
3,000.00
1,244.36
99,401.84
95,038.38
71.44
17,500.00
119.66

T ota l .............. ..... - .............$ 231,375.68

The Home Bank
G. F .

1116

C tf. N o. 639

Gosper County
D B
Frank

Gano ............._........................P resid en t
E land .........................V ice-P resid en t

W . L . Tilden
C. A . Y eom an

.... ...... ....Cashier
.A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......- ........!| 181,444.60
83.24
O verd rafts ................- ................—
14.946.00
O ther real estate ................B an king h ou se, furnitu re and
12.500.00
fixtures .............- ------- ----------525.05
B an kers’ con serv a tion fund —
Due from national and state
24,167.23
banks — .............................512.07
C hecks and item s of exchange
4,512.97
Cash in bank ....... ..... ....................

Capital stock .................... ...........$ 25,000.00
Surplus fund ............................
5,000.00
U ndivided p rofits (n et) ..........
3,765.90
Individual d ep osits s u b je ct to
ch eck ................- .........- .........
70,908.06
Dem and certifica tes of d ep osit
5,627.92
T im e certifica tes of d ep osit
— 107,755.25*
R e-d iscou n ts ......
20,484.65
D ep ositors’ guarantee fund
....
149.38

T otal


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

.$ 238,691.16

Total

.$ 238,691.16

BU REAU O P BANKING

138

Elyria

Elyria State Bank

C harter N o. 1103

G. F . Ctf. N o. 626

Valley County
A.
A.

A . H a yek ................................... P resid en t
D od ge ......... ..................... V ice-P res id en t

O. P ecenka ............. - ................... - ...... Cashier
O. H . Ciem ny ........................A s s ’ t. Cashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $
O v erd ra fts .................- .....- .............
B an kin g h ou se, furnitu re and
fixtures ....................- ..... - ........
B an kers’ con serv a tion fund ....
Due from national and state
banks ......- ............ - ...................
C hecks and item s of exchange
Cash in bank ................................
U . S. bonds in cash reserve....

88,580.83
175.64
3,300.00
217.14
13,689.93
219.94
1,680.55
3,150.00

T otal ...................................$ 111,014.03

Emerald
C harter N o.

Capital stock ............................... $
Surplus fund ..........
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
D em and certifica tes o f dep osit
Tim e certifica tes of dep osit ....
S avings d eposits ..........................
C ertified ch eck s .........
D ep ositors’ gu arantee fund ....

10,000.00
3,000.00
1,092.35
26,543.61
342.15
64,699.73
4,420.82
848.55
66.82

T otal ........................... - ......$ 111,014.03

Emerald State Bank
G.

1275

F.

C tf.

N o.

797

Lancaster County
A rth u r

D einert ......... - .....- ............. P resid en t

E . C. D einert .

..Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts .............. $
O verd rafts .................................. —
O ther real estate ......- .........- ......
B an kin g hou se, furniture and
fixtures ..............
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........................- ...............
C hecks and item s o f exch a n ge
Cash in bank ......- ....._.................

56,229.88
240.45
9,769.98

T ota l _______- ..... - ......... $

79,669.15


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

3,768.00
180.02
6,715.73
471.60
2,293.49

Capital s tock ................................$
Surplus fund .............................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...........................
Tim e certifica tes of dep osit ....
Due to national and state
banks ......................................
D ep ositors’ guarantee fund ....
T otal

............................... $

10,000.00
100.00
19.89
38,876.78
27,994.88
2,633.52
44.08
79,669.15

BU REAU OF BANKING

Emerson

139

Farmers State Bank

C harter N o. 149

G.

F.

C tf. N o. 62

Dixon County
A.
F.

A . D avis ......- ...........................President
F . H aase ........ ................V ice-P resid en t

Geo.

H.

H aase ......... ......................... Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 292,293.71
■Overdrafts .................
676.04
B on d s, secu rities, ju d gm en ts
52,650.00
and claim s .................................
O ther assets .................- ...............
100.00
O ther real estate
....................
4,786.08
B an king h ou se, furnitu re and
fixtures ...... _................
2,000.00
B an kers’ con serv a tion fund ....
1,117.84
Due from national and state
banks .........................................
228,232.94
Checks and item s o f exchange
404.93
Cash in bank ................................
21,046.66

Capital stock .................... _......... $ 40,000.00
Surplus fund ................................
20,000.00
U ndivided p rofits (n et) ........
72,503.79
Individual d eposits su b ject to
ch eck .........................................
147,301.54
Dem and certifica tes of dep osit
483.33
T im e certifica tes of d eposit .... 287,940.56
S avings d eposits ............. _.........
34,745.72
D ep ositors’ guarantee fund _
333.26

T otal ........................... . ......$ 603,308.20

T otal ................................... $ 603,308.20

Emmet

Emmet State Bank
G. F .

C harter N o. 958

C tf.

N o. 499

Holt County
T . F. B irm in gham ................. .......President
E dw ard M . G allagher .......V ice-P resid en t

W.

P.

D ailey .......................................Cashier

S T A T E M E N T OF JU N E 30, 1927
RESOURCES
L oans and d iscou n ts ............... $ 113,396.95
O verd rafts ........................... - .........
296.67
B on d s, secu rities, ju d gm en ts
21,050.00
and claim s _______- ............ —
O ther real estate .........................
8,277.08
B an king h ou se, furniture and
fixtures .............- ......................
1,722.88
B an kers’ con serv a tion fund ....
388.13
Due from national and state
banks ......- ..... - .........- ...............
17,743.68
C hecks and item s of exchange
167.53
'-Cash in bank ................................
3,649.03
T otal ................................. $ 166,691.95


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

L IA B IL IT IE S
Capital s tock ................................$
Surplus fund ................................
U ndivided p rofits (net) ...........
Individual d ep osits s u b je ct to
ch eck ................................—.....
Tim e certifica tes of d ep osit ....
D ep ositors’ guarantee fund ....

10,000.00
15,000.00
3,610.57
45,766.96
92,218.35
96.07

T otal ........................... - ....$ 166,691.95

BUREAU OF BANKING

140

Enders
C harter N o.

First State Bank
1355

G. F .

Ctf. N o.

877

Chase County

Arthur Luhrs ____ ___- ............ _......P resid en t

T . L. Darnell ............. .........................Cashier
R oosev elt L uhrs ................. A s s ’ t. Cashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $
O verd rafts ................... - ............ —
O ther real estate ................... ......
B an k in g hou se, furnitu re and
fixtures ........................... - ..... .
B an k ers’ con serv a tion fund —
Due from national and state
banks ........................... - ...........
C hecks and item s of exch a n ge
Cash in bank .................... .....:.....
U . S. bonds in cash reserv e_
T ota l ............................. .... $

Enola

63,380.19
191.07
6,215.50
2,730.00
203.89
14,012.40
40.46
1,481.76
1,350.00
89,605.27

Capital stock ........................... _...$
Surplus fund ......
U ndivided p rofits (n et) .....
Individual d ep osits s u b je ct to
ch eck .............
Dem and certifica tes of d ep osit
T im e certifica tes o f dep osit ....
S avings d eposits ............ - .........
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....

10,000.00
5,000.00
899.69
31,979.27
3,000.00
37,511.57
1,103.02
60.00
51.72

_ Ilk, l II.

T ota l ......... ........... ........... $

89,605.27

Enola State Bank

C harter N o.

1289

G.

F.

C tf.

N o.

811

Madison County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ................$
O verd rafts .......................................
B on d s, s ecu rities, ju d gm en ts
and claim s ....................- .........
O ther assets .............- ................—
O ther real estate .....
B an k in g hou se, furnitu re and
fixtu res ..................
B an k ers’ con serv a tion fund
_
Due from national and state
banks .............- ---- ----------------Cash in bank ________

39,820.37
16,275.65
984.05
9,925.48
14,165.62

20,000.00
16,192.96
68,223.65
18.08
74.91
175.92

4,965.50
247.07
17,293.00
1,008.78

Total ________________ ___ $ 104,685.52


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

Capital stock ................................ $
Individual d ep osits s u b je ct to
ch eck .............
T im e certifica tes o f dep osit _
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....
O ther liabilities
.............

T ota l ................................... $ 104,685.52

B U R E A U

Erìcson

O F

141

B A N K IN G

Ericson State Bank

C harter N o. 878

G. F . C tf. N o. 430

Wheeler C ounty
Jonas W arner ................................. P resident
L . C. B eesley ........ ................V ice-P resid en t

E lm er W . L arson ............................ Cashier
Leon R . W arner .....................A s s ’ t Cashier

S T A T E M E N T O F JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 134,201.13
O verdrafts .......................................
465.61
B on d s, secu rities, ju d gm en ts
and claim s ..............................
4,472.80
56.94
O ther assets ...........................
O ther real estate ......
9,561.96
B an kin g h ou se, furniture and
fixtures ...........
9,000.00
351.19
B an kers’ con serv a tion fund __
Due from national and state
banks ......................
23,552.59
C hecks and item s o f exchange
133.29
3,086.35
C ash in bank ......

Capital stock ................................$ 25,000.00
1,793.51
U ndivided profits (n et) ......_...
Individual d ep osits su b ject to
ch eck ....................
57,331.78
Dem and certifica tes of d ep osit
2.71
Tim e certifica tes o f dep osit .... 100,640.57
D ep ositors’ guarantee fund ....
113.29

T otal .................. ...............$ 184,881.86

T otal ................................. $ 184,881.86

Eustis

Farmers State Bank

C harter N o.

151

G.

F.

C tf.

N o.

63

F ron tier C ounty
G. C. H ueftle ............. - ....................P resid en t
F.
A . H ueftle ..................... V ice-P resid en t

M ax H ueftle .......................................Cashier
W a lter H ueftle ................._...Ass’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 298,904.01
O verd rafts ..........
522.25
O ther real estate .........................
23,920.93
B an k in g hou se, furnitu re and
fixtures .............
5,000.00
B an kers’ con serv a tion fund ....
839.78
Due from national and state
banks .........................................
35,106.10
C hecks and item s o f exch a n ge
3,375.00
Cash in bank ....................
4,322.65
U . S. bonds in cash reserv e_
12,450.00

Capital stock ..._........................... $ 25,000.00
Surplus fund ................................
1,875.00
907.10
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ....................
129,101.08
Tim e certifica tes of d eposit .... 211,353.71
C ashier’ s ch eck s outstanding..
454.80
B ills payable .............
15,500.00
D ep ositors’ gu arantee fund
249.03

T otal


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

.$ 384,440.72

T otal

.$ 384,440.72

142

B U R E A U

O F

B A N K IN G

The Pioneer Bank

Eustis

>

C harter N o.

941

G.

F.

Ctf.

N o.

482

Frontier County
J. C. Spahr .......................................P resid ent
K . G. Y eu tter .....................V ice-P resid en t

C. G. Y eu tter ..................................... C ashier
F . J. Tim m ............................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 271,607.65
O verdrafts .......................................
841.44
B on d s, secu rities, ju d gm en ts
and claim s ...................
658.06
O ther real estate ....................—.
15,750.00
B an king h ou se, furniture and
6,600.00
fixtures .........
B an kers’ con serv a tion fund ....
690.57
Due from national and state
banks .........................................
22,665.39
Checks and item s of exchange
909.49
Cash in bank .............- .................
5,591.46
U . S. bonds in cash reserve....
18,500.00
T otal ....................................$ 343,814.06

Capital stock .................................$
Surplus fund ......i...........................
U ndivided p rofits (net) ..........
Individual d eposits s u b je ct to
ch eck .........................................
T im e certifica tes of d ep osit ....
C ashier’ s ch eck s outstanding..
B ills payable ......
D ep ositors’ guarantee fund ....

20,000.00
5,000.00
1,772.29
110,877.16
175,489.29
5,471.17
25,000.00
204.15

T otal ................................... $ 343,814.06

i

Ewing

Ewing State Bank

C harter N o. 561

G. F . C tf. N o . 213

Holt County
Operated by Guarantee Fund Commission
S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S

T otal


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

126,934.82
815.39
602.28
54,234.39
6,400.00
3,088.70
551.71

Capital stock .................... ...... -...$ 25,000.00
Individual d ep osits s u b je ct to
ch eck .........................................
41,958.23
Dem and certifica tes o f d ep osit
4,000.00
T im e certifica tes of dep osit
....
78,195.91
Due to national and state
banks ............................
9,369.20
B ills payable .................34,010.88
D ep ositors’ guarantee fund ....
99.49
O ther liabilities ......
1.20
.

Loans and d iscou n ts ............... $
O v erd ra fts .......................................
B on d s, s ecu rities, ju d gm en ts
and claim s .............................
O ther assets ....................... .........
O ther real estate ..........................
B an kin g h ou se, furniture and
fixtures ............ ...... ............. .
B an k ers’ con serv a tion fund ....
Due from national and state
ban ks ............ ...........................
«Cash in bank ................................

7.21
.41

.$ 192,634.91

T otal

.$ 192,634.91

B U R E A U

O F

143

B A N K IN G

Pioneer Bank

Ewing
C harter N o. 914

G. F . C t f .

N o. 459

Holt County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 160,323.95
O v erd ra fts .......................................
150.73
B on d s, secu rities, ju d gm en ts
and claim s ................................
11,802.18
O th er assets ..................................
68,626.69
O th er real estate ...............
2,886.00
B an king h ou se, furniture and
8,475.00
fixtures ......
B a n k ers’ con serv a tion fund ....
628.05
Due from national and state
banks ......
4,195.94
C ash in bank ..................................
775.01
T ota l ..................................$ 257,863.55

Exeter

20,000.00
63,514.28
2,366.56
114,604.59
10.75
8,157.55
159.02
33,000.00
16,050.80

T otal ................................. $ 257,863.55

Exeter State Bank

C h a rter N o.

747

Fillmore
W in .
Joh n

Capital stock ............................... $
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of dep osit
T im e certifica tes of d eposit ....
C ashier’ s ch eck s outstanding..
Due to national and state
banks ......................................
D ep ositors’ guarantee fund ....
Bills payable ................................
O ther liabilities ............................

G.

F.

Ctf.

N o.

331

County

P. W alla ce ............................President
Olin ................ _............. V ic e -P re s id e n t

H . M . Link ................................... ....... Cashier
Chas. F. T ou s ..................... A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927

L oans and d iscou n ts .............. $
O v erd ra fts ...................................
B on d s, secu rities, ju d gm en ts
and claim s ............................:.
B a n k in g h ou se, furnitu re and
fixtures .............- ......................
B an kers’ con serv a tion fund ....
D ue from national and state
banks .........................................
C hecks and item s of exchange
C ash in bank ................................

79,767.93
22.57
159,298.47
4,000.00
494.15

25,000.
5,000.
3,009.

98,358.16
143,360.47
440.00
164.24

27,162.85
348.06
4,238.13

T otal ................................ $ 275,332.16


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

Capital stock .................. ........_...$
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
D em and certifica tes of dep osit
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

ÖSS

L IA B IL IT IE S

R ESO U R CE S

T otal ................................. $ 275,332.16

144

B U R E A U

Exeter
1009

Fillmore
P.

B A N K IN G

Wallace & Company, Bankers

C harter N o.

Wm.

O F

G.

F.

Ctf.

N o.

545

County

W allace ............... .

..President

L . T . B lou ch ................................... Cashier
L u cile Cass ........................... —.A ss’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R CE S
Loans and d iscou n ts ............... $
O verdrafts ....................
B onds, secu rities, ju d gm en ts
and claim s .............
O ther real estate ........................
B an king hou se, furnitu re and
fixtures ..............................._....
B an kers’ con serv a tion fund ....
Due from national and state
banks ...................................
Checks and item s of exch a n ge
Cash in bank ................
U . S. bonds in cash reserve....

L IA B IL IT IE S
104,588.71
184.85
344,892.25
5,450.00
7,500.00
1,163.76

50.000.

00

10. 000.

00

2,287.96

139,607.50
345,231.48
10,445.66
344.80

70,981.54
189.80
6,466.49
16,500.00

T otal ................................... $ 557,917.40

Exeter

Capital stock .................... .......... $
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........................... ...........
D em and certifica tes of d ep osit
Due to national and state
banks ......... ...... ........................
D ep ositors’ guarantee fund ....

T otal ................................... $ 557,917.40

Farmers & Merchants Bank

Charter N o. 1154

G. F. C tf. N o. 676

Fillmore County
W.

S.

W ig g in s

..............................P resid en t

Frank A in sw orth ................................ Cashier
M innie A in sw orth ............._...Ass’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ................$ 138,787.89
B an kin g hou se, furniture and
fixtures ......
11,353.85
B an kers’ con serv a tion fund ....
384.55
Due from national and state
banks ...............
27,880.30
Cash in bank .............
2,690.60

L IA B IL IT IE S
Capital s tock ............ ...... .......... $
Surplus fund ................................
Individual d ep osits s u b je ct to
ch eck ..................
Tim e certifica tes of dep osit __
D e p ositors’ gu aran tee fund ....

25,000.00
2,000.00
54,976.41
99,026.98
93.80

T ota l .................................$ 181,097.19


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

T otal ................................. $ 181,097.19

BUREAU OF BANKING

Fairbury
•Charter N o.

145

Fairbury Savings Bank
155

G.

F.

Ctf.

N o.

66

Jefferson County
L uther Bonham ......- ...................... P resid ent
S.
M. B ailey .........................V ice-P resid en t

H enrietta H oopes ....................S e c’y .-T r e a s .

S T A T E M E N T OF J U N E 30, 1927

LIABILITIES

R ESO U R CE S
Loans and d iscou n ts ............... $ 202,818.00
T ax sale certifica tes ......
411.05
B an king h ou se, furnitu re and
fixtures ............._....................
1,000.00
B an kers’ con serv a tion fund ....
772.39
Due from national and state
banks .........................................
272,116.50
■Cash in bank ..........
279.55
T otal ....... .......... .......... ...... $ 477,397.49

Fairbury
Charter N o.

Capital stock ............................... $
Surplus fund ...............................
U ndivided profits (n e t) ..........
Individual d ep osits s u b je ct to
ch eck ......
Dem and certifica tes o f d eposit
T im e certifica tes o f dep osit ....
D ep ositors’ gu arantee fund ....
T otal ....... .......... ..... .......... 4

25,000.00
5,000.00
348.62
339,459.29
20,000.00
87,307.49
282.09
477,397.49

Harbine Bank
153

G. F .

C tf. N o. 64

Jefferson County
L.
H.
S.

M . N elson ........................
President
F. H ole ............
....V ice-P resid en t
R . M errell ...........
V ice-P resid en t

H.
H . M cL u ca s ..._........._............... Cashier
C.
B onsall .......... ........ ......... A s s ’ t. Cashier
Frank N elson ...................-...A ss’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

LIABILITIES

L oans and d iscou n ts ................$1,558,132.22
O verd rafts .............
5,685.18
B on d s, s ecu rities, ju d gm en ts
and claim s .................
20,385.09
O ther assets ....................
3,089.22
O ther real estate ......
15,355.37
B an kin g h ou se, furnitu re and
fixtures ........
27,303.30
B an kers’ con serv a tion fund ....
4,863.75
Due from national and state
banks ....................................
306,506.72
C hecks and item s o f exch a n ge
31,951.96
Cash in bank ..........
52,190.10

Capital stock ............................... $ 100,000.00
Surplus fund .............
25,000.00
U ndivided p rofits (n et) ...........
61,888.03
Individual d ep osits s u b je ct to
ch eck ...............
541,154.93
T im e certifica tes o f dep osit .... 608,710.43
S avings d ep osits ......
519,391.88
C ertified ch eck s ......
5,032.00
C ashier’ s ch eck s outstanding..
2,404.23
Due to national and state
banks ........................
160,579.75
D ep ositors’ guarantee fund _
1,301.66

T otal


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

.$2,025,462.91

T otal

.$2,025,462.91

BUREAU OF BANKING

146

Fairfield
C harter N o.

Citizens Bank
156

G.

F.

C tf. N o. 67

Clay County
C. L . Lew is ...................................„...President
C. H . E pperson .................¿....Vice-President

T.

P. S hively ......- ............ — ............. C ashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ................$ 156,167.89
O verd rafts ............- ........................
453.00
B on d s, secu rities, ju d gm en ts
and claim s .............
8,700.09
O ther assets ................ — ...........
10,884.48
32,760.77
O ther real estate ......
B an kin g h ou se, furniture and
fixtures .....................................
12,200.00
B an k ers’ con serv a tion fund ....
649.78
Due from national and state
16,201.79
banks ......- ................- ............ .
Checks and item s of exch a n ge
672.67
Cash in bank ..................................
4,241.72
O ther ca sh resou rces
........
455.96
T ota l ..................................$ 243,388.15

Fairfield
C harter N o.

Capital s tock ........................... _...$
Surplus fund ___ ____ 1................
Individual d ep osits s u b je ct to
ch eck ...........................
D em and certifica tes o f d eposit
S avings d eposits .........................
Due to national and state
banks ............ ............. - ...........
B ills payable ............................
D e p ositors’ guarantee
fund ....

40,000.00
10,000.00
74,535.62
99,263.31
10,351.77
6,088.24
3,000.00
149.21

T otal ....... ..........................$ 243,388.15

Farmers & Merchants Bank
G.

1022

F.

C tf.

N o.

554

Clay County
Operated by Guarantee Fund Commission
S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESOU RCES
O verdrafts ............. - ............
B on d s, secu rities, ju d gm en ts
and claim s ......O ther assets ........ - ............
O ther real estate ............
B an kin g h ou se, furniture and
fixtures .................................
B an k ers’ con serv a tion fund
Due from national and sta
banks ........................... - .......
Cash in bank


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

$ 115,038.64
92.84
2,772.00
16,357.99
46,079.12
6,500.00
537.00

Capital s tock ...........................„...
Surplus fund .................................
Individual d eposits su b ject to
ch eck .................... ............. - ....
Dem and certifica tes of d ep osit
T im e certifica tes of d eposit —
C ashier’ s ch eck s outstanding..
R e-d iscou n ts ........................... - ....
D ep ositors’ guarantee fund —

25,000.00
1,432.90
31,409.45
9.50
130,006.30
6.35
1,150.00
126.38

810.96
253.92
698.41,

.$ 189,140.88

T otal ................................... .$ 189,140.88

BUREAU OF BANKING

Fairmont

147

Bank of Fairmont

C harter N o. 1100

G. F . C tf. N o. 623

Fillmore County
S helley Stines .................. ................ P resid ent

L eroy Stines ........................................ .Cashier
D.
L. K isor ..................... —..A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
RESOURCES

LIABILITIES

L oans and d iscou n ts ................$
O v erd ra fts .................................. ....
B on d s, secu rities, ju d gm en ts
and claim s ................................
B an king h ou se, furnitu re and
fixtures ........
B an kers’ con serv a tion fund ....
D ue from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ...............
U . S. bonds in cash resrve....

132,885.57
97.26
51,039.33
800.00
520.14
21,085.07
36.91
5,019.06
4,000.00

T otal ..................................$ 215,483.34

Fairmont
C harter N o.

Capital stock ....................
•$ 15.000.
10. 000.
Surplus fund ...................
315.81
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
79,478.36
ch eck ........................... ............
110,558.55
Dem and certifica tes of d eposit
130.62
D ep ositors’ gu aran tee fund ....

T otal ................................. $ 215,483.34

Farmers State Bank
G .F .

1006

C tf. N o.

543

Fillmore County
Geo. E. A ld rich ........................... P resid ent
E.
J. D em pster ......... .........V ice-P resid en t

F rancis F. P u tlitz ............................Cashier
A n n a M . P u tlitz ............— A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts ...........................- .........
B on d s, secu rities, ju d gm en ts
and claim s ............. - ...............
O ther real estate
.....
B an king hou se, furnitu re and
fixtures ......- ......
6,000.00
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................
C hecks and item s o f exch a n ge
Cash in bank ....................................
U . S. bonds in cash reserve....

165,475.07
81.70
82,841.82
15,000.00
1,101.05
64,971.92
2,905.25
9,086.46
33,900.00

T otal ................................. $ 381,363.27


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

Capital s tock ____________ ____...$ 25,000.00
Surplus fund .............
10,000.00
U nd ivid ed p rofits (n et) ......
36.48
D ividen ds unpaid ............._.........
54.18
Individual d ep osits su b ject to
ch eck ............. _.........- .........- ....
96,642.21
D em and certifica tes of dep osit
249,384.22
D ep ositors’ guarantee fund _
246.18

T otal ................................. $ 381,363.27

00
00

BUREAU OF BANKING

148

Falls City
C harter N o.

Falls City State Bank
159

G.

F.

Ctf.

N o.

69

Richardson County
L.
T.

P. W irth .... ............. .............. P resid ent
J. G ist .....................- ......V ice-P resid en t

C. W . T h orn ton ........................- ......C ashier
J. R . B iles ............................ A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
LIABILITIES

R ESO U R CE S
Loans and d iscou n ts ......_....... $ 521,703.43
O v erd ra fts
........ - ........................
13.61
B on d s, secu rities, ju d gm en ts
and claim s ......- ...............
29,944.78
O ther real estate .........................
7,000.00
B an kin g h ou se, furnitu re and
fixtures ............- .........
13,900.00
B an k ers’ con serv a tion fund ....
1,554.10
D ue from national and state
banks .........................................
71,965.84
C hecks and item s of exch a n ge
59.77
Cash in bank ......
29,790.60
U.
S. bonds in cash reserve....
3,450.00
679,382.13

T otal

Falls City

Capital stock ................................$ 75,000.00
Surplus fund ......
20,000.00
U ndivided p rofits (n et) ......_...
2,551.57
Individual d ep osits s u b je ct to
ch eck .......
258,472.56
T im e certifica tes of dep osit .... 242,954.69
S avings d ep osits ------ ---- - ..... -...
70,461.49
25.00
C ertified ch eck s ............................
C ashier’ s ch eck s outstanding..
2,013.40
Due to national and state
banks .................................. - ....
7,503.24
400.18
D ep ositors’ guarantee fund _
T otal ................................... $ 679,382.13

Nebraska State Bank
G. F . Ctf. N o. 1032

C harter N o. 1510
Richardson County
John H . M orehead ........................ President
J. F. Shubert ......................V ice-P resid en t

............... Cashier
.A ss’ t. Cashier

W m . U h lig
G. S. L yon

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 409,000.92
O verd rafts ......- ................- ............
428.54
B on d s, secu rities, ju d gm en ts
and claim s ....................
10,029.01
O ther real estate .................
4,184.61
B an kin g hou se, furnitu re and
fixtures .............- .....- ...............
3,800.00
B an k ers’ con serv a tion fund ....
1,142.33
D ue from national and state
banks .........................................
133,927.61
C hecks and item s of exch a n ge
1,614.57
Cash in bank ....................
10,825.23
U . S. bonds in cash reserve....
4,750.00
O ther assets ........................... - ....
83.85
T otal


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

.$ 579,786.67

Capital stock ............ ............. ....$
Surplus fund ......
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ..........
Dem and certifica tes of dep osit
S avings d ep osits .................. ..... .
C ashier’ s ch eck s outstanding..
Due to national and state
banks ....................
D ep ositors’ guarantee fund ....

T otal

40,000.00
5,500.00
8,474.69
238,081.40
198,235.51
56,234 25
194.00
32,723.62
343.20

.$ 579,786.67

BUREAU OF BANKING

Falls City

149

Richardson County Bank

C harter N o. 158

G. F .

C tf. N o. 68

Richardson County
J. L . Slocum ............ ..................... President
B.
K . Baker ...................... V ice-P resid en t

A . F. Schaible ............................_..... ....Cashier
T . L . G arvey ........................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
RESOURCES

LIABILITIES

L oans and discou n ts ...............$ 737,792.62
O verdrafts ..........
913.67
B on ds, secu rities, ju d gm en ts
and claim s ......
102,250.00
11,000.00
O ther real estate .............
B an king hou se, furnitu re and
fixtures ......
29,000.00
B an kers’ con serv a tion fund __
2,235.09
Due from national and state
banks ......
215,854.92
C hecks and item s of exch a n ge
678.16
21,227.92
Cash in bank ............ .................

Capital stock .................... ...........$ 50,000.00
Surplus fund ......
50,000.00
U ndivided profits (n et) ..........
12,736.99
Individual d eposits su b ject to
360,412.09
ch eck .........................................
Dem and certificates of dep osit
492,595.01
Savings deposits ......
107,988.09
Certified ch eck s ..........................
2,200.00
C ashier’ s ch eck s outstanding..
1,920.34
Due to national and state
banks ........
38,975.72
D ep ositors’ gu aran tee fund _
630.65
R eserv e for taxes ......
3,493.49

T otal ................................. $1,120,952.38

T otal ....... ..........................$1,120,952.38

Farnam
C harter N o.

Farnam Bank
799

G.

F.

C tf. N o.

370

Dawson County
S. F . Parker ............. ........ ..... ..... P resid ent
D . F . J ohnston ____________ V ice-P resid en t

John A . R ow land .................... ...........Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ......_........$ 144,436.62
O verd rafts ...................................
276.34
O ther real estate ......
700.00
B an k in g h ou se, furnitu re and
fixtures ......
2,000.00
B an k ers’ con serv a tion fund __
410.32
Due from national and state
banks ..................................... —
17,676.47
C hecks and item s of exchange
808.54
Cash in bank ......
2,658.92
T otal ................................... $ 168,967.21


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

LIABILITIES
Capital stock ......... ................ ....$
Surplus fund .........
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .............
Dem and certifica tes of dep osit
T im e certifica tes of d eposit _
Certified ch eck s ......
R e-d iscou n ts ....................
D ep ositors’ guarantee fund _

20,000.00
5,000.00
1,139.45
52,893.86
5,000.00
79,638.84
150.00
5,050.00
95.06

T otal ........................... .......$ 168,967.21

BUREAU OF BANKING

150

Farnam

S

te Bank
G. F . C tf. N o. 304

C harter N o. 703
Dawson County
H ugh R alston ....................
President
B . R . K elly ............................ V ice-P resid en t
STATEM EN T (

L . W . R alston ......_.................. ...........Cashier
C.
E . D avid son ................A s s ’ t. Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 264,579.78
O verd rafts .......................................
531.23
B an k in g h ou se, furnitu re and
fixtures .....................................
2,612.93
B an kers’ con serv a tion fund ....
780.82
Due from national and state
banks ......... - .............................
31,214.52
C hecks and item s of exch a n ge
303.48
Cash in bank .............- .....— ......
4,547.18
U . S. bonds in cash reserve....
5,650.00

Capital s tock ............. ...... ...... ...$
25,000.00
Surplus fund ................................
5,000.00
U n divided profits (net)_ ..........
908.56
Individual d ep osits s u b je ct to
ch eck ...................................... .
105,676.29
D em and certifica tes of dep osit
173,285.80
D e p ositors’ guarantee fund
....
349.29

T otal ....... ........................... $ 310,219.94

T ota l ....................................$ 310,219.94

Far well

Farwell State Bank

C harter N o. 719
Howard

%

G. F . C tf. N o. 313

County

A . C. W ich m a n ................................P resid ent
C. W ich m a n ........................ V ice-P res id en t

E.

E.

Zavitk a

— ................ - ............. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts -------------$
O verd rafts ......- ......... .....................
B o n d s, secu rities, ju d gm en ts
and claim s ............. - ..... - ........
B an kin g h ou se, furniture and
fixtures ......- ........ - ......... —
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........ - .........C hecks and item s o f exchange
Cash in bank ..........................—T otal


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

109,955.78
249.56
11, 200.00

4,680.00
419.21

Capital s tock .......................... ..$
Surplus fund ............. ..................
U nd ivid ed p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .................... - ...............--D em and certifica tes of dep osit
T im e certifica tes of deposit....
D ep ositors’ guarantee fund ....

10,000.00
3,000.00
1,266.67
34,118.10
197.46
112,471.32
99.08

27,753.17
51.22
6,843.69

.$ 161,152.63

T otal

.$ 161,152.63

BU REAU OF BANK ING

First State Bank

F a r w e ll
C harter

N o.

971

Howard
F.
A.

151

G.

F.

C tf.

N o.

511

County

J. T a y lo r __________________ P resid en t
B orz y ch .......................... .V ice-P resid en t

F . J. Sazama ....................................... Cashier
S. L ork ow sk i ........................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ...............$ 140,585.18
O verd ra fts .......................................
44.03
B on d s, secu rities, ju d gm en ts
and claim s ......_........................
1,000.00
251.68
O th er assets .........
O ther real estate ...................._...
7,896.81
B an king hou se, furniture and
fixtures ......
2,605.79
B an kers’ con serv a tion fund _
527.80
Due from national and state
banks .................
29,594.22
C hecks and item s o f exchange
35.25
Cash in bank ................................
4,242.17
U . S. bonds in cash reserve....
1,834.14

Capital s tock ................................$
Surplus fund ....................
Individual d ep osits s u b je ct to
ch eck .............
Dem and certifica tes of dep osit
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

T ota l _______ ____________ $ 188,617.07

Filley

10,000.00
2,100.00
31,173.22
4,286.13
140,940.59
117.13

T ota l ................................ ...$ 188,617.07

State Bank of Filley

C harter N o. 616

G. F. C tf. N o. 250

Gage County
B . M . R ay n or ....... ..... ..................P resid ent
V iola R aynor ................ ....... V ice-P resid en t

W.

E.

E rick son

........................ ....... Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 184,687.96
O verd ra fts .............
168.15
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
2,146.25
O ther real estate .........................
5,481.18
B an kin g h ou se, furnitu re and
fixtures .....................................
5,000.00
B an kers’ con serv a tion fund _
558.83
Due from national and state
banks .............- .....................„...
24,422.74
C hecks and item s of exch a n ge
127.63
Cash in bank ..........................._...
3,361.16
U . S. bonds in ca sh reserv e_
7,650.00
T ota l ____


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

_.$ 233,603.90

Capital stock ............. _............. .....$
Surplus fund ....................
U ndivided p rofits (n et) ......
Individual d ep osits s u b je ct to
ch eck .............
Dem and certifica tes of dep osit
Tim e certifica tes of dep osit ....
D ep ositors’ guarantee fund _
R eserv ed for taxes ................ _...

Total

10,000.00
8,500.00
202.80
96,068.72
2,225.40
116,180.74
135.39
290.85

..$ 233,603.90

BU REAU O F BANK ING

152

Firth

Firth Bank

C harter N o.

162

G.

F.

C tf.

N o.

70

Lancaster County
John

D oesch ot

- C ashier

.

J . C. R uigh ................................... P resid ent
W m . K ram er .........................V ice-P resid en t

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ....... ........$ 186,467.20
O v erd ra fts .............- ........................
512.69
B on d s, s ecu rities, ju d gm en ts
and claim s .................... - ........
50,750.33
O ther real estate ........................
7,700.00
B an king hou se, furniture and
fixtures ........................- ...........
7,000.00
B an kers’ con serv a tion fund ....
796.50
Due from national and state
38,916.99
banks ....................... —
C hecks and item s of exch a n g e
1,122.07
Cash in bank ........................... - ....
6,339.39

Capital stock ......... - .................... $
Surplus fund ........._...........- ......
U ndivided profits (net)_ — ......
Individual d ep osits s u b je ct to
ch eck ......... - ................- ...........
T im e certifica tes o f dep osit ....
S avings d ep osits ......- .....- .........
C ashier’ s ch ecks outstanding..
B ills payable ............................
D ep ositors’ gu aran tee fund ....
D epreciation reserve .............

Fordyce S

128,458.85
127,985.16
6,547.00
279.57
10,000.00
190.79
500.00

T otal ....................... - ..........$ 299,605.17

T otal ................................... $ 299,605.17

Fordyce

20,000.00
5,000.00
643.80

te Bank
G.

C harter N o. 936

F.

Ctf. N o. 477

Cedar County
F . A . L eise .....................................P resid en t
F rank Lam m ers ................... V ice-P resid en t
STATEM ENT (

I.

F.

L am m ers .............. — .............Cashier

JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ......... _....$ 293,238.76
O verd rafts ................
729.59
B on d s, secu rities, ju d gm en ts
and claim s ......_............ - ........
82,712.63
O ther real estate ----6,151.00
B an kin g h ou se, furnitu re and
fixtures .................... - ...............
10,000.00
B an kers’ con serv a tion fund ....
846.14
D ue from national and state
banks ...........................- ...........
26,839.23
Cash in bank ...........................
9,076.64
U . S. bonds in cash reserv e—
5,000.00
T otal


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

.$ 434,593.99

Capital stock ......... .................... $
Surplus fund ............- .....- ..........
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........
T im e certifica tes of dep osit —
S avings d ep osits ......
C ashier’ s ch eck s outstanding..
D ep ositors’ gu arantee fund —

T otal

20,000.00
10,000.00
1,869.47
112,712.32
265,572.58
22,707.66
1,464.36
267.60

.$ 434,593.99

153

BU REAU O F BANKING

Fort Calhoun

Fort Calhoun State Bank

C harter N o. 1254

G. F . C tf. N o. 776

Washington County
H enry R ohw er ....... ..... - .................. President
W illiam S ievers ................. V ice-P resid en t

W in , P . Cook ....................................... Cashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ......... - ....$ 133,199.56
O verd rafts ________
162.05
B on d s, s ecu rities, ju d gm en ts
and claim s ....................- ........
39,023.47
O ther assets ......
9,401.59
5,535.75
O ther real esta te .......
B an king h ou se, furnitu re and
fixtures ......- ..................... ........
6,738.93
B an kers’ con serv ation
fund —
479.24
Due from national and state
banks ......- ..... - ................... ......
17,318.00
C hecks and item s of exchange
26.48
Cash in bank ---------- ------- ---- —
2,592.78
U . S. bonds in cash reserv e—
9,550.00
O ther cash resou rces __________
136.97

Capital s tock ......... ................._...$
Surplus fund ...................... .......
U ndivided p rofits (n e t) ......
Individual d ep osits su b ject to
ch eck ....................... .......... .....
T im e certifica tes o f d ep osit —
D ep ositors’ guarantee fund —

Washingto

66,993.38
129,806.73
154.59

T otal ................................... $ 224,164.82

T ota l ................................... $ 224,164.82

Fort Calhoun

20,000.00
5,000.00
2,210.12

County Bank
G. F. C tf. N o. 369

C harter N o. 798
Washington County
M ay R ix ...................................V ice-P resid en t
STATEM EN T <

E rnest
E.
R.

R ix .......................................... Cashier
Cook ..........................A s s ’ t. C ashier

JU N E 30, 1927

RESOU RCES

L IA B IL IT IE S

Loans and d iscou n ts ......- ........$ 160,439.42
O verd rafts ----------971.61
22,000.00
O ther real estate -------B an king h ou se, furnitu re and
fixtures .................... - ............ —
8,000.00
B an kers’ con serv a tion fund
496.67
Due from national dnd state
banks ......... — .................- .......
36,841.07
C hecks and item s of exch a n ge
2,440.10
Cash in bank .............
2,826.70

Capital stock ....................... ........$ 30,000.00
Surplus fund .............— ----------6,000.00
311.21
U ndivided profits (n et) ......
Individual d eposits s u b je ct to
ch eck ................- ....................
78,616.82
T im e certifica tes o f dep osit .... 118,961.91
D ep ositors’ gu aran tee fund —
125.63

Total


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

....$ 231,015.57

T otal

.$ 234,015.57

154

BU REAU O F BANK ING

Foster

Farmers & Merchants Bank

Charter N o.

1178

G.

F.

Ctf. N o.

700

Pierce County
M . Inhelder .................................. P resid en t
C has. A . W a tson ........... ..... .V ice-P resid en t

B . J. Inhelder
D. L . S tory ...........

................Cashier
.A ss’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 185,481.43
O verd ra fts .......................................
601.60
B on d s, secu rities, ju d gm en ts
and claim s ................................
1,872.17
O ther real estate .........................
25,600.00
B an k in g h ou se, furnitu re and
fixtures ...........................
7,164.00
B an kers’ con serv a tion fund ....
522.68
Due from national and state
banks ...............................
16,517.49
C hecks and item s of
exchange
288.89
Cash in bank ........................
3,401.94
U . S. bonds in cash
reserve....
850.00
T otal

.$ 242,300.25

Franklin

Capital s tock .......................... _...$
Surplus fund .................
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck .........................................
T im e certifica tes of d eposit ....
Due to national and state
banks .........
D ep ositors’ gu arantee fund _

T otal

72,906.73
127,639.71
8,375.61
146.92

.$ 242,300.25

Franklin Exchange Bank

U

C harter N o. 163

25,000.00
5,000.00
3,231.28

"■•'W

G. F .

..

Ctf. N o. 71

Franklin County
J.
H.

P . Feese .....................................President
J. M u rray ..................... V ice-P resid en t

E . E . M u rray ....................................Cashier
Fern L ig g e tt ......................... A s s ’t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 169,885.82
471.33
O v erd ra fts .......................................
O ther assets ....................
1,372.29
O th er real estate
....................
28,498.00
B an kin g hou se, furnitu re and
fixtures ...................................
6,300.00
B an k ers’ con serv a tion fund __
729.70
Due from national and state
banks .............
49,230.29
C hecks and item s of exch a n ge
817.43
Cash in bank ................................
8,622.50
T otal


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

.$ 265,927.36

Capital stock ................................$
Surplus fund .......................... _...
Individual d ep osits su b je ct to
ch eck .........
T im e certifica tes of d ep osit _
D ep ositors’ guarantee fund ....

T otal

20,000.00
4,000.00
114,206.46
127,514.88
206.02

.$ 265,927.36

BU REAU O F BANKING

Franklin

155

Franklin State Bank

C harter N o. 625

G. F . C tf. N o. 258

Franklin County
C. A . B utler ...................... ............P resident
A lb ert R . P eck ................... ..V ice-P resid en t

W . A . B utler .... ................................ Cashier
E . L ester ............. ................. A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
O ther assets ................... ........ ....
O ther real estate ........................
B an kin g h ou se, furniture and
fixtures ........................... .........
B an kers’ con serv a tion fund ....
Due from national and state
banks ........................... - ...........
C hecks and item s of exchange
Cash in bank ................................

155,794.05
1,366.33
13,082.63
7,500.00
573.92
19,035.33
1,815.20
4,436.05

T otal ............. ........ ............$ 203,603.51

Fremont

Capital stock ............._................ $
Surplus fund ................................
Individual d eposits s u b je ct to
ch eck .........................................
Dem and certifica tes of d eposit
T im e certifica tes of d eposit
....
S avings d ep osits ...........
Due to national and state
banks ......
B ills payable ..........
D ep ositors’ guarantee fund
....

25,000.00
5,000.00
73,798.77
30.00
33,921.00
39,422.51
14,816.45
11,487.98
126.80

T otal ............................. ......$ 203,603.51

Fremont State Bank

C harter N o . 791
Dodge

G.

F. C tf. N o. 364

County

Dan V . Stephens ....
P resid en t
D ave R ow e .................
V ice-P resid en t
J. M . Sorensen ..................... V ice-P resid en t

W m . N . M itten ................................C ashier
J. Guy E d loff ............... .........A s s ’ t. Cashier
U . J. Schulz ......... .................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 979,299.07
O verd rafts .......................................
135.40
B on d s, s ecu rities, ju d gm en ts
and claim s .....................'..........
564,922.53
O ther real estate .................... .....
15,000.00
B an kin g hou se, furnitu re and
2,000.00
fixtures ....................
B an k ers’ con serv a tion fund ....
3,410.59
Due from national and state
banks .........................................
283,080.87
C hecks and item s o f exch a n g e
1,688.72
Cash in bank ........................
27,378.37
T otal


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

.....$1,876,915.55

Capital stock ............................... $
Surplus fund ....................
U ndivided p rofits (n et) ..........
D ividen ds unpaid ....................
Individual d ep osits s u b je ct to
ch eck ......... .............._............
Tim e certifica tes of dep osit ....
S avings d eposits .................... _...
Certified ch ecks ............................
C ashier’ s ch eck s outstanding..
Due to national and state
banks .............- ..........................
D ep ositors’ guarantee fund ....
T otal

75,000.00
37,500.00
13,327.78
380.00
830,049.65
350,650.84
351,270.09
2,175.43
6,141.34
209,412.33
1,008.09

.$1,876,915.55

156

BU REAU O F BAN K IN G

Fremont
C harter N o.

Security State Savings Bank
164

G.

F.

C tf.

N o.

72

Dodge County
Chas. F. D od ge ......- ...................... P resid ent
Chas. E . A b b o tt ......... .......V ice -P re s id e n t

Jas. D . M illiken .... ....................... ....Cashier
N ettie M . M öller ................._Ass’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 353,215.57
B on d s, s ecu rities, ju d gm en ts
and claim s .............
157,342.10
O ther real estate
....................
18,000.00
B an kers’ con serv a tion fund __
1,139.63
Due from national and state
banks .........................................
38,304.19
C hecks and item s of exch a n ge
126.50
Cash in bank ....................
379.91

Capital stock .......................... ....$ 18,000.00
Surplus fund ......
18,000.00
U ndivided p rofits
(n et) ___
6,689.95
D ividends unpaid
.............
900.00
Tim e certifica tes of deposit....
156,096.95
S avings d eposits ..........................
368,499.77
D ep ositors’ gu aran tee fund _
321.23

T otal ................................... $ 568,507.90

T otal .................................. .$ 568,507.90

Friend

First Savings Bank

C harter N o. 1073

G. F . C tf. N o. 601

Saline County
H.
J. S outhw ick ... ..................... P resid ent
P . O. S outhw ick ................. V ice-P res id en t

A.

H . F rantz ....................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... ..... $
B on d s, secu rities, ju d gm en ts
and claim s ......
O ther real estate .........................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........
Cash in bank ........................
T otal


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

92,250.00
24,030.00
17,600.00
316.31

Capital stock ................................$
Surplus fund ......
U ndivided p rofits (n et) ............
S avings deposits ......
D ep ositors’ guarantee fund ___

12,500.00
15,500.00
1,277.60
166,507.21
103.69

61,192.19
500.00

.$ 195,888.50

T otal —

.$ 195,888.50

BU REAU O F BANKING

Friend

157

Friend State Bank

C harter N o.

1426

G. F .

C tf. N o. 948

Saline County
P . J. M ullin
W m . S cheidt

......... ........................P resid en t
.............- ..... ....V ice-P res id en t

Jno. H um phrey ........................ - ......... Cashier
M . C. M orris ............. ............A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 252,663.12
O v e rd ra fts ........................... - ..........
565.91
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
20,505.00
B anking house, furniture and
fixtures ............. ...... - ..............
8,300.00
B an kers’ con serv a tion fund ....
608.49
Due from national and state
banks .................................
26,924.26
C hecks and item s of exch a n ge
2,171.71
7,397.30
C ash in bank .............
T ota l ................ ................ $ 319,135.79

Friend

Capital stock ............. ........ ....._...$
Surplus fund ........................
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .....................................
Dem and certifica tes of d ep osit
S avings d ep osits ......
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund —

25,000.00
3,000.00
1,572.72
79,089.49
169,631.79
40,326.60
329.50
185.69

T otal ................................. $ 319,135.79

Merchants & Farmers Bank

Charter N o.

G.

686

F.

C tf.

N o.

295

Saline County
T . F.
Jacob

N unem aker ...... .................P resid en t
K rebs ................. ...... V ice-P resid en t

H . E . N unem aker ...... ..................... Cashier
W . H ow arth .................. ......A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... $ 206,334.18
O verd rafts .......................................
54.22
B on d s, secu rities, ju d gm en ts
and claim s .......................... —
84,139.31
O th er real estate ........................
21,750.00
B an king h ou se, furniture and
fixtures ..._.........
8,000.00
B an kers’ con serv a tion fund ....
729.94
Due from national and state
banks ...........................
59,403.72
C hecks and item s of exchange
946.82
Cash in bank .............- .................
5,903.11
T otal


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

.$ 387,261.30

Capital s to c k ................................ $
Surplus fund .....
U ndivided p rofits (n e t) ...........
Individual d ep osits su b ject to
ch eck ......- .................................
D em and certifica tes of dep osit
S avings d eposits .....
Certified ch eck s ....................
C ashier’ s ch eck s outstanding..
Due to national and state
ban ks ............. ................ 1..........
D ep ositors’ guarantee fund _
Total

30,000.00
20,000.00
2,875.23
91,229.77
163,914.50
41,817.84
7.00
2,518.25
34,689.92
208.79

.$ 387,261.30

158

BU REAU O F BANKING

Fullerton

Farmers State Bank

C harter N o. 1161

G. F . C tf. N o. 683

Nance County
M.
C. K illeen .............................. P resid ent
C. J. M cClelland ........... ......V ice-P resid en t

C. J. M cC lelland ..................... ......„..C ash ier
B . F . D ou th it ......... ...............A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 263,423.34
O verd rafts .......................................
668.64
B on d s, secu rities, ju d gm en ts
and claim s ................................
10,891.79
O ther assets ........................ .........
8,732.33
O ther real estate ............. - .........
81,989.86
B an kin g hou se, furnitu re and
and fixtures ...............
16,660.00
B an kers’ con serv a tion fund ....
846.08
Due from national and state
banks ...........................
S,S61.0S
C hecks and item s of exchange
3,465.69
Cash in bank .............
5,880.04
U . S. bonds in cash reserve....
200.00
O ther cash resou rces .................
95.20
T otal ......- ....................... .$ 398,414.04

Funk

Capital stock ................................$
Surplus fund ................................
Individual deposits su b ject to
ch eck ....................
Dem and certifica tes of dep osit
C ashier’ s ch eck s outstanding..
D e p ositors’ gu aran tee fund ....

50,000.00
10,000.00
122,747.85
214,225.05
1,215.98
225.16

T otal ................................$ 398,414.04

Funk State Bank

C harter N o. 826

G. F .

Ctf. N o. 390

Phelps County
I.

G.

D anly ................................... P resid ent

E . B. P erson ...............(........... ...........Cashier
B essie D anly ........................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ..._........... $ 142,259.50
O verd rafts .................... .......... ;......
134.83
B on d s, s ecu rities, ju d gm en ts
and claim s ......
25,000.00
B an k in g hou se, furnitu re and
fixtures .................
1,000.00
B an k ers’ con serv a tion fund ....
359.36
Due from national and state
banks .........................................
15,790.68
Checks and item s o f exchange
109.43
Cash in bank ................................
1,635.58
U . S. bonds in cash reserve....
2,000.00

Capital s tock ..................................$ 10,000.00
Surplus fund ................................
10,000.00
U ndivided p rofits (n et) ..........
2,069.81
Individual d ep osits su b ject to
ch eck ....
52,160.94
Dem and certifica tes of d eposit
6.00
T im e certifica tes of d eposit
.... 113,927.45
D ep ositors’ gu aran tee fund
....
125.18

T otal ................................... $ 188,289.38

T otal ....................................$ 188,289.38


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

159

BU REAU O F BANK ING

Gandy
C harter N o.

The Bank of Logan County
G.

1182

F.

C tf.

N o.

704

Logan County
J oh n F. N ew burn .........................President
Charles P hilpot ................... .V ice-P resid en t

H.

A.

Tunnell ................................. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oa n s and d iscou n ts ........... .....$
O verd rafts .................... - .................
B on d s, secu rities, ju d gm en ts
and claim s ....................
O th er real estate .......................
B an king h ou se, furnitu re and
fixtures .........................
B an kers’ con serv a tion fund
....
Due from national and state
banks ........ ........................ ...,....
Cash in bank ................................
U . S. bonds in cash reserve ....

75,133.28
429.92
30,433.63
23,503.23
1,250.00
323.25

Capital stock .............. ................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
T im e certifica tes of dep osit ....
D ep ositors’ gu aran tee fund ....

84,020.63
70,526.40
100.79

35,315.59
3,142.15
2,100.00
T otal ............... ................... $ 171,631.05

T otal ................. ... ....... - ......$ 171,631.05

Garland

12,500.00
2,700.00
1,783.23

Germantown State Bank
G. F . C tf. N o. 363

C harter N o. 790
Seward County
A u g . C. B eckm ann ................. .......P resid ent
M inn ie B eckm ann ................V ice-P resid en t

F. W .

.Cashier

B uis .......

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 246,921.12
696.94
O verd rafts .................... - .................
B onds, s ecu rities, ju d gm en ts
38,435.05
and claim s ...........................
B an kin g h ou se, furnitu re and
12,500.00
fixtures .......... ... ........................
709.44
B an kers’ con serv a tion fund ....
Due from national and state
64,235.67
banks .........................................
444.10
C hecks and item s of exchange
4,001.94
C ash in bank ...................... ........
5,000.00
U . S. bonds in ca sh reserve....

Capital stock ....... ............ ...... _...$ 25,000.
Surplus fund ................................
1,000.
U ndivided p rofits (n et) ..........
6,874.
Individual d ep osits s u b je ct to
ch eck ............._..........................
104,988.95
T im e certifica tes of dep osit
.... 224,705.26
S avings d ep osits .........................
4,788.07
C ashier’ s ch eck s outstanding..
396.95
Due to national and state
banks ......
5,000.00
D ep ositors’ guarantee fund
....
190.75

T otal


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

.$ 372,944.26

So88

R ESO U R CE S

T otal

4

372,944.26

160

BUREAU OF BANKING

Garrison

Farmers & Merchants Bank

Charter N o. 833

G. F. C tf. N o. 395

Butler County
Jabe B. G ibson ........................... —..President

E dw in A .

K rohn

............. _............ „...Cashier

S T A T E M E N T O F TUNE 30, 1927

RESOURCES

L IA B IL IT IE S

Loans and d iscou n ts ......... .....$
O verd ra fts ....................
B on d s, secu rities, ju d gm en ts
and claim s .............
O ther real estate ................... _...
B an kin g h ou se, furniture and
fixtures ........................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........
C hecks and item s of exch a n g e
Cash in bank ......
U . S. bonds in cash reserve....

84,971.77
3.42
28,653.74
5,415.86
3,300.00
301.55
24,377.13
116.06
3,021.13
753.47

T otal .................................$ 150,914.13

Geneva
Charter N o.

Capital stock .................................$
Surplus fund ............................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certificates o f d ep osit
T im e certificates of deposit ....
S avings deposits ....................
D ep ositors’ guarantee fund ....

10,000.00
2,000.00
385.81
36,619.50'
1,111.6997,918.69
2,794.96
83.48

Total ......... L .....................$ 150,914.13

Citizens State Bank
170

G.

F.

C tf. N o.

74

Fillmore County
M.
B olton ... ............. ..................... P resident
Len J. D avis ...........................V ice-P resid en t

C.
V . Glenn ........................................Cashier
Jay D avis ................................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ..............$ 410,133.37
Capital s tock ...............................$ 40,000.00
O verdrafts ............................................
1,099.84 Surplus fund ........
1,000.00
B on d s, secu rities, ju d gm en ts
Individual d ep osits s u b je ct to
and claim s ...............................
3,188.25 ch eck ........................................
96,459.67
O ther assets ............................
2,691.63
Dem and certifica tes of dep osit
320,081.79
O ther real estate
....................
57,509.25
S avings d ep osits .........................
17,942.62
B an k in g h ou se, furnitu re and
31.30
Certified ch eck s ............................
fixtures ....................
20,398.60
C ashier’ s ch eck s outstanding..
19,954.45
B an kers’ con serv a tion fund ....
1,362.89
Due to national and state
Due from national and state
banks ......
12,494.89
banks ............................................
17,431.16 B ills payable ......
19,900.00
C hecks and item s o f exchange
1,037.65
D ep ositors’ guarantee fund ....
330.31
Cash in bank ....................................
9,492.39
U . S. bonds in cash reserv e...
3,850.00
T otal .................................$ 528,195.03
T otal ................................ $ 528,195.03


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

BU REAU O F BANKING

Geneva

161

Geneva State Bank

C harter N o. 524

G. F . C tf. N o. 198

Fillmore County
E . J. D em pster .................... ...........P resid en tE a rl H . W ilkin s .................................. Cashier
C h a s. H . Sloan .................... .V ice-P resid en tC a rl E. S chneider ................A s s ’ t. Cashier
S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 765, 873.81
570.27
O v erd ra fts ............. _........................
B o n d s, secu rities, ju d gm en ts
and claim s ...............................
18- 950.00
O th er real estate ........................
18, 000.00
B an k in g hou se, furnitu re and
fixtures .....................................
21,000.00
D ue from national and state
banks ...............................
54,332.32
C hecks and item s o f exch a n ge
7,441.44
Cash in bank ................................
10,929.79
U . S. bonds in cash reserve.... 100,000.00

Capital stock ............................_...$ 100,000.00
Surplus fund .................
20,000.00
U ndivided profits (n et) ...........
3,816.99
Individual deposits s u b ject to
ch eck ....................
304,816.23
Dem and certifica tes of d eposit
514,805.87
S avings d ep osits ....................
28,102.20
C ashier’ s ch eck s outstanding..
24,978.25
578.09
D ep ositors’ gu aran tee fund _
T otal ................................... $ 997,097.63

T otal ................................ ...$ 997,097.63

Genoa

Farmers State Bank

C harter N o. 1422

G. F . C tf. N o. 944

Nance County
John C arstenson ............................P resid ent
W . B. Irw in ........................ V ice-P resid en t
O . J. N elson ..........................V ice-P resid en t

O.

J.

N elson

....................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............. ...$ 153,164.40
O verd ra fts ................. .....................
349.30
B o n d s, secu rities, ju d gm en ts
and claim s ..............................
2,980.76
O ther assets .................... - .........—.
216.14
O ther real estate .........................
8,828.51
B an kin g h ou se, furniture and
fixtures .................— ...............
11,900.00
B an k ers’ con serv a tion fund ....
408.11
D ue from national and state
ban ks .........................................
27,455.71
C hecks and item s of exch a n ge
423.78
C ash in bank ................................
1,747.25
Federal reserve bank stock .....
800.00
T otal ......... .......... ............ $ 208,273.96

7


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

L IA B IL IT IE S
Capital s tock ................................$
Surplus fund ......
U ndivided profits (n et) ......
Individual d ep osits su b ject to
ch eck .........
Dem and certifica tes of d eposit
T im e certifica tes o f d eposit ....
R e -d iscou n ts ..................................
B ills payable ......
D ep ositors’ guarantee fund
....

Total

25,000.00
1,250.00
28.11
58,408.20
1,303.20
97,471.55
14,515.21
10,160.02
137.67

.$ 208,273.96

»

BU REAU O F BANKING

162

The Commercial Bank of Gibbon

Gibbon
C harter N o.

G. F . C tf. N o. 75

174

Buffalo County
Geo.

C.

L u n ger

....... .................... P resident

R o sco e L u n ger ........................ -..........C ashier
J. P. G odberson ..................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts .............. $ 293,656.30
O verd rafts ................. .....................
2,001.72
B on d s, s ecu rities, ju d gm en ts
and claim s .............- ................
1,267.76
O ther assets ,........ ,................ —
5,336.50
O ther real estate
....................
6,600.00
B an kin g hou se, furnitu re and
3,500.00
fixtures ........................... -.........
B an k ers’ con serv a tion fund ....
785.08
Due from national and state
banks .........................................
8,677.10
C hecks and item s of exch a n ge
1,581.49
Cash in bank ................................
4,537.80

Capital stock ................................$
Individual d ep osits s u b ject to
ch eck ........... .....................—....
T im e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
B ills payable ...... :..........................
D ep ositors’ gu arantee fund —

T otal ....... ................... - ......$ 327,943.75

T otal ..................................$ 327,943.75

Gibbon
C harter N o.

20,000.00
105,832.44
176,280.16
8,371.52
17,250.TO
209.63

Exchange Bank
G.

175

F.

C tf.

N o.

76

Buffalo County
I.

A.

„P resid en t

K irk .........................

W.

C.

O g ilv ie

................................... Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts .............. $ 346,083.48
O verdrafts .................................. r—
1,161.47
B on d s, secu rities, ju d gm en ts
and claim s ..............................
12,546.77
O ther real estate .............
24,498.80
B an k in g hou se, furnitu re and
fixtures .....................................
2,800.00
B an kers’ con serv a tion fund ....
1,014,36
Due from national and state
banks .................... - ..................
46,237.76
C hecks and item s of exchange
1,989.25
Cash in bank ................................
4,436.85

Capital stock ................................ $ 30,000.00
Surplus fund ....
10,000.00
U ndivided p rofits (n et) ..........
3,211.39
Individual d eposits s u b je ct to
ch eck ............................... ;.......
187,533.01
Tim e certifica tes of dep osit
.... 180,159.81
S avings d ep osits .........................
7,629.60
C ashier’ s ch eck s outstanding..
3,950.00
Due to national and state
ban ks .................................. - ....
7,271.93
B ills payable .............
10,750.00
D ep ositors’ gu aran tee fund ....
263.00

T ota l ................................ $ 440,768.74


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

T ota l

............................$ 440,768.74

BUREAU OF BANKING

Gilead
C harter N o.

163

State Bank of Gilead
802

G.

F.

C tf.

N o.

373

Thayer County
E . R . H enrichs ...............................P resid ent
E . L . L o o ck ....................... .V ice-P resid en t

............... Cashier
.A s s ’ t. Cashier

E . H . Schulz
R ose H erg ott

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......_........$ 193,250.94
O verd ra fts .............
868.99
B on d s, secu rities, ju d gm en ts
and claim s ..............................
4,519.30
O ther assets ...................................
1,752.21
O ther real estate .........................
33,692.90
B an kin g hou se, furniture and
fixtures ........
5,000.00
B an kers’ con serv a tion fund ....
580.55
Due from national and state
banks .........
14,535.17
Cash in bank ................................
1,300.65
T otal

255,500.71

Giltner

Capital stock ............................... $
Individual d ep osits s u b je ct to
ch eck ................... ....... ’..... .....
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
S avings d eposits ........................
B ills payable ................................
D ep ositors ’ guarantee fund ....

20,000.00
45,795.51
2,000.00
168,987.46
3,545.80
15,000.00
171.94

255,500.71

T otal

Citizens Bank

C harter N o. 899
Hamilton

G.

F.

C tf.

N o.

447

County
Operated by Guarantee Fund Commission
STATEM ENT

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 101,152.21
O v erd ra fts .....
657.56
O th er assets ............... -.................
11,373.71
Ju d gm en ts and claim s ............
7,932.99
O ther real estate .......................
31,551.25
B an k in g h ou se, furnitu re and
fixtures ........................... .. .......*
5,000.00
B an k ers’ con serv a tion fund
....
413.63
D ue from national and state
banks .........................................
5,477.54
C hecks and item s o f exch a n ge
219.17
Cash in bank ..................... .....-....
1,049.11

10,200.00
Capital stock ........ .—................. $
Surplus fund .................................
449.41
Individual d eposits su b ject to
ch eck .............................:.
33,533.84
Dem and certifica tes of dep osit
7,503.65
Tim e certifica tes of dep osit
....
95,202.65
S avings d eposits .........................
1,287.42
B ills payable ..................................
6,000.00
D ep ositors’ guarantee fund ....
100.20
O ther liabilities ..........................
10,550.00

T otal


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

.$ 164,827.17

Total

.$ 164,827.17

BU REAU O F BANKING

164

Giltner State Bank

Giltner
Charter N o. 1419

G - F - C tf- N o - 941

Hamilton County
C S B row n ............. - ...................... P resid ent
E.' D. Snider ........................V ice-P resid en t

M.

L.

Cramer

..........- .....— ............. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 215,368.87
770.92
O v erd ra fts ..................................
B on d s, secu rities, ju d gm en ts
134.50
and c l a i m s ....... ................... —
38,800.59
O th er real esta te --------- ------B an k in g h ou se, furniture and
8 , 000.00
fixtures .............- ......................
542.92
B an k ers’ con serv a tion fund ....
Due from national and state
13,289.70
banks ......- ..... - ..... - ...................
629.49
C hecks and item s of exchange
1,981.04
Cash in bank ............. - .................

Capital s to c k ......... .................... -$
Surplus fund ....... ..........................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ............. - ...................... ....
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit ....
S avings d ep osits ....................
C ashier’ s ch eck s outstanding..
Due to national and state
banks ....... .................................
B ills payable ..................................
D ep ositors’ guarantee fund ....

1, 000.00

290.58
53,744.80
19.500.00
130,271.94
15,385.06
1,295.34
366.10
32.500.00
164.21

T ota l ....... ........................... $ 279,518.03

T ota l ....... .......... .................$ 279,518.03

Gladstone

25,000.00

State Bank of Gladstone

C harter N o. 1471

G - F - C tf- N o - 993

Jefferson County
F
W . H enkel ......... .......- .........-...President
H W . M en ssen ....................V ice-P res id en t
E m il G. K rau se .................V ice-P resid en t

John

Selk,

J r .............. - ............ - ..... - . . . C a s h i e r

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$
O verd rafts .............. ........................
O ther assets ......- ..........................
O ther real estate .............- .......
B an k in g h ou se, furnitu re and
fixtures ............................ .........
B an k ers’ con serv a tion fund ....
Due from national and state
^
s
__ ......_________
C hecks and item s o f exchange
Cash in bank .................... - .......... .

51,235.59
237.89
85.92
1,439.43

■$

65,108.37

T otal


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

3,188.13
130.31

Capital stock ................... ..............$
Individual d ep osits s u b je ct to
ch eck .............- ..........................
Tim e certifica tes of dep osit
—
S avings d ep osits ........................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund
....

10,000.00

..$

65,108.37

17,386.82
21,543.78
16,126.29
9.32
42.16

6,648.98
622.87
1,519.25
T otal

BU REAU O F BANKING

Glenrock
C harter N o .

165

Community State Bank
1467

G.

Ctf< No> 989

Nemaha County
U
C . G i l b e r t . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . P r e s i d e n t M a r g a r e t J . W r e n ........... . . . . . . . . . . . . . . . . . C a s h i e r
D.
R ohrs ........... ..................V ice-P resid en t W . A . S chellenberg .......... A s s ’ t. Cashier
S T A T E M E N T O F J U N E 30, 1927
RE SO U RC ES

L IA B IL IT IE S

L oans and d iscou n ts ............. _.$
O verd rafts .............
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................
B an kin g hou se, furnitu re and
fixtures .............
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank __________
T otal

---------------------------$

Glenvil

29,010.03
11.86
335.00
5,000.00
68.76
3,544.34
86.40
3,425.29

Capital stock ............. ...................$
Surplus fund ......... .................... .
U ndivided profits (n et) ..........
D ividends unpaid ........................
Individual d ep osits s u b je ct to
ch eck ........................................
T im e certifica tes o f dep osit ....
Due to national and state
banks .......................... ...... ......
D ep ositors’ guarantee fund ....

10 , 000.00

T otal .............. ............ ....$

41,481.68

41,481.68

500.00
416.73
169.50
18,803.71
6,837.42
4,733.36
20.96

State Bank of Glenvil

C harter N o. 727

G. F . C tf. N o. 321

Clay County
■ ?

L . L . B randt ....... ..... ..................... President
L . E . U den ....... .................V ice-P resid en t

STATEMENT O

J.
J.
f

- *—

J. M ohlm an ........... ........................Cashier
H . Itzen .............. ............. A s s ’ t. Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 216,325.18
2,239.96
O verd ra fts ......
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................
2,206.88
O ther assets .................. •....... .....
901.52
O ther real estate .........
9,201.42
B an kin g h ou se, furnitu re an d
fixtures ......
11,700.00
B an k ers’ con serv a tion fund __
664.55
Due from national and state
ban ks ____________________
9,679.34
Checks and item s o f exch a n ge
230.14
Cash in bank ___
4,497.63
U . S. bonds in cash reserve....
4,000.00

Capital s to c k .................................$ 30,000.00
Surplus fund ........................... _....
6,000.00
Individual d ep osits su b je ct to
ch eck .........................................
47,475.98
Tim e certifica tes o f dep osit
160,882.73
S avings d ep osits .......
2,298.37
C ashier’ s ch eck s outstanding..
30.00
14,800.00
B ills payable .............
D e p ositors’ guarantee fund
....
159.54

T otal


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

..$ 261,646.62

T otal

.$ 261,646.62

BU REAU O F BANK ING

166

Glenvil

Farmers State Bank

Charter N o. 1087

G. F . C tf. N o. 611

Clay County
............P resid ent
..V ice-P resid en t

Geo. W . F lesn er
R . Johnson .........

.............. Cashier
.A s s ’ t. Cashier

R . C. P eters ...
A . W . B ecker ...

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

RESOURCES
302,036.64
1,063.19

L o a n s a n d d i s c o u n t s ...... . ........ $
O verd rafts ......- ......... ................
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
Other real estate .............- ..........
B a n k in g h o u s e , fu r n it u r e a n d
fixtures .............- ......................
B an kers’ con serv a tion fund ....

2,921.78
23,501.05
9,300.00
837.65

Due from national and state

21,009.01
3,679.51
4,000.00
2,038.40

banks ........................- ...............
C a s h i n b a n k . . . . . . - ..... - . . . . . . . . . . . . . . . . .
U . S. b o n d s i n c a s h r e s e r v e . . . .
C h e c k s a n d ite m s o f e x c h a n g e

T ota l ......................... .........-$ 370,387.23

Goehner
C harter N o.

Capital stock ......... ~.................... $ 25.000.
10. 000.
Surplus fund ................................
423.68
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
56,079.84
ch eck .................- ..................
2 , 000.00
D em and certifica tes of d ep osit
T im e certifica tes of dep osit .... 237,357.00
13,258.75
S avings d ep osits ..........................
105.00
C ashier’ s ch eck s outstanding..
Due to national and; state
6.791.85
banks
—...—---------------—
9.139.86
R e-d iscou n ts ............. - .........- ........
10, 000.00
B ills payable ......—.......... - — ........
231.25D ep ositors’ gu aran tee fund —
T ota l .................. ................-$ 370,387.23-

Goehner State Bank
G.

714

Seward

F.

C tf.

N o.

308-

County

T. H. Wake __________ ______ P resid en t
G eorge B au er, J r ..........- ..... .V ice-P resid en t

M . M ad son , Jr.
A nna M . Tem pel

.............. C ashier
.A ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .—..................................
O ther real estate — ........ - .........
B an kin g h ou se, furnitu re and
fixtures ..............-......................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .................... - ..................
C hecks and item s of exchange
Cash in bank .—........ - .................
U . S. bonds in ca sh reserve....

Total


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

131,562.08
476.08
600.00
3,250.00
390.70
35,506.69
496.87
1,230.34

Capital stock ................................$
Surplus fund ........................... - ....
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck ...................................
Dem and certifica tes of d eposit
S avings d ep osits .........................
D ep ositors’ guarantee fund
—

7,500.00'
8,500.00
1,970.94
53,539.59'
97,169.41
5,740.47
92.35

1 , 000.00

.$ 174,512.76

T otal

.$ 174,512.76

00'

00'

BUREAU OF BANKING

Goodwin

167

Goodwin State Bank

C harter N o. 1533
Dakota

G. F . C tf. N o. 1055
County

J- C. D u ggan .............. ..... ...... _......P resident
H . H . A d air ....................... .V ice-P resid en t

T hom as J.

B rozek ___ ____________Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ................$
O v erd ra fts .......................................
B on d s, s ecu rities, ju d gm en ts
and claim s .................
O ther assets ..................................
B an kin g hou se, furniture and
fixtures .............
B an kers’ con serv a tion fund ....
Due from national and state
banks .....................................
Cash in bank ................ _..............

56,073.96
83.78
24,000.00
591.51
5,000.00
233.19

10,000.00
24,471.64
20.50
70,883.73
1,243.79
71.95

19,849.08
860.09

T otal ........... ........................$ 106,691.61

Gordon

Capital stock ..................................$
Individual d ep osits su b ject to
ch eck — .........
Dem and certifica tes o f dep osit
T im e certifica tes o f d ep osit ....
S avings d eposits ......
D ep ositors’ guarantee fund ....

T otal ......... .........................$ 106,691.61

G ordon State Bank

C harter N o. 965

G. F> C tf

No> 505

Sheridan County
F.

C. H ill ..._........ ---------------------- P resid ent

I. S. M agow an ............. ...................... Cashier
B lanche P arker ....................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 304,367.72
O v erd ra fts ................... _.................
1,635.88
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................
125,380.73
O ther real estate ................
19,908.59
B an k in g hou se, furnitu re and
13,000.00
fixtures ....................
B an k ers’ con serv a tion fund __
977.89
D u e from national and state
banks _____
82,555.10
C hecks and item s o f exch a n ge
2,590.84
C ash in bank ___
15,164.41
T ota l ...


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

4

565,581.16

Capital s tock .................... .......... 4
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ....................
T im e certifica tes o f d ep osit _
C ashier’ s ch eck s outstanding..
Due to national and state
banks .............
D ep ositors’ guarantee fund ....
R eserv ed for taxes ____

40,000.00
15,000.00
2,430.78
271,228.41
226,907.15
6,921.15
632.14
292.19
2,169.34

T otal .................................. .$ 565,581.16

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

169

BUREAU OF BANKING

Gothenburg

Gothenburg State Bank

'C h a rter N o. 1272
Dawson
H.
E.

L.
J.

G. F . C tf. N o . 794
County

W illiam s
_____ _______ P resid ent
L ou tzen h eiser ........V ice-P resid en t
STATEM EN T O

G. G. H am pton ___________________ Cashier
F.
C. N elson __ „...... ......... A s s ’ t. Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ..........- ....$ 438,359.03
•O verd rafts ......- ............ —
3,483.38
B on d s, secu rities, ju d gm en ts
and claim s ......
47,310.00
•Other real estate ............ —........
8,200.00
B an kin g hou se, furnitu re and
11,500.00
fixtures .............
B an kers’ con serv a tion fund —
1,340.83
Due from national and state
banks __________
96,935.74
•Checks and item s o f exch a n ge
337.25
•Cash in bank .............
12,440.42

Capital s tock __________________ $ 50,000.00
Surplus fund -----15,000.00
U ndivided p rofits (n et) --------10,483.71
Individual d ep osits s u b je ct to
ch eck ___________
232,088.65
Dem and certificates o f d ep osit
1,877.70
T im e certificates o f deposit — 309,145.50
C ashier’ s ch eck s outstanding..
311.55
Due to national and state
banks ....... ............ - ---591.14
D ep ositor’ s gu arantee fund _
408.40

T otal ___________________ $ 619,906.65

Total ___________________ $ 619,906.65

Gothenburg

Farmers State Bank

•Charter N o. 1273

G. F . C tf. N o. 795

Dawson County
Glen P rice .................................. ....P resid ent
E.
E . P rice ______ __ _____ V ice-P resid en t

R oss

P rice

.................- ................- ........Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts
..............184,705.92
1,515.49
O verd rafts --O ther assets .......
319.84
17,500.00
O ther real estate .................... —
B an kin g h ou se, furniture and
fixtures ......- ................. —
2,500.00
B an kers’ con serv a tion fund —
596.25
Due from national and state
banks .................................. - ....
20,555.89
C hecks and item s o f exchange
3,331.39
■Cash in ban k .............
4,437.25

Capital s tock ......... ..................... $ 25.000.
2,500.00
Surplus fund ......- ....................—
Individual d ep osits s u b je ct to
61,571.46
ch eck ......... .................— -----T im e certifica tes o f d ep osit — 115,872.63
7,149.50
S avings d eposits ............ - ....... Due to national and state
13,226.94
banks ---- ----------------------------10. 000.
B ills payable ............................... —
141.50
D ep ositors’ guarantee fun d —

.

R ESO U R CE S

T otal


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

.$ 235,462.03

T otal

.$ 235,462.03

00

00

BUREAU OF BANKING

170

Graf

Bank of Graf
G. F . C tf. N o. 300

Charter N o. 695
Johnson County
A . F . H ahn .................................„..P resid en t
E d. B roady ........................... .V ice-P resid en t

J. R . A llen ..............- .....- ............... „..C ash ier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$
O verdrafts ........................... - .........
B an kin g h ou se, furniture and
fixtures ...............................
B an kers’ con serv a tion fund ....
Due from national and state
banks ......
Checks and item s of exch a n ge
Cash in bank ......- ............ - .........

81,620.80
126.09
8,800.00
241.73
19,478.51
138.68
1,942.61

T ota l .................................. $ 112,348.42

Grafton

Capital s to c k ............. ............. „..$
Surplus fund ......
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .......
T im e certifica tes o f dep osit ....
D ep ositors’ guarantee fund ....

20,000.00
1,000.00
604.12
39,881.15
50,804.69
58.46

T otal ................................... $ 112,348.42

Grafton State Bank
G. F .

Charter N o. 693

C tf. N o. 299

Fillmore County
........ - ............. P resid ent
T om F itzg era ld
W m . A . S tu ckey ____ ___„..V ice -P re s id e n t

T h om as N .

B urke

..Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 222,904.89
O verd rafts ....................................
304.66
B on d s, secu rities, ju d gm en ts
and claim s .............
75,163.50
O ther real estate ............. ...... „ ..
14,488.55
B an k ers’ con serv a tion fund ....
965.90
Due from national and state
banks .......................- ...............
30,736.85
Cash in bank .................... - ..... - ....
6,570.90
U . S. bonds in cash reserve....
15,000.00

Capital stock ............. ...................$ 10,000.00
Surplus fund .................... - ..........
10,000.00
U ndivided p rofits (net) ..........
243.28
Individual d ep osits s u b je ct to
ch eck ................................................82,597.03
Dem and certifica tes of d ep osit
31,897.67
T im e certifica tes of dep osit
— 231,156.94
D ep ositors’ guarantee fund
—
240.33

Total ................... ....... - ......$ 366,135.25

T otal ............. - .................... $ 366,135.25


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

171

BUREAU OF BANKING

Grainton
C h a rter N o.

Perkins County State Bank
1458

Perkins

G.

F.

C tf. N o .

980

County

W . G. M cC lin tock .......................... President
C.
B radley ___ ........___ ___ .V ice-P resid en t

H a rry P . B radley ................................C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............ —$
•Overdrafts ......
O ther assets .................
•Other real estate .............
B an k in g h ou se, furnitu re and
fixtures ...............------------------B an kers’ con serv a tion fund ....
Due from national and state
ban ks ----C h e ck s and item s of exch a n ge
•Cash in bank ..........

61,701.87
133.64
4,557.59
31,455.47
5,000.00
244.98

Capital s tock ....... .........— ........... $
Surplus fund ................. v............
Individual d ep osits s u b je ct to
ch eck ......- ........... — --------—.
Dem and certifica tes o f dep osit
T im e certifica tes o f dep osit —
D ep ositors’ gu aran tee fund —

10,000.00
5,000.00
26,153.67
13,343.09
59,935.68
79.46

9,179.09
1,072.84
1,166.42

T ota l ....... ................... - ....$ 114,511.90

T ota l ........... ...................... $ 114,511.90

Commercial State Bank

Grand Island

G. F . C tf. N o. 242

C h a rter N o. 607
Hall County
.......... P resid en t
.V ice-P resid en t

U lm er W illiam s
C. H . M en ck ...

C. H . M en ck ------ ---- --------------------- Cashier
V . E . W arren -------------------A s s ’ t . Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ------------- $1,027,558.89
■Overdrafts ---------------------150.82
B on d s, secu rities, ju d gm en ts
and claim s .................... - ......
103,260.17
O ther real estate .................... —
7,500.00
B an k in g h ou se, furnitu re and
51,375.10
fixtures ............. - ..... - ...............
B an kers’ con serv a tion fund
....
2,849.34
Due from national and state
banks ......... - .....- ......................
105,177.69
C h e ck s and item s o f exch a n ge
7,320.93
C a s h in bank -------40,854.11

Capital s to c k — ...........................$ 150,000.00
Surplus fund ......
30,000.00
U ndivided p rofits (n et) ......
9,021.76
3,320.00
D ividen ds unpaid ----Individual d ep osits s u b je ct to
ch eck ...................................
356,400.98
T im e certifica tes of dep osit — 665,117.09
C ertified ch eck s .............- ............ 50.00
C ashier’ s ch ecks outstanding..
5,753.28
Due to national and state
banks ......... - ................- .....
300.00
R e-d iscou n ts ......— ........ - --- -----42,000.00
D ep ositors’ guarantee fund —
1,471.44
B onds sold w ith re-p u rch a se
agreem ents .....—......................
82,612.50

T ota l ....... ........................... $1,346,047.05

T ota l ________________-__ $1,346,047.05


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

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

173

BUREAU OF BANKING

Grant

Commercial Bank of Grant

C harter N o. 849

.

G. F . C tf. N o. 406

Perkins County
B.
G.

F . H a stin gs ............................ President Louis J. W itte n b e rg e r ..................... Cashier
B . H a stin gs ................... V ice-P resid en t F era e S. Gaddis ..................A s s ’ t. Cashier
S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts — ....... —$
O verd rafts ......- ...........................—
O ther assets ............. - ..... - ...........
O ther real estate .........................
B an kin g hou se, furniture and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ............. - ..........................
C hecks and item s of exchange
Cash in bank .............- ..................
U . S. bonds in cash reserve....
O ther cash resou rces .................

285,444.17
2.003.48
1.906.48
55,967.17
18,600.00
781.32
34,546.76
1,777.78
1,487.16
50.00
1,389.76

T otal ................................... $ 403,954.08

Capital stock .................... ~........... $
Individual d ep osits s u b je ct to
ch eck .................... - ... - .........
Dem and certifica tes of d eposit
Tim e certifica tes of dep osit ....
C ashier’ s ch ecks outstanding..
Due to national and state
banks ........................... - ...........
B ills payable .............- ....- ............
D ep ositors’ guarantee fund ....

50,000.00
120,144.87
9,088.91
135,853.14
5,633.93
54,941.43
28,084.45
207.35

T otal .................... T........... $ 403,954.08

Farmers State Bank

Grant

G. F .

C harter N o. 1286

C tf. N o. 808

Perkins County
M.
E.

D . K eller
G ebhart ...

____ P resid ent
..V ice-P resid en t

E . E . Jackm an
H . E . H atch ...

................Cashier
.A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 287,479.30
1,108.25
O v erd ra fts ......- ............ - .....- .....
B on d s, secu rities, ju d gm en ts
5,407.31
and claim s ............. - ..... - .........
6 , 211.88
O ther real estate ............... — --B an kin g hou se, furnitu re and
10,
000.00
fixtures .............------- ------------822.60
B an kers’ con serv ation fund ....
Due from national and state
65,905.99
ban ks ......... - .........- ..... - .....- ....
287.16
C hecks and item s of exchange
4,644.91
Cash in bank ......... ..........- ..... —
8,900.00
U . S. bonds in cash reserve....
T otal


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

.$ 390,767.40

Capital stock, ............— ............ —$
Surplus fund ......- .....- ................—
U ndivided profits (net)_ ..........
Individual d ep osits su b ject to
ch eck _.................... —----T im e certifica tes of dep osit —
D ep ositors’ guarantee fund ....
R eserv e for depreciation ------

T otal

30,000.00
12,500.00
6,734.37
148,081.73
192,733.65
267.65
450.00

.$ 390,767.40

174

B U R E A U

Greeley
Charter N o.

O F

B A N K I N G

Bank

Greeley £

G.

184

F.

C tf. N o . 77

G reeley C ounty
W.

H.

Hanna ................................. President
STATEM EN T C

C ashier
J. F . M cD erm ott ....................
M . J. H arrahill ................... A s s ’ t. C ashier
JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ...............$ 328,236.66
O v erd ra fts .......................................
945.63
B on d s, secu rities, ju d gm en ts
and claim s .............- .................
24,766.70
O ther real estate ................ - ......
59,744.93
B an king h ou se, furnitu re and
fixtures .....................................
10,000.00
B an kers’ con serv a tion fund ....
1,042.82
Due from national and state
banks .........................................
14,521.49
C hecks and item s of exch a n ge
355.13
Cash in bank ....................- ...........
6,474.35
U . S. bonds in cash reserve....
7,100.00
13.00
O ther cash resou rces ..............

Capital stock .................... ...........$ 60,000.00
Surplus fund ....................
2,000.00
505.74
U ndivided p rofits (n et) ..........
Ind ivid u al d ep osits s u b je ct to
ch eck ............._............ - ...........
127,261.09
Dem and certifica tes of d ep osit
2,641.22
T im e certifica tes of dep osit
.... 249,922.35
S avings d ep osits ......354.80
Due to national and state
banks .................... 238.42
B ills payable ..................................
10,000.00
D ep ositors’ gu aran tee fund
....
277.09

T ota l ..................................$ 453,200.71

T otal .................... ............. $ 453,200.71

Greenwood
C harter N o.

.

.

R ESO U R CE S

Farmers State Bank

1164

G. F .

C tf. N o.

686

Cass C ounty
W.

C.

E lm elund

......... — .......„..P resid en t

N.

W.

E lm elund ...................... ....

.C a s h ie r

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 212,395.52
625.30
O verd rafts ...................................
7,707.93
O ther real estate ......- .................
B an kin g h ou se, furnitu re and
5,445.81
fixtures ......... ..........- ............ —
517.03
B an k ers’ con serv a tion fund ....
Due from national and state
13,934.99
banks ......- ............—- ...............
2,808.15
C hecks and item s of exch a n ge
3,503.79
Cash in bank ............ - .....— ........
350.00
U . S. bonds in cash reserve....
83.50
O th er cash resou rces ......- ........
T otal


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

.$ 247,372.02

Capital s tock — ........................... $
Surplus fund — ............ - .........- ....
U ndivided p rofits (net)_ ......—
Individual d ep osits s u b je ct to
ch eck ............. ........ ...................
T im e certifica tes of dep osit ....
D ue to national and state
banks ......- ..... - .....
—
B ills payable .................... - .........—
D ep ositors’ gu aran tee fund —

Total __

15.000.
2,500.00
153.71
74,447.27
120,345.44
14,788.

20. 000.

136.

.$ 247,372.02

00

BU REAU O F BANKING

Greenwood
C harter N o.

175

Greenwood State Bank

1587

G.

F.

C tf. N o.

1110

Cass C ounty
P . L . H all, J r ......... _.......................President
E.
A . L andon ....................V ice-P resid en t

E.

O.

M iller

..._...................... ...... -...Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...... .........$ 181,450.76
O verd ra fts ....................
179.69
B on d s, secu rities, ju d gm en ts
and claim s ..............................
7,538.32
B an kin g h ou se, furnitu re and
fixtures ...................................—
16,000.00
D u e from national and state
27,120.50
banks ........ ........... - ..................
C ash in bank .....................
4,510.14
U . S. bonds in cash reserv e—
5,000.00
86.08
O th er cash resou rces — ...........

Capital s tock ......... ..................... $ 25,000.00
Surplus fund ................................
4,000.00
2,859.01
U ndivided p rofits (n et) .........
Individual d ep osits s u b je ct to
ch eck .................... ...... - .....- ....
84,619.71
Dem and certifica tes of d ep osit
2,078.00
T im e certifica tes of d eposit .... 112,731.69
Savings d ep osits ......
_...
9,663.75
Certified ch eck s ....................
6.00
C ashier’ s ch eck s outstanding..
331.33
D ep ositors’ guarantee fund ....
596.00

T otal ................................... $ 241,885.49

T otal ....................................$ 241,885.49

Gresham
C harter N o.

Gresham State Bank
1122

G.

F.

C tf.

N o.

645

York County
G.
H . B ond ...... - ........................... P resid en t
R o b t. H eineke ............. - ......V ice-P resid en t

D avid Y u n g ...................... .............. — Cashier
A n n a J. T h om p son ..............A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oa n s and d iscou n ts ............... $
O v erd ra fts .................... ..................
B an k in g hou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund —
D ue from national and state
banks ........................ -...............
C hecks and item s of exchange
Cash in bank _................... ...... ......
U . S. bonds in cash reserve....
T otal


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

199,511.71
2.712.44
10, 000.00
519.98
46,039.27
1,457.59
3.284.45
5,718.70

__ $ 269,244.14

Capital s to ck ......... - ................... $ 25,000.00
Surplus fund ................................
5,000.00
1,548.19
U ndivided p rofits (n et) ......_...
Individual d ep osits s u b je ct to
ch eck ............. ...........................
55,079.43
Dem and certificates of deposit
85.37
T im e certificates o f deposit .... 147,719.12
S avings deposits ......- ................—
34,656.47
D ep ositors’ guarantee fund —
155.56
T otal

._...$ 269,244.14

176

BU REAU O F BANK ING

Gretna
C harter N o.

Farmers & Merchants Bank
588

G.

F.

C tf.

N o.

233

Sarpy County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L IA B IL IT IE S
Loans and d iscou n ts ............. _.$ 165,534.61
O verd rafts ...........................
732.89
B on d s, s ecu rities, ju d gm en ts
4,611.82
and claim s ......
O ther assets ........................
6,313.58
O ther real estate __..__________
100,509.64
B an kin g hou se, furnitu re and
fixtures ...............
9,441.63
697.62
B an kers’ con serv a tion fund _
Due from national and state
banks .........................................
6,759.09
C hecks and item s of exch a n g e
452.25
Cash in bank ............................
1,799.22
T otal ............................. ......$ 296,852.35

Gretna

Capital s to c k ............. ............ „....$ 20,000.00
U ndivided p rofits (n e t) .......................571.21
Individual d ep osits s u b je ct to
ch eck ........................... _.
58,052.24
Tim e certifica tes o f d ep osit
194,517.18
S avings d ep osits ......- ............ ....
11,868.73
Certified ch ecks ....................
25.00
C ashier’ s ch eck s outstanding..
466.69
B ills payable .............
11,150.00
D ep ositors’ guarantee fund ....
201.30

T otal

........ $ 296,852.35

Bank c Gretna

C harter N o . 1118

G.

F.

C tf. N o.

641

Sarpy County
M rs. P . J. L angdon ..................... P resid en t
L oren z Stahl ......... ............. .V ice-P resid en t
STATEM ENT (

E . T . H u gh es ......— ................... .......C ashier
Paul J. L angdon ................. A s s ’ t. C ashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 316,381.71
O v erd ra fts ........ :— ..... ..................
529.72
B on d s, s ecu rities, ju d gm en ts
and claim s ..........
64,027.42
55,239.90
O th er real estate .......................
B an k in g hou se, furnitu re and
fixtures ......
7,000.00
B an kers con serv a tion fund ....
1,465.44
D ue from national and state
banks ................... ...... .............
84,570.35
•Checks and item s of exchange
435.88
C ash in bank ________
9,390.90

Capital s to c k ................ ................$ 30,000.00
Surplus fund .............
4,000.00
U ndivided p rofits (n et) ......
1,862.32
Individual d ep osits su b je ct to
ch eck ...........................
142,118.26
Time_ certifica tes of d ep osit
.... 359,139.19
C ashier’ s ch eck s outstanding..
1,573.51
D ep ositors’ guarantee fund
348.04

T otal


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

.$ 539,041.32

T otal

.$ 539,041.32

BU REAU O F BANKING

Guide Rock
•Charter N o.

177

The Bank o Guide Rock

187

G.

F.

C tf.

N o.

78

W ebster County
J.

W . A u ld ....... .............................. President
STATEM ENT (

Fred M olley .............
Cashier
E rnest Y u n g ....................... Z A s T t.“ C ashier
J U N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts
..............180,891.05
'O ve rd ra fts .............
95.21
B on d s, secu rities, ju d gm en ts
and claim s — ............
11,000.00
O ther real estate ___________
4,000.00
B an king h ou se, furniture and
fixtures ........
3,000.00
B ankers con serv a tion
fund ....
475.15
Due from national and state
40,557.24
banks ....................
C h e ck s and item s o f exch a n g e
1,073.95
•■Cash in bank _________________
4,565.91

Capital stock .................... ...... ....$ 15,000.
Surplus fund ....... ........................
15,000.
U ndivided profits (n et) ..........
1,090.
Individual d ep osits s u b je ct to
ch eck .........................................
80,472.08
T im e certifica tes o f dep osit .... 120,650.95
S avings d ep osits ..........................
13,248.46
C ashier’ s ch ecks outstanding..
40.00
D ep ositors’ gu arantee fund ....
156.54

T ota l ....... ...................— $ 245,658.51

T otal .................. ........._...$ 245,658.51

Guide Rock

Guide Rod

£88

R ESO U R CE S

State Bank

•Charter N o. 918

G.

F.

C tf. N o. 462

W ebster County
H . B . H un ter ........... ..................... President
H . W ich m a n n ............. ...... .V ice-P resid en t
STATEM ENT (

L loyd H . H un ter .........................„..C a sh ier
B . W ichm ann ............ .......... A s s ’ t. Cashier
' J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 232,861.69
' O verd rafts ___
2,888.94
B on d s, s ecu rities, ju d gm en ts
and claim s ......
11,385.00
O ther real estate ....................
10,850.00
B an kin g h ou se, furnitu re and
fixtures ......
5,000.00
624.42
B an k ers’ con serv a tion fund _
Due from national and state
banks ............ ................ .........
63,135.22
’ C hecks and item s o f exch a n ge
578.11
•Cash in bank ______________
6,503.68

Capital s tock — ......................._...$ 15,000.00
Surplus fund — ..............
15,000.00
1,077.43
U n divided p rofits (n et) _____
In dividual d ep osits s u b je ct to
ch eck ....
90,184.22
Dem and certifica tes o f dep osit
2,024.00
T im e certifica tes o f dep osit
185,344.26
B ills payable ........
25,000.00
D ep ositors’ guarantee fund ....
197.15

T otal


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

.$ 333,827.06

T otal

.$ 333,827.06

BU REAU O F BANKING

178

Gurley

Farmers State Bank

Charter N o. 1441

G. F . C tf. N o. 963

Cheyenne County
T.
p

J. H ansen .............................. P resid en t
p
H igg in s ......... _......... V ice-P resid en t

C. W . Sm ith ..................................... Cashier
C. H . R ow an ----------------------A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ....... ........$
O verd rafts ............. - .....- .........- ......
B on d s, s ecu rities, ju d gm en ts
and claim s ...........- .............
O ther assets ..................................
O ther real estate .........................
B an king hou se, furnitu re and
fixtures ............. .......................
B an k ers’ con serv a tion fund ....
D ue from national and state
banks ............. - ..... ........ ...........
Cash in ban k ............ — - .............

139,970.55
253.69
6,065.14
104.44
30,700.61
7,500.00
343.78

Capital stock — ...................... _...$
Surplus fund ................. ...-.........
In dividual d ep osits s u b je ct to
ch eck ....... ..... ........ ......... ■-----T im e certifica tes of dep osit ....
S avings d ep osits -----Due to national and state
banks ....................
B ills payable .................... - ..........D ep ositors’ guarantee fund —

79,081.60
76,899.28
3,055.18
5,500.00
10,000.00
123.18

4,793.24
2,927.79
T otal ....... ........................... $ 192,659.24

T ota l ...................................$ 192,659.24

Haig

15,000.00
3,000.00

State Bank of Haig

C harter N o.

1326

G.

F.

C tf.

N o.

848

Scotts Bluff County
F B R edfield ................................... P resid en t
M a ry E. R edfield ................. V ice-P res id en t

W.

C.

R edfield

.Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ....... ........$
O verd rafts — ........ ..........................
B on d s, secu rities, ju d gm en ts
and claim s .................... - ..........
O ther assets ....... ....................... .
B an king h ou se, furnitu re and
fixtures ..... - ..... - .................—
B an k ers’ con serv a tion fund
Due from national and state
ban ks .............— ......................
C hecks and item s of exchange
Cash in bank ........................... —
U . S. bonds in cash reserve....

32,340.28
517.44

T ota l ................................$

46,049.35


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

4,250.15
86.75
3,105.37
83.36

Capital stock .................................1
Surplus fund ................... ...........
Individual d ep osits s u b je ct to
ch eck ...................................
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit —
D ep ositors’ guarantee fund ....

10 , 000.00
3,500.26
19,425.38
2 , 000.00

11,099.02
24.69

4,363.98
111.29
890.73
300.00
T ota l

46,049.35

BU REAU O F BANKING

Haigier
“C harter N o.

179

Drovers & Traders State Bank
1291

G.

F.

C tf.

N o.

813

Dundy County
F red H .
F red R .

Crone ......... .....................President
W alk er ................. V ice-P resid en t

H . E. Crone ...................................... .Cashier
K . P. Crone .......................... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 115,629.57
O verd rafts .......................................
31.77
B on d s, secu rities, ju d gm en ts
and claim s ....................
8,078.89
O ther real estate .....................
18,290.63
B an king h ou se, furnitu re and
fixtures ............ _.....................
6,500.00
B an kers’ con serv a tion fund _
442.24
Due from national and state
banks .........
14,093.93
C hecks and item s o f exchange
239.47
Cash in bank ____
6,850.26
O ther ca sh resou rces
____
2,216.79
T otal .............. ................... .$ 172,373.55

Haigler
C harter N o.

Capital s tock __1........................... 5
Surplus fund ................... ............
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck ..................................... .
Tim e certifica tes of d eposit ....
B ills payable ........................... .....
D ep ositors’ guarantee fund ....

16.500.00
12.500.00
773.52
57.597.41
76.885.42
8 , 000.00

117.20

T otal --------------------- -------- $ 172,373.55

State Ban] of Haigler
188

G.

F.

C tf. N o.

79

Dundy County
Chas. Zu ege ..................................... President
W m . H . L a r n e d , J r .......... V ice-P resid en t
W m . Z u eg e __________
.V ice-P resid en t
STATEM EN T
R ESO U R CE S
L oans and d iscou n ts ............... $ 139,858.48
• O verd rafts ........................
98.05
B on d s, secu rities, ju d gm en ts
and claim s .................
13,186.76
O ther assets ........
8,895.06
_
37,429.90
O ther real estate
B an king h ou se, furnitu re and
fixtures ........
4,480.50
B an k ers’ con serv a tion fund __
503.10
Due from national and state
banks ........................
11,249.61
- C hecks and item s o f exch a n g e
372.18
Cash in bank .............
4,321.60
< U . S. bonds in ca sh reserv e ___
12,000.00
T otal ------------------------------$ 232,395.24


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

W m . H . Larned .............................. Cashier
L ee C. L oga n .................. „ . . A s s ’ t . Cashier
J U N E 30, 1927
L IA B IL IT IE S
Capital s tock ................................$
Surplus fund .............
Individual d ep osits s u b je ct to
ch eck .........................................
D em and certifica tes of deposit
T im e certifica tes of deposit ....
C ashier’ s ch eck s outstanding..
B ills payable ...........................
D ep ositors’ gu arantee fund _

30,000.00
1,500.00
65,503.01
13,239.78
92,520.54
1,001.83
28,500.00
130.08

T otal ________________232,395.24

BU REAU O F BANKING

180

Farmers State Bank

H a lla m
C harter N o.

1468

G.

F.

C tf. N o . 990

Lancaster County
D ietrich
R udolph

Cramer
G erlach

............................P resident A u g u st
................ .V ice-P resid en t

.Cashier

H eidecker

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd ra fts -------------- •—..... - ..........
B on d s, secu rities, ju d gm en ts
and claim s .........
—
O ther real estate -----------—
B an k in g hou se, furnitu re and
fixtures ......- ...................— ....
B an kers’ con serv a tion fund ....
Due from national and state
C hecks and item s of exchange
Cash in bank .............- ...................
U . S. bonds in cash reserve....

107,982.87
86.17
4.100.00
4,425.66
9,703.64
312.59

Capital stock ............. ............. -...$
Surplus fund .............- .....- ..........
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ......... - ............................
T im e certifica tes of dep osit ....
D ep ositors’ guarantee fund ....

20,000.00
400.00
40.75
30,605.88
105,121.06
83.81

25,802.17
5.25
2,383.15
1.450.00
T otal .............- .................. $ 156,251.50

T otal ..................................$ 156,251.50

Hallam Bank

H a lla m
C harter N o. 513

G - F - C tf‘ N o ‘ 191

Lancaster County
G.
F.

R ippen ____ _______ ___- ........... P resid en t
T . Carsten .....................V ice-P resid en t

F.

E.

Classen ......- .............. - ............. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ....... ........$
O verd rafts .............— ......... ...........
B an k in g h ou se, furnitu re and
fixtures ......- .....- ................ ......
B an kers’ con serv a tion fund —
Due from national and state
ban ks ------------ ---- ----------------Cash in bank ------------------ -------T otal


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

136,889.98
616.36
5 , 000.00

437.42
24,409.85
5,374.62

._.$ 172,728.23

Capital stock ....... ..........................$
Surplus fund ------ ---- - .......... ......
U ndivided p rofits (n et) --------In dividual d ep osits s u b je ct to
ch eck .—------- --------------- :-----T im e certifica tes of dep osit ....
D e p ositors’ gu arantee fund —
T otal

10 , 000.00

7,500.00
1,404.54
62,150.37
91,565.75
107.57

.$ 172,728.23

BUREAU OF BANKING

Hamlet

181

Farmers State Bank

C harter N o. 1349

G. F . C tf. N o . 871

Hayes County
O. E. N utzm an ........................... „..P resid en t L . E . H a rd y ......................................... Cashier
M . V . H ardy ------ ---- ----- „..V ice-P resid en t
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ________ $
O verdrafts ........................... ...........
O ther real estate ........................
B an kin g h ou se, furniture and
fixtures __ _________ ________
B an kers’ con serv a tion fund ....
Due irom national and state
ban ks ........................................
Checks and item s o f exchange
Cash in bank ..... ............. ..........
U . S. bonds in cash reserv e_
T otal ............. ..................... $

Hamlet

62,617.78
112.82
9,924.00
4,513.07
155.39
13,569.46
138.35
2,029.06
900.00

Capital stock ......... ................ ....$
Surplus fund ...
U ndivided p rofits (net) ......
Individual d ep osits su b ject to
ch eck ............. ....
T im e certifica tes of d eposit ~
S avings d eposits ....................
D ep ositors’ guarantee fund

93,959.93 .

T otal ..............................

25,000.00
550.00
1,906.83
24,614.16
40,958.87
880.51
49.56

93,959.93

State Bank of Hamlet

C harter N o . 1376

G. F .

C tf. N o . 898

Hayes County
L . C. C hurchill ......... — .............P resid ent
M rs. F . W . B loedorn ...... V ice-P resid en t

J.

M.

B u ffin gton

________________ Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $
O verd ra fts ______________
B an king h ou se, furniture and
fixtures ......_........ ..................
B an kers’ con serv a tion fund __
Due from national and state
banks ___
C hecks and item s o f exch a n ge
Cash in bank ......
U . S. bonds in cash reserve_
T otal


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

..$

79,015.33
675.96
2,300.00
172.44
7,344.25
1,008.30
777.82
950.00
92,244.10

Capital s tock ...............................$
Surplus fund _______
U ndivided profits (n et) ...........
Individual deposits s u b ject to
ch eck ____________
T im e certifica tes of dep osit ....
D ue to national and state
banks ......- ..............
D ep ositors’ guarantee fund .._
Total

.$

15,000.00
1,500.00
1,666.09
21,176.38
51,358.64
1,477.76
65.23
92,244.10

BU REAU O F BANKING

1 82

Hampton

Farmers State Bank
G. F . Ctf. N o. 675

C harter N o. 1153
H am ilton C ounty
A . E . Siekm ann ------------ ---- - .....-P r e s id e n t
C. S. B row n ............................ V ice-P resid en t
A . L . Gausm an ................... .V ice-P resid en t

R.

R.

Z ierott ............. - ................—... ..Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans

and d iscou n ts ...............$ 244,660.78

O ther real estate ........................
B an k in g hou se, furnitu re and
fixtures .................- ..................
B a n k ers’ con serv a tion fund _
Due from national and state
ban ks ......- .................................
C hecks and item s o f exchange
Cash in bank ..............................
U . S. bon d s in cash reserve....

19,997.64
7,500.00
628.02
46,566.85
932.36
3,574.48
5,500.00

Capital s tock ....... —..................... $ 25,000.00
3,000.00
Surplus fund .............- ..... - .....- ....
3,107.02
U ndivided profits (n et) ..........
In dividual d eposits su b ject to
94,485.36
ch eck .........................................
T im e certifica tes of dep osit — 165,484.35
10,517.08
S avings d ep osits .—................
909.24
C ashier’ s ch ecks outstanding..
27,700.00
B ills payable ............. - .................
181.19
D ep ositors’ guarantee fund —
T otal ......— ....................... $ 330,384.24

T ota l ........... ........................$ 330,384.24

Hansen

Hansen State Bank

C harter N o. 1150

G. F . C tf. N o . 672

Adams County
H . A . R edm an ____________ __ __ .P resident
C has. M . R edm an ......... ....... V ice-P resid en t

H.

L.

Sanderson .................... - ......... Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ...............-$
O v erd ra fts --------------B o n d s, s ecu rities, ju d gm en ts
and claim s ....... ............ - .....—
B an k in g h ou se, furnitu re and
fixtures ..... - ....................... —
B an k ers’ con serv a tion fund —
D ue from national and state
ban ks ............. - ..... - ........ — ....
C hecks and item s of exch a n ge
Cash in bank ............ - .................
U . S. b on d s in cash reserve....

48,371.47
33.86

.$

70,650.92

T otal


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

9,060.50
5,000. 00
143.24

Capital s to c k __________________ $
Surplus fund ............. — ---------Individual d ep osits s u b je ct to
ch eck
- ...........—............
T im e certifica tes o f dep osit —
B ills payable ............ ...... - ...........
D ep ositors’ gu aran tee fund —

10,000.00
92.39

.$

70,650.92

16,722.27
37,195.36
6,600.00
40.90

74.11
1,481.88
4,531.25
T otal

BU REA U O F BANKING

Harbine

183

The State Bank of Harbine

C harter N o. 859

G. F .

C tf. N o. 413

Jefferson County
W . H . C arpenter .........................President
Sam Freem an .........................V ice-P resid en t

G. W . A rn old ....................................... Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verdrafts .............
O ther real estate
.....
B an k in g h ou se, furnitu re and
fixtures ................. >...................
B an kers’ con serv a tion fund ....
Due from national and state
banks ........................
C hecks and item s of exchange
Cash in bank ....................
T otal

88,046.09
221.02
4,033.39
1,980.25
259.61
3,677.98
866.73
1,933.30
101,018.37

Hardy

Farmers

C harter N o.

Capital s tock .................................$
Surplus fund .................
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
D em and certifica tes o f dep osit
S avings d ep osits ......
C ashier’ s ch eck s ontstanding..
B ills payable .............
D ep ositors’ guarantee fund ....

10,000.00
8,000.00
1,608.28
28,836.41
39,563.57
2,720.72
193.75
10,000.00
95.64

T otal ................................... $ 101,018.37

ate Bank

848

G.

F.

C tf.

N o.

405

Nuckolls County
H . C. A urand ......... ....................... President
G eo. M . P ow ell ................... .V ice-P resid en t
STATEM ENT (

T h os. D. Griffin ....... .........................C ashier
Chas. L . Gillilan ................. A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ......... ......$ 264,267.53
O verd rafts ....................
156.42
B on d s, s ecu rities, ju d gm en ts
and claim s ............ ...... .........
35,082.50
O ther real estate
....................
3,168.53
B an kin g hou se, furnitu re and
fixtures ......
4,400.00
B an kers’ con serv a tion fund ....
872.60
Due from national and state

Capital s tock ................................$ 12,000.00
Surplus fund ........
13,000.00
U ndivided profits (n et) ..........
4,594.73
Individual d ep osits su b je ct to
ch eck ...............................
118,499.26
T im e certifica tes of d eposit
207,565.56
S avings d ep osits ____ ___- ..........
10,759.98
C ashier’ s ch ecks outstanding..
800.19
D ep ositors’ guarantee fund
....
224.51

banks

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

Checks and item s
Cash in bank ......
T otal


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

of exch a n ge

5 2,2 05 .67

901.65
6,389.33

.$ 367,444.23

T otal

.$ 367,444.23

BUREAU OF BANKING

184

Harrisburg
C harter N o.

Banner County Bank

1008

G .F . C tf. N o. 544

Banner County
L ars Olsen _____ _______________ P resid en t
F.
F . S tauffer _____ _____ V ice-P res id en t

C. S. P a ge ------------------------------------ Cashier
R . P a ge ------------------ ------- „...A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 141,479.24
O v erd ra fts ......
67.03
B on d s, s ecu rities, ju d gm en ts
and claim s ........
12,117.87
O ther assets _______
214.67
O ther real estate .............
19,982.64
B an kin g h ou se, furnitu re and
fixtures __________
4,000.00
360.74
B an kers’ con serv a tion fund _
Due from national and state
banks ________
30,099.12
1,525.01
Cash in bank ___
T otal __________________ $ 209,846.32

Harrison
C harter

N o.

Harrison

Capital stock ......- ............ ...........$
Surplus fund ..................................
Individual deposits s u b ject to
ch eck ___________ ___ - ..... ......
T im e certifica tes o f dep osit
....
C ashier’ s ch eck s outstanding..
R e-d iscou n ts ........
B ills payable ......
D ep ositors’ gu arantee fund —

25,000.00
11,000.00
76,426.46
63,388.80
231.99
8,700.00
25,000.00
99.07

T otal --- ------- ---------- ------ $ 209,846.32

Bank
G.

1127

F.

C tf.

N o.

649

Sioux County
Geo. L . Gerlach __________
P resid ent
D . W . H am aker ____
V ice-P res id en t
W ile y R ich a rd son ............. .V ice-P resid en t
STATEM ENT (

J. L . G erlach ............ .....................„..Cashier
B ern ice E . G erlach _______ A s s ’ t. Cashier
JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............. -.$ 289,920.68
O verd ra fts ---------516.94
B o n d s, s ecu rities, ju d gm en ts
and claim s .................... - ..... —
10,089.12
O ther real estate __________ _—
5,349.18
B an k in g h ou se, furnitu re and
fixtu res -----------6,404.96
B an k ers’ con serv a tion fund —
524.02
Due from national and state
banks ..................... ..... - ...........
43,815.49
C hecks and item s o f exch a n g e
1,809.26
Cash in bank ---------9,769.38
U . S. bon d s in ca sh reserv e—
3,000.00

Capital s to c k ________ ______ _...$ 20,000.00
Surplus fund ....................
7,500.00
U ndivided p rofits (n et) ..........
2,318.48
Individual d ep osits s u b je ct to
ch eck ............. - ............ ...... ...... 203,015.49
T im e certifica tes of d ep osit — 114,538.94
S avings d ep osits .......
22,390.48
C ertified ch eck s ___________
8.00
C ashier’ s ch eck s outstanding..
1,210.55
D ep ositors’ guarantee fund
—
217.09

T otal


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

...$ 371,199.03

T otal

371,199.03

BUREAU OF BANKING

Hartington
C harter N o.

185

Cedar County State Bank

1294

G.

F . C tf. N o . 816

Cedar County
A . J. Lam m ers ________ _______ P resid ent
John A . Thoene .................... V ice-P resid en t

C. N . H ertert ------ ---- -------- --------- Cashier
V . C. H ertert ................_..A.ss’ t. Cashier
C. F. Keane ................... .......A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________$ 353,241.04
O verd rafts ..........
1,391.31
B on d s, s ecu rities, ju d gm en ts
and claim s ------ ---- -------------- '
39,651.28
O ther real estate — ....._...........
26,368.39
B an kin g h ou se, furnitu re and
fixtures ------------8,208.23
B an kers’ con serv a tion fund —
1,116.27
Due from national and state
banks ......- .....- ............ ......- ....
73,694.86
C hecks and item s o f exchange
834.86
Cash in bank ........................... —
13,299.93
U . S. bonds in cash reserv e—
6,000.00

Capital stock ................................$ 35,000.00
Surplus fund ................................
7,000.00
U ndivided p rofits (n et) — ......
2,781.82
Individual d ep osits su b ject to
ch eck ......_............ _....._...........
117,741.88
Dem and certifica tes of dep osit
4.80
T im e certifica tes of dep osit — 270,287.09
89,603.41
S avings d eposits _______....____
C ashier’ s ch eck s outstanding..
1,038.00
D ep ositors’ gu aran tee fund __
349.17

T otal ________________ __ $ 523,806.17

T otal .................. .................$ 523,806.17

Hartington
C harter N o.

Peoples Savings Bank
G.

1089

Cedar

F.

C tf.

N o.

613

County

H.
D. Spork ..... ............ .............. P resid ent
John H irschm an ................. V ice-P resid en t

A lp h on se

Lam m ers

.................... „...C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$
O ther real estate ............. ...... .
Due from national and state
banks .............- ---- ----------------Cash in bank ........................- ......

T otal


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

82,869.00
39,322.07
17,963.86
869.56

.$ 141,024.49

Capital stock — ...................... — $
Surplus fund ........................
U ndivided profits (net)_ ..........
Individual d ep osits su b je ct to
ch eck ......- .........- .....-............ —
Tim e certifica tes of d ep osit —
S avings d ep osits -----C ertified ch eck s ...........................
D ep ositors’ guarantee fund —
Total

15,000.00
3,200.00
3,320.72
24,428.39
19,123.39
75,860.02
8.2a
83.72

.$ 141,024.49

186

BU REA U O F BANKING

Harvard
C harter N o.

Harvard State Bank
739

G.

F.

Ctf.

N o.

325

Clay County
H . G. W ellen siek ......... ,.................President
G eo. K ea slin g ................ .......V ice-P resid en t

J. R . Sim pson
C a ier
Delm a M . K reutz .............„ ..A s s ’ t. Cashier
E . W . H a rtley .... —.............A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............ _.$ 376,786.70
O verd ra fts ..................................
1,795.39
B on d s, s ecu rities, ju d gm en ts
and claim s ..........
1,936.67
B an kin g h ou se, furniture and
fixtures ...........................
12,500.00
B an k ers’ con serv a tion fund ....
873.68
Due from national and state
57,086.66
banks .............- ..... - ............ ......
C hecks and item s of exch a n ge
2,362.11
Cash in bank ......
9,397.01
9,000.00
U . S. bonds in cash
reserv e_

Capital s tock .................. ............ $ 25,000.00
Surplus fund .......................... .....
5,000.00
Individual d eposits s u b je ct to
ch eck ......... ........................ .....
172,687.08
T im e certifica tes of d ep osit .... 226,808.63
39,488.73
S avings d eposits ......- ...............
2,475.23
C ashier’ s ch ecks outstanding..
278.55
D ep ositors’ gu aran tee fund _

T ota l __________________ $ 471,738.22

T ota l ..................................$ 471,738.22

Hastings
C harter N o.

State Bank of Hastings
1472

G.

F.

C tf.

N o. 994

Adams County
H.
G. P ra tt ............................„..P resid en t
R . R . V a n ce _______________.V ice-P resid en t

O. A . R iley ................... ............ ,....... Cashier
Ivan C. R iley ............. ..........A s s ’ t. Cashier
Chas. E. D eets ....................A s s ’t. Cashier
H . E. N elson ........................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 952,074.10
O verd rafts ......
1,599.95
B on d s, secu rities, ju d gm en ts
and claim s ................................
454,456.61
O ther real estate .........................
13,222.86
B an k in g h ou se, furnitu re and
fixtures .........
36,767.48
B an k ers’ con serv a tion
fund ....
4,248.80
D u e from national and state
banks ...................................
115,033.61
C hecks and item s of exchange
8,977.46
39,711.29
Cash in bank .............
U . S. bonds in cash reserve....
52,568.91
O th er cash resou rces ......
1,021.06

Capital stock ............. ...... ............ $ 75,000.00
Surplus fund .... ....._..... _.............
12,500.00
U ndivided profits (n et) ............
6,884.38
Individual d ep osits s u b je ct to
ch eck ....................
580,659.30
T im e and dem and certifica tes
of d ep osit ........................
698,633.70
244,273.32
S avings d ep osits ......
C ertified ch eck s ......- ..................
109.50
Due to national and state
banks .............- ..........................
60,593.09
D ep ositors’ gu arantee fund ....
1,028.84

T otal


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

.$1,679,682.13

T otal

.„$1,679,682.13

187

BU REAU O F BANKING

Havelock

Farmers & Mechanics Bank

C harter N o. 571

G.

F.

C tf. N o . 221

Lancaster County
E.
E . A n d erson _______ _______ P resid en t P . K . H .
A n ton Sagl ....... ................„..V ice -P re s id e n t
Jas. V . C harvat ..................V ice-P resid en t

B auer ...... - .........- .............Cashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 176,599.65
O verd rafts ............
104.73
B on d s, s ecu rities, ju d gm en ts
and claim s -----13,134.98
O ther assets ................................
3,157.10
O ther real estate ......... -..........
62,456.99
B an kin g hou se, furnitu re and
10,960.00
fixtures .................... - ..... - ........
B an k ers’ con serv a tion fund ....
1,012.08
Due from national and state
banks _____ ,___________ ____
31,184.88
C hecks and item s o f exch a n ge
662.84
Cash in bank .............
7,625.30

Capital stock ................... ........... $
Surplus fund .................
Individual d ep osits su b ject to
ch eck .........................................
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit —
S avings d eposits .............
Certified ch ecks ............................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund —

140,263.49
8,869.18
80,349.94
48,136.18
75.00
1,499.31
205.45

T o ta l ....................................$ 306,898.55

T ota l ........ ...........................$ 306,898.55

Havens

25,000.00
2,500.00

State Bank of Havens
G. F . C tf. N o . 982

Charter N o. 1460
M errick C ounty
W . Cham berlin ............. ..................President
M . Shonsey ....... ................... V ice -P re s id e n t

W.

C ham berlin,

J r ............................. Cashier

S T A T E M E N T O r J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ------ ,.-----$
O verdrafts ............. - ........................
B on d s, secu rities, ju d gm en ts
and claim s .................... - .......
O ther assets ........................... - ....
B an k in g h ou se, furnitu re and
fixtures ..................._................
B an kers’ con serv a tion fund ....
Due from national and state
banks ......
C hecks and item s of exchange
Cash in bank ............- .........

56,172.65
169.22

.$

71,521.85

T otal


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

1,162.30
211.52

Capital stock ................................$
Individual d ep osits su b ject to
ch eck ................................ ......
T im e certifica tes of d eposit ....
S avings d ep osits .............- ...........
D ep ositors’ guarantee fund —

35,584.07
23,972.69
1,921.60
43.49

.$

71,521.85

10,000.00

5,000.00
177.32
6,884.90
230.19
1,513.75
T otal

188

BU REA U O F BANKING

Hayland

First State Bank

C harter N o. 1191

G. F . C tf. N o. 713

Adams County
L . B . E rn stm ey er ........................ P resid ent
J. F . E rn stm ey er ....... ......... V ice-P resid en t

J. F. E rn stm ey er ...... ........... ...... „..C ash ier
E . I. B erg ........... ................„ ..A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ______ __ $ 144,657.43
O verd ra fts ...................................
306.81
B o n d s, s ecu rities, ju d gm en ts
and claim s ........
19,500.00
O ther real estate ....................
7,372.00
B an k in g hou se, furnitu re and
fixtures .....................................
3,000.00
413.06
B an k ers’ con serv a tion fund __
Due from national and state
ban ks ..........
25,718.85
3,500.37
Cash in bank .............
U . S. bon d s in cash reserv e___
1,150.00
T ota l __________________ $ 205,618.52

Hay Springs
C harter N o .

L IA B IL IT IE S
Capital s tock .............
Surplus fund ......
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ......
T im e certifica tes of dep osit _
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....
R eserv e for interest and taxes

15,000.00
4,000.00
1,539.05
31,503.58
151,743.36
697.81
134.72
1,000.00

205,618.52

T otal

Northwestern State Bank

201

G.

F.

C tf.

N o.

82

Sheridan County
L . J. Stiehl .............. ............ ...... ....President
L . C. Stiehl ............. ........... V ice -P re s id e n t

J. S. D enm an ..................................Cashier
R . G u stafson ........................ A s s ’t. Cashier
Nan V . H eaton .................... A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

LIABILITIES

Capital s tock ____________ __ ____ $ 50,000.00
L oans and d iscou n ts ________ $ 367,899.01
O verd ra fts ................... ............. _...
2,114.64
Surplus fund ......
15,000.00
O ther real estate .........................
16,903.43
U ndivided p rofits (n et) ______
19,461.18
B an k in g h ou se, furnitu re and
Individual d ep osits s u b je ct to
fixtures .....................................
6,195.49 ch eck .........
170,048.93
B an kers’ con serv a tion fund ....
1,037.91
T im e certifica tes of d ep osit
.... 183,854.11
D ue from national and state
C ashier’ s ch ecks outstanding..
1,789.73
banks .............
34,441.26
D ep ositors’ gu arantee fund
....
278.15
Cash in bank _____________
9,240.36
U . S. bon d s in ca sh reserve....
2,600.00
T ota l ____ _______________ $ 440,432.10


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

T otal ____ _______________ $ 440,432.10

189

BU REAU O F BANKING

Hazard

Farmers State Bank

C h a rter N o. 1534

G. F . C tf. N o. 1056

Sherman CountyOperated by Guarantee Fund Commission
S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ------ ---- —$ 113,837.97
O v e rd ra fts --------106.05
O th e r assets -------937.64
O ther real estate
--------2,000.00
B an kin g hou se, furniture and
fixtures ......- .........- ................—
10,000.00
B an k ers’ con serv a tion fund ....
232.51
Due from national and state
banks ......
5,317.58
C h e ck s and item s of exch a n ge
1,060.89
C ash in bank ................— .........
1,079.50
T ota l ______________ ____ $ 134,572.14

_...$20,000.00
Capital s tock ....................
Surplus fund — ...................
—
579.71
U ndivided profits (n et) --------145.38
Individual d ep osits s u b je ct to
ch eck .... ................
29,895.72
D em and certifica tes of d ep osit
3,000.00
T im e certifica tes of dep osit _
67,742.25
Bills payable .............
10,693.79
D ep ositors’ gu aran tee fund _
82.69
— 2,432.60
O ther liabilities .............
T ota l ................................. $ 134,572.14

Hazard State Bank

Hazard

G. F. C tf. N o. 512

C harter N o. 972
Sherman County
D. W . T itu s ................ ..................P resid ent
M r s . S. F . G ram m er --------.V ice-P resid en t

L eo E. R yan .....................................„..C ash ier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 146,352.64
91.95
O verdrafts ......- ............ - ............ —
B an king h ou se, furniture and
7
,
0
0 0 .0 0
fixtures ..............—................—
352.64
B an kers’ con serv a tion fund ....
Due from national and state
28,149.65
banks ............. - .........................
181.17
C hecks and item s of exchange
5,195.19
Cash in bank ...........................- ....

Capital stock ....... ............ ...........$ 25,000.00
Surplus fund ................................
5,000.00
U n divided profits (n et) ..........
163.71
Individual d ep osits s u b je ct to
ch eck ....... ................... - ...........
49,161.13
T im e certifica tes of dep osit
.... 107,500.86
C ashier’ s ch eck s outstanding..
391.69
D ep ositors’ gu aran tee fund
—
105.85

T otal


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

.$ 187,323.24

T otal

.$ 187,323.24

190

BU REAU O F BANK ING

Heartwell
C harter N o.

Heartwell State Bank
877

K earn ey

•

G.

F.

C tf.

N o.

429'

C ounty

Jam es H oban — ........ .............. .......P resid ent
F red P. A bram s .................V ice-P resid en t

J. R . H oban ..................... ..................... Cashier
Frank H oban ............. .......... A s s ’ t. Cashier
Jno. J. F ilbin ....... ............ _...Ass’ t. C ash ier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$
O verdrafts .............
B on d s, secu rities, ju d gm en ts
and claim s ......
B an kin g h ou se, furnitu re and
fixtures ....................
B an kers’ con serv a tion fund _
Due from national and state
banks ..........
C hecks and item s of exchange..
Cash in bank ..............................
U . S. bonds in cash reserve....
Total

18,500.00
3,000.00
502.94
38,031.26
46.24
3,573.01
3,000.00

Capital stock ........ .'..................... $
Surplus fund ................................
U ndivided profits (net) ...........
Individual deposits su b ject to
ch eck ........................................
D em and certifica tes of d eposit
T im e certifica tes of dep osit _
D ep ositors’ guarantee fund _

...... $ 222,445.90

Hebron
Charter N o.

155,191.77
600.68

T otal

15,000.00
5,000.00
3,197.56
57,754.00
500.00
140,832.82
161.52

222,445.90.

Hebron State Bank
1255

G.

F.

Ctf.

N o.

777

T h a yer C ounty
C. C ollins _ ........................................P resident
A . G. Collins ............. .......„...V ice-P resid en t

H arry

Sch illin g ................. ................. C ashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $
O verd rafts ......... - ........................
O ther real estate ..........
B an kin g h ou se, furnitu re and
fixtures .........................
B an k ers’ con serv a tion fund __
Due from national and state
banks ......
C hecks and item s of exch a n ge
Cash in bank ......................................
U . S. bonds in cash reserve....
T otal


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

320,899.26
757.64
14,000.00

Capital stock ................................$ 30.000.
Surplus fund ................................
10. 000 .
U ndivided p rofits (n et) ..........
1,468.70Individual d ep osits s u b je ct to
15,000.00
ch eck .........................................
147,595.95
1,169.49
T im e certifica tes of d eposit .... 215,373.31
5,129.81
C ashier’ s ch eck s outstanding..
43,982.34
260.95
D ep ositors’ guarantee fund ....
2,141.58
6,528.41
5,350.00

.$ 409,828.72

Total

.$ 409,828.72

00'
00

191

BU REAU O F BANKING

Thayer County Bank

Hebron
C harter N o.

G.

202

F.

Ctf.

N o.

83

Thayer County
F . M . W eth era ld ..........................P resident
C. E. Green .........................V ice-P resid en t
W . S. B ushnell __
V ice-P resid en t

M . J. D agefoerde ..........,,..................Cashier
J. C. Strain .................... ...... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

E oan s and d iscou n ts ............... $ 391,647.81
O v e rd ra fts .............
598.39
B on d s, secu rities, ju d gm en ts
and claim s ..........................
10,000.00
O ther real estate .....................
19,748.65
B an kin g h ou se, furnitu re and
fixtures ...........................
15,000.00
R a n k ers’ con serv a tion fund _
1,410.89
Due from national and state
ban ks ..... - ...........................- ....
50,804.26
C hecks and item s o f exchange..
1,055.56
C a sh in bank ........
6,657.01

Capital stock .............................. $ 30,000.00
30,000.00
Surplus fund ______________
U ndivided p rofits (n e t) ..........
2,753.95
Individual d ep osits s u b je ct to
ch eck .........................................
144,273.70
Dem and certifica tes of dep osit
200.00
Tim e certifica tes o f dep osit .... 256,122.05
C ashier’ s ch ecks outstanding..
1,858.03
Due to national and state
banks .............
30,643.12
367.53
D ep ositors’ guarantee fund __
D epreciation reserve a ccou n t_
704.19

T otal ........ ...........................$ 496,922.57

T ota l ................................... $ 496,922.57

Hemingford
C harter N o.

i

Farmers State Bank

1501

G.

F.

C tf. N o.

1023

Box Butte County
II. A . C opsey .................. - ............. P resid ent
J a s. P. T hom as ..................V ice-P resid en t

C. D . R ay ...................................... ....Cashier
O. A . U h rig ...................... -...A ss’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 375,506.77
O verd rafts ....................
1,182.02
B on d s, secu rities, ju d gm en ts
and claim s ..............................
1,926.92
O ther real estate .................
21,545.24
B an kin g h ou se, furnitu re and
fixtures .....................................
17,500.00
B an kers’ con serv a tion fund ....
637.87
Due from national and state
banks ............. .................- ........
38,565.36
C hecks and item s o f exch a n ge
425.40
Cash in bank ..............................
6,685.41
U . S. bonds in cash reserve....
4,300.00

Capital s to c k _________________ .$ 25,000.00
Surplus fund ................................
1,500.00
U ndivided p rofits (net)_ ....
683.61
Individual d ep osits s u b je ct to
ch eck ...........................................
195,466.35
T im e certifica tes of dep osit
184,159.84
S avings d ep osits ......... - .............
18,675.52
C ashier’ s ch eck s outstanding..
7,529.30
B ills payable ................................
35,000.00
D ep ositors’ guarantee fund —
260.37

T otal ____ _______ _____ $ 468,274.99

T otal ................................$ 468,274.99


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

192

BUREAU OF BANKING

Henderson
C harter N o.

Bank of Henderson

205

G.

F.

C tf.

N o.

84

York County
G. W . F riesen _______ _________ P resid en tP . P .
A . J. Friesen ________
.V ice-P resid en t
V ice-P resid en t
P . L . F riesen .................

Braun .................................... ....Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............. ...$ 191,842.98
O verd rafts _____
1,095.03
O ther real estate ........
14,169.21
B an kin g h ou se, furnitu re and
fixtures ........................_...........
2,200.00
B an k ers’ con serv a tion fund ....
658.88
Due from national and state
16,297.17
banks .............................
C hecks and item s of exchange
590.37
Cash in bank ..................................
5,501.95
U . S. bon d s in cash reserve....
8,900.00
O ther cash resou rces ............._...
122.00
T otal

.$ 241,377.59

Henderson

Capital ’ s tock ................................$
Surplus fund ................................
U ndivided p rofits (n e t) ..........
Individual d ep osits s u b je ct to
ch eck ........... ....................... ......
Dem and certifica tes o f d ep osit
T im e certifica tes o f dep osit _
S avings d eposit ....... ....................
C ashier’ s ch ecks OutstandingD ep ositors’ gu aran tee fund ....

20 , 000.00
10, 000.00
276.54
55,894.60
14,663.22
131,321.18
9,004.02
67.40
150.63

T otal .................... .............. $ 241,377.59

Farmers State Bank

C harter N o. 1219

G. F . C tf. N o. 741

Y o r k C ounty
D.

J.

K roek er

..............................President

B. E. N ach tiga ll ...... .........................C ashier
H . D . K roeker .......................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ....... ........$ 164,044.01
O verdrafts _____
525.12
O ther real estate ....
1,000.00
B an kin g h ou se, furnitu re and
fixtures ........
2,350.00
B an kers’ con serv a tion fund _
534.10
Due from national and state
banks ......
24,862.19
C hecks and item s o f exch a n ge
1,351.20
Cash in bank .............
3,168.74
U . S. bon d s in cash reserve....
3,450.00
T otal ................................... $ 201,285.36


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

L IA B IL IT IE S
Capital stock ................................$
Surplus fund ......
U ndivided p rofits (n et) .....
Individual d ep osits su b ject to
ch eck .............
T im e certifica tes o f d ep osit _
S avings d ep osits .......................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund _

25,000.00
S.OOO.OOf
165.04
34,072.37
131,257.19
5,212.03
448.17
130.56

T otal ................................... $ 201,285.36

BU REAU O F BANKING

Hendley

193

Farmers State Bank

Charter N o. 869

G.

F.

C tf.

N o.

422

Furnas County
R.

E.

M iller ................... .............. President

H ow ard Johnson ...... .................... ....C ashier
W . M . B lou gh ..................... A s s ’ t . C ashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

T otal ................................... $ 147,694.34

Herman
C harter N o.

Capital stock .................... .......... $
Surplus fund .................... ..........
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ................ ........................
Tim e certifica tes of d ep osit ....
S avings d eposits ......_.................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund _

13,000.
5,000.
363.

£88

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 124,544.42
O v erd ra fts .............
624.81
B on d s, secu rities, ju d gm en ts
and claim s .............
2,400.00
O ther assets ..................................
663.99
B an kin g hou se, furnitu re and
fixtures .....................................
2,800.00
B an k ers’ con serv a tion fund ....
341.48
Due from national and state
banks ............. - ..........................
9,497.97
C hecks and item s oJ exchange
103.75
Cash in bank ................................
4,717.92
U . S. bonds in cash reserve....
2,000.00

59,984.36
65,417.83
1,750.42
82.00
96.10

T otal ................................... $ 147,694.34

Herman State Bank
995

G.

F.

Ctf.

N o.

533

Washington County
E . P. H anson
Chas. N elson
L . D . H anson .

...........P resident
.V ice-P resid en t
.V ice-P resid en t

Fred R obertson
T . R . Swanson

................ Cashier
..A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 282,358.69
O verd ra fts ....................
340.18
B on d s, secu rities, ju d gm en ts
and claim s ................................
889.45
O ther real estate .............
15,755.02
B an king h ou se, furniture and
fixtures ................ ................. _.
23,479.70
B an kers’ con serv a tion fund ....
713.94
Due from national and state
banks .........................................
40,185.95
C hecks and item s of exch a n ge
819.03
5,130.52
Cash in bank ................................
U . S. bonds in cash reserve....
3,650.00

Capital stock ................ .................$ 50,000.00
Surplus fund ......
2,750.00
U ndivided profits (n et) ..........
1,889.18
Individual d eposits s u b je ct to
ch eck .........................................
87,532.68
Tim e certifica tes of d ep osit
.... 221,028.89
C ashier’ s ch ecks outstanding..
53.00
Due to national and state
banks .........................................
9,859.75
D ep ositors’ guarantee fund
....
208.98

.$ 373,322.48

T otal ...................................$ 373,322.48

Total

8


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

194

BU REAU O F BANK ING

Herman

Plateau State Bank

C harter N o. 934

G.

F.

Ctf. N o.

475

Washington County
E . W . B urd ic ............. .................P resid ent
E arl C. B u rd ic ___ ______ __ V ice-P res id en t

G. W . S tangel ......_........................... Cashier
A llen E . M u ir .........................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts .............. $ 557,613.47
O verd rafts ...........................
95.40
B on d s, s ecu rities, ju d gm en ts
and claim s ........................
4,743.15
O ther real estate
....................
28,212.47
B an kin g h ou se, furniture and
fixtures .....................................
10,000.00
B an k ers’ con serv a tion fund ....
1,622.86
Due from national and state
banks .........................................
115,598.84
C hecks and item s of exch a n ge
130.09
Cash in bank ................................
11,926.00

Capital stock ................... ...........$ 50,000.00
Surplus fund ................................
10,000.00
U ndivided profits (n et) ..........
5,044.03
Individual d ep osits s u b je ct to
ch eck .........................................
267,810.48
Tim e certifica tes of dep osit .... 396,592.03
C ashier’ s ch ecks outstanding..
73.38
D ep ositors’ gu arantee fund ....
422.36

T otal .................................. $ 729,942.28

Hershey

T otal ................................... $ 729,942.28

Bank of Lincoln County

C harter N o. 753

G. F . C tf. N o. 336

Lincoln County
E . F. S eeberger ............................ P resident
I. E. W are ............................V ice-P resid en t

Earl B row n field ................................... Cashier
V irg il Graham .........................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ...............$ 253,973.62
1,013.58
O verd rafts .......................................
B on d s, s ecu rities, ju d gm en ts
4,177.16
and claim s ..............................
14,061.79
O ther real estate .......................
B an kin g h ou se, furnitu re and
6,987.62
fixtures .....................................
698.46
B an k ers’ con serv a tion fund ....
Due from national and state
34,552.48
banks ........................................
4,277.04
Cash in ban k .................................
T otal ........................ — ......$ 319,741.75


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

L IA B IL IT IE S
Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ..........................................
Dem and certifica tes of d ep osit
T im e certifica tes of d ep osit ....
C ashier’ s ch eck s outstanding..
R e-d iscou n ts ............. - ................ —
D ep ositors’ guarantee fund ....

25,000.00
6 , 000.00
509.92
155,312.95
2,683.40
105,225.58
102.61
24,740.97
166.32

T otal ...................................$ 319,741.75

BUREAU OF BANKING

Hickman

195

First State Bank

C harter N o. 1177

G. F„. C tf. N o. 699

Lancaster County
C. H . H eckm an ................... ............President
G eo. A . H eupel ................... ..V ice-P resid ent
F . J. Lefferdink ............... ..V ice-P resid en t

W.

R.

Judah ..

S T A T E M E N T O F JU N E 30, 1927

RESOURCES

LIABILITIES

L oans and d iscou n ts ............... $ 211,464.89
O verd ra fts ......_............................. .
834.57
B on d s, secu rities, ju d gm en ts
and claim s ............................
8,561.05
O ther real estate ........................
5,150.00
B an king h ou se, furniture and
fixtures .....................................
6,500.00
B an kers’ con serv a tion fund ....
445.20
Liu
'u m national and state
banks ...................
49,392.08
Che ks and item s of exchange
651.79
Cash in bank ......
4,733.51
U . S. bonds in cash reserv e_
2,815.00

Capital stock ................................$ 20 , 000.00
5,000.00
Surplus fund ...........................
U ndivided profits (net) ......
2,854.14
Individual d ep osits s u b je ct to
ch eck .................................. .....
110,978.08
Dem and certifica tes o f dep osit
405.11
Tim e certifica tes of d eposit .... 126,303.07
22,491.81
S avings d ep osits .....
C ashier’ s ch eck s outstanding..
2,335.67
D ep ositors’ gu arantee fund ....
180.21

T otal ....... ................... ....... $ 290,548.09

Hildreth

T otal ............................. ......$ 290,548.09

Franklin County Bank

C harter N o. 209

G. F . C tf. N o. 86

Franklin County
E d. V an S teen berg .......................P resid ent
F rances V an S teen berg.......V ice-P resid en t

H . S. K irk bride ................................Cashier
Fred W. Carter ............. - ......A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 302,630.22
O verd ra fts ..............
400.49
O ther assets ...............
889.60
O ther real estate ...................
11,827.76
B an kin g h ou se, furnitu re and
fixtures .................................
3,833.35
B an k ers’ con serv a tion fund ....
920.17
Due from national and state
banks .........................................
48,126.41
C hecks and item s of exchange
1,503.67
Cash in bank ................................
5,792.09
U . S. bonds in cash reserve....
7,500.00

Capital stock ................................$ 20,000.00
Surplus fund ................................
5,000.00
U ndivided profits (n et) ..........
1,050.15
Individual d eposits s u b je ct to
ch eck ......
90,947.31
Dem and certifica tes of d ep osit
1,766.20
T im e certifica tes of d eposit
.... 259,424.64
Due to national and state
banks .........................................
5;000.00
D ep ositors’ guarantee fund
....
235.46

Total


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

..$ 383,423.76

T otal ................................... $ 383,423.76

196

BURE A.U OF BANKING

Hildreth
C harter N o.

State Bank of Hildreth
922

G.

F.

Ctf.

No.- 465

Franklin County
F re d Soker .................... ...... .......... P resid ent
C.
E. Sam uelson ........ ....V ice-P resid en t

Edna M y ers ............. .........._................ Cashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 199,729.21
1,194.64
O v e rd ra fts .......................................
B o n d s, secu rities, ju d gm en ts
and claim s ............
4,200.00
B an k in g h ou se, furnitu re and
fixtures ......
3,300.00
B a n k ers’ con serv a tion fund ....
725.19
D ue from national and state
banks .............
67,513.74
C hecks and item s o f exch a n ge
1,343.74
C ash in bank ...............
4,376.78
T ota l ................................. :.$ 282,383.30

Holbrook

Capital s tock ........... ................... .$
Surplus fund ________
U ndivided p rofits (n et) ............
Individual d ep osits s u b je ct to
ch eck ......................................
D em and certifica tes of dep osit
T im e certifica tes of dep osit ....
D ep ositors’ gu arantee fund _

10,000.00
5,000.00
678.91
114,796.93
1,435.54
150,299.91
172.01

T o ta l .................................. $ 282,383.30

Bank of Holbrook

C harter N o. 605

G. F . C tf. N o. 240

Furnas County
A.

M.

C. M .

P resid ent
K eyes .....................
V ice-P res id en t
B row n ..................... ....V ice-President

Earl C oppom ........ ................................Cashier
M . M. C oppom ..... .................. A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927

LIABILITIES

R ESO U R C E S
L oans and d iscou n ts ................$ 279,228.04
O v erd ra fts ............. - ........................
206.86
B on d s, secu rities, ju d gm en ts
and claim s .................... - ..........
3,500.00
O ther real estate ........................
25,835.90
B an k in g hou se, furnitu re and
fixtures ...............
14,503.79
B an k ers’ con serv a tion fund ....
886.80
D ue from national and state
banks .....................................
39,547.47
C hecks and item s of exchange
465.43
Cash in bank ........
4,231.74
O ther cash resou rces ..............
72.12
T otal


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

.$ 368,478.15

Capital stock ...............................$ 25,000.00
Surplus fund ....................
5,000.00
542.54
U ndivided p rofits (n et) .........
In dividual d ep osits s u b je ct to
ch eck .........................................
136,023.16
Dem and certifica tes of dep osit
251.10
T im e certifica tes of d ep osit .... 201,213.18
C ashier’ s ch eck s outstanding..
214.91
D ep ositors’ guarantee fund ....
233.26

T otal ..

.$ 368,478.15

BUREAU OF BANKING

Holbrook

197

Security State Bank
G. F . C tf. N o . 925

C harter N o. 1403
Furnas County
........ .........President
____V ice -P re s id e n t

P . Phillipson
J . F . Snyder

W.

H . Banwell ....................................Cashier

S. F . Curry ............ ............. A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927

LIABILITIES

R E SO U R C E S
L oans and d iscou n ts ................$ 142,239.76
O v erd ra fts ....................- ..... ...........
311.93
B en d s, secu rities, ju d gm en ts
and claim s .................
2,555.00
B an k in g h ou se, furnitu re and
fixtures ......... - .....- .......- .........
7,500.00
363.48
B an kers’ con serv a tion fund _
Due from national and state
banks ......................
18,848.88
1,990.51
Cash in bank .............

Capital stock ............. ..................$
Surplus fund ....................
U ndivided profits (n et) ...........
Individual d ep osits s u b je ct to
ch eck ....................
Tim e certifica tes o f dep osit ....
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund _
D epreciation fund ________

20,000.00
5,000.00
301.58

173,809.56

T otal ...............................-...$

173,809.56

Total

Holdrege

59,474,43
83,460.90
463.78
108.87
5,000.00

Phelps County Bank

C harter N o. 1166

G. F .

C tf. N o. 688

Phelps County
H.

E.

E rick son ......................_......P resid ent

F . A . Dean ............. ............................ Cashier
Calm M . O lson _____________A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 524,635.77
O verd ra fts ............. ..........- .............
1,240.83
B on d s, s ecu rities, ju d gm en ts
and claim s ......
59,150.00
O th er real estate .........................
11,500.00
B an kin g hou se, furnitu re and
fixtures ......
4,536.70
B an kers’ con serv a tion fund ....
1,620.66
D u e from national and state
banks .....
132,208.34
C hecks and item s o f exch a n g e
1,789.13
C ash in bank ..........
38,763.50
T otal


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

.$ 775,444.93

Capital stock ........ ......................$
Surplus fund ......
U ndivided p rofits (n et) ...........
Individual d eposits s u b je ct to
ch eck .........................................
T im e certifica tes of dep osit _
S avings d eposits .............
Certified ch ecks ........
D ep ositors’ guarantee fund _
R eserv ed for d ep reciation .......

T otal

35,000.00
20 , 000.00
6,411.28
228,859.28
427,909.95
53,735.87
11.00
511.19
3,006.36

......$ 775,444.93

BUREAU OF BANKING

198

Holdrege

State Bank
G. F . C tf. N o . 1105

C harter N o. 1583
Phelps County
Claude B . M iller ........
P resid ent
L . A . Franzen ..................... V ice-P res id en t

Frank Falk .................................... - ......Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ________ $ 188,689.29
O verd rafts ............. - .......—.............
328.56
B on d s, secu rities, ju d gm en ts
and claim s ..............................
10,733.58
B an kin g hou se, furnitu re and
17,500.00
fixtures .....................................
Due from national and state
banks .........................................
21,915.19
C hecks and item s of exch a n ge
3,510.15
Cash in bank ................................
7,602.81
U. S. bon d s in ca sh reserve....
1,450.00

Capital stock ................................$
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ......
T im e certifica tes o f d eposit
....
S avings d eposits — ............
C ashier’ s ch ecks outstanding..
Due to national and state
banks .........................................
D e p ositors’ guarantee fund
....

95,598.36
68,566.70
46,849.01
867.33
1,976.70
145.05

T otal ..................................$ 251,729.58

T ota l ................................... $ 251,729.58

Holmesville

35,000.00
2,726.43

State Bank of Holmesville

C harter N o. 853

G. F .

C tf. N o. 410

Gage County
J.

H.

S teinm eyer ......... ............... P resid en t

W.

F.

S teinm eyer ........................... C ashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n tss ................$
O verd rafts .............
B on d s, secu rities, ju d gm en ts
and claim s ..............................
B an kin g h ou se, furnitu re and
fixtures ........... .'.........................
B an k ers’ con serv a tion fund _
D ue from national and state
banks .........................................
C hecks and item s of exch a n g e
Cash in bank ...........................
U . S. bonds in cash reserve....
T otal


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

84,982.43
564.69
276.00
3,500.00
224.94

Capital stock ................................$
Surplus fund .............
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck _......
T im e certifica tes of dep osit _
D ep ositors’ guarantee fund _

10,000.00
2,500.00'
2,632.36
39,184.44
60,170.24
59.67

22,470.37
39.28
1,289.00
1 , 200.00

.$ 114,546.71

T otal

.$ 114,546.71

BUREAU OF BANKING

Holstein

199

First State Bank

C harter N o. 684

G.

F.

C tf. N o.

293

Adams County
W.

B . H a rgleroa d ,

J r.......... ........P resid ent

A.

R.

O elsch la ger ............................Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ________ $ 210,203.86
O v erd ra fts ............. _.......................
14.47
B on d s, secu rities, ju d gm en ts
and claim s ..........
200.00
2,262.70
O ther assets ________
O ther real estate ....... ,........_......
12,935.00
B an k in g hou se, furnitu re and
fixtures ....................
9,900.00
B an kers’ con serv a tion fund ....
540.00
Due from national and state
banks .....................................
23,740.60
C ash in ban k ________
5,426.94

Capital s tock ................................$ 25,000.00
5,000.00
Surplus fund ..........
Individual d ep osits su b je ct to
ch eck .............................
76,627.96
T im e certifica tes of d eposit ___
148,444.45
B ills payable .......................... .....
10,000.00
D ep ositors’ guarantee fund __
151.16

T ota l ......... ........................$ 265,223.57

T otal ................................. $ 265,223.57

Homer

Home State Bank

Charter N o. 1566

G. F . C tf. N o. 1088

Dakota County
H . C, H ansen ......

President
V ice-P resid en t

V. N. H ansen .......

D.
V.

G.
N.

E vans ............ .........................Cashier
H ansen ............. ....... A s s ’ t. Cashier

STATEMENT OF J U N E 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ......_........$ 155,892.98
O verd rafts .................
101.78
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
13,631.16
B a n k in g h ou se, furnitu re and
fixtures ...................................
12 , 000.00
B a n k ers’ con serv a tion fund _
440.78
Due from national and state
banks ......- .................................
50,957.84
C hecks and item s o f exchange
24.00
C ash in bank .....
3,744.04
T otal __


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

.$ 236,792.58

Capital s tock ............. ..................$
Surplus fund ..........
U n divided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........................................
T im e certifica tes of dep osit _
S avings d eposits .............
D ep ositors’ guarantee fund _

T otal

25,000.00
500.00
1,297.71
68,657.05
117,675.34
23,530.84
131.64

.$ 236,792.58

200

BUREAU OF BANKING

Homer
C harter N o.

Security State Bank
770

G.

F.

C tf.

N o.

347

Dakota County
G eo. W . A sh ford ....... .................. P resid ent
John A sh ford __________ ___ V ice-P resid en t

W.

H.

R yan

....................................... Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 211,981.50
O v erd ra fts .................... - .................
360.61
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................—
26,799.44
O th er assets .................... - .....- ....
4,698.56
O ther real estate ............. - ..........
8,115.59
B an k in g hou se, furnitu re and

Capital stock .................... .......... $ 20,000.00
6,000.00
Surplus fund .... ..... ...... ..............
U ndivided p rofits (n e t) _____
2,511.14
Individual d ep osits s u b je ct to
ch eck ..........
—
82,974.49
Dem and certifica tes of dep osit
1,062.03
T im e certifica tes o f d ep osit
— 220,193.40
D ep ositors’ gu aran tee fund
—
204.60

fixtures .............. -...........-....

2,000.00

B an k ers’ con serv a tion fund ....
Due from national and state
ban ks .........................................
C hecks and item s of exch a n ge

69,786.40
518.75

Cash in b a n k ______
U. S. bonds in cash reserve....

6,000.00

905.84

1,778.97

T o t a l ___________________$ 332,945.66

T otal .............. ................. - $

332,945.66

Hooper State Bank

Hooper

G. F . C tf. N o. 1104

C harter N o. 1582

Dodge County
J. H . W in d h u sen
G. F . O ttem an

........................... P resid en t
_____ V ice -P re s id e n t

W . J. O ttem an .................................. Cashier
G. H . L oosch e n ......- ............A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ....... ........$ 323,293.47
O v erd ra fts .................... - ............ —1,610.21
B on d s, secu rities, ju d gm en ts
and claim s .................... - ........
152,879.92
14,127.40
O ther real estate ......
B an kin g h ou se, furnitu re and

fixtures -----------------------------

12,500.00

B an k ers’ con serv a tion fund ....
Due from national and state
banks ......- ..... - ..........................
C hecks and item s of exch a n ge
Cash in bank ......
U . S. bonds in cash reserv e—

61,701.76
559.46
6,332.90
3,500.00

T otal


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

1,381.18

.$ 577,886.30

Capital s tock ............. - ............ _...!
Surplus fund ................... ...........
U ndivided p rofits (net) ..........
Individual d ep osits s u b je ct to
ch eck ........................... ..............
T im e certifica tes o f d ep osit —
S avings d eposits .................. ..-....
C ashier’ s ch eck s OutstandingD ep ositors’ gu arantee fund —

T otal

25.000.
25.000.
649.91
186,916.54
305,945.29
33,670.20
374.94
329.42

.$ 577,886.30

00
00

BUREAU OF BANKING

Horace
C harter N o.

201

Horace State Bank
1284

G. F . C tf. N o . 806

Greeley County
T . J. H ansen ..........
P resid ent
J . B lanchard ---------------------V ice-P resid en t

J. P. Leth ------------------------------—Cashier

STATEMENT C F J U N E 30, 1927
RESOURCES

LIABILITIES

L oans and d iscou n ts ......„ .... _.$
'O verdrafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s --------------------------O ther real estate ......
B an kin g h ou se, furnitu re and
fixtures ...............................
B an kers’ con serv a tion fund __
Due from national and state
banks ...............
C h e ck s and item s of exch a n ge
C ash in bank _________________
T otal ----------------------------- 4

Hordville

82,673.85
129.77
85.00
7,500.00
2,770.00
190.44
7,870.98
29.96
1,816.50

Capital stock ....... ............ — ........$
Surplus fund ...........................
U ndivided p rofits (n e t) ..........
Individual d ep osits su b je ct to
ch eck ..............— ......................
Dem and certifica tes o f d ep osit
T im e certifica tes of dep osit ....
Due to national and state
banks .............
B ills payable ............................
D ep ositors’ gu arantee fund ....
R eserv e for losses ___________

103,066.50

10 , 000.00

2,000.00
777.93
27,143.32
155.90
51,224.31
6,500.00
4,500.00
65.04
700.00

T ota l ----------------------------- .$ 103,066.50

First State Bank

C harter N o. 956
Hamilton

G. F _ C tf. N o- 497
County

R . C. G u stafson ------------ -----------P resid en t
J . J. R efsh a u ge ...............„..V ice -P re s id e n t

R oy

M cP h erson

................. ..........-...Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

LIABILITIES

L oa n s and d iscou n ts ________ $ 263,417.39
O v e rd ra fts .............
742.48
O ther real estate ......
11,455.00
B an kin g hou se, furniture and
fixtures ..........
6,990.00
B an k ers’ con serv a tion fund __
730.82
Due from national and state
banks .......
26,308.83
C hecks and item s of exchange
204.05
Cash in bank ___
3,683.51
U . S. bonds in cash reserv e_
4,050.00

Capital stock ........................... ..... $ 21,000.00
Surplus fund ....................
4,200.00
U ndivided p rofits (n et) ......_...
813.84
Individual d ep osits s u b je ct to
ch eck ...................
53,954.31
D em and certifica tes o f d ep osit
17,218.00
T im e certifica tes o f dep osit _
185,844.29
S avings d eposits .................... _...
4,378.37
C ashier’ s ch eck s outstanding..
5,355.22
Due to national and state
banks ...................................
14,611.05
B ills payable ....................
10 , 000.00
D ep ositors’ gu aran tee fund _
207.00

Total


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

.$ 317,582.08

Total

.$ 317,582.08

202

BUREAU OF BANKING

Hoskins

Hoskins State Bank

Charter N o. 584

G. F. Ctf. N o. 230

W ayne County
A u g . Z iem er ................................... P resid ent
E . O. B ehm er ............. .......... V ice-P resid en t

R . G. R ohrke ...... ................................ Cashier
E . F . W in te r ........... ..............Ass’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 317,965.86
O verd ra fts ..........
858.28
B on d s, s ecu rities, ju d gm en ts
and claim s ............
118,194.83
O ther real estate .........
22,095.00
B an kin g h ou se, furniture and
fixtures .....................................
2,630.00
B an kers’ con serv a tion fund ....
949.09
D ue from national and state
banks .........................................
101,038.52
C hecks and item s of exch a n ge
361.66
Cash in bank ................................
885.10
U . S. bon d s in cash reserv e___
8,000.00
O ther cash resou rces
..........
1,249.47

Capital s tock ............ ...................$ 25,000.00
Surplus fund ................................
10,000.00
Individual d ep osits s u b je ct to
ch eck _.........................................
171,868.76
T im e certifica tes of dep osit
....359,036.95
C ashier’ s ch ecks outstanding..
8,032.93
D ep ositors’ guarantee fund ....
289.17

T otal .................... .............$ 574,227.81

Howe

T otal ............................. ......$ 574,227.81

Bank of Howe

Charter No. 512

G.

F.

C tf. N o .

190

Nemaha County
E lm er

E.

A llen

.................. «........President

John

T.

Cox

.„...V ice-P residen t

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts .... ........... $
B on d s, secu rities, ju d gm en ts
and claim s ......
O ther real estate _____________
B an k in g h ou se, furniture and
fixtures ............. ...... ...... _..... .
B an k ers’ con serv a tion fund _
Due from national and state
banks ....................
Cash in bank ___
T ota l


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

....- . $

L IA B IL IT IE S
67,685.63
1,947.28
5,964.09
3,583.05
161.80
11,255.29
1,420.42
92,017.56

Capital stock ............. ..................$
Surplus fund .................... .............
U ndivided p rofits (n et) _____
Individual d eposits s u b je ct to
ch eck _____ _________________
D em and certifica tes o f d ep osit
T im e certifica tes of dep osit _
D ep ositors’ gu arantee fund ....

T otal

_...$

2 0 , 000.00
2 , 000.00

2,048.86
38,955.77
2,500.00
26,465.74
47.19

92,017.56

B U R E A U

203

B A N K IN G

Colfax County Bank

Howell
C h a rter N o .

O F

214

G.

F.

C tf.

N o.

89

Colfax County
John M . Folda ............. ...... ...........P resident
E . F . Folda ............................ V ice-P resid en t

L . F. Folda _______________________ Cashier
J . A . Fiala ...... .....................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

E oan s and d iscou n ts ...... ...... _.$ 595,957.94
O verd ra fts .................
1,259.83
B on d s, secu rities, ju d gm en ts
82,029.51
and claim s ......
■Other real estate .............
42,978.88
B an kin g h ou se, furnitu re and
fixtures .................
10 , 000.00
2,090.72
B an kers’ con serv a tion fund __
Due from national and state
banks .............
103,342.25
Checks and item s of exch a n ge
3,788.86
C ash in bank ..........
9,698.79

Capital s tock ____ _________ ___.$ 30,000.00
30,000.00
Surplus fund ......... ................. ....
U ndivided profits (net) ..........
464.48
Individual d ep osits s u b je ct to
ch eck ......
151,041.20
T im e certifica tes of dep osit _ 656,607.89
C ashier’ s ch eck s outstanding..
150.00
D ep ositors’ gu arantee fund _
533.21

U.

S. bon ds

in c a s h

r e s e r v e __

1 7,6 50 .00

T otal ............ ................ ......$ 868,796.78

Farmers State Bank

Howell
C harter N o.

T otal .......................— .......$ 868,796.78

1432

G.

F.

C tf.

N o.

954

Colfax County
J osep h N ova k ...........
J o s. K . Sem erad --------

P resid ent
V ice-P resid en t
STATEM EN T C

J . A . N ova k ___ __________________ Cashier
J . J. N a gen g ast ------ ---- _...Ass’t. Cashier
J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............ „.$ 201,521.19
O v e rd ra fts ...............
218.14
B on d s, s ecu rities, ju d gm en ts
and claim s ....................
76,250.00
B an k in g hou se, furnitu re and
fixtures ......
2 , 000.00
B an kers’ con serv a tion fund ....
618.87
Due from national and state
banks .....
42,217.68
Cash in bank .............
6,416.13
U . S. bon d s in cash reserve....
6,000.00

Capital stock ..............................$ 25,000.00
Surplus fund ........................
8,000.00
U ndivided p rofits (n et) ______
1,297.68
Individual d ep osits su b je ct to
69,659.54
ch eck ____________
T im e certifica tes o f dep osit _ 220,829.37
S avings d ep osits ....................
4,728.57
C ashier’ s ch eck s outstanding..
812.55
D ep ositors’ guarantee fund _
184.47
4,729.83
D ep reciation reserv e .............

T otal


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

.$ 335,242.01

T otal

.$ 335,242.01

204

B U R E A U

O F

B A N K I N G

The Howells State Bank

Howell

G. F . C tf. N o. 286

C harter N o. 669
Colfax County
E. Q uesner ......- ...........
H erm an H olsten — .......

.......... P resid en t
V ice-P resid en t

L . R . Coufal ............. ........ .....- ..........Cashier
J. R . E osta ......- .................... A ss t. Cashier
E. A . Stangel ........................ A s s ’t. Cashier
E . L. G runtorad ....... ......... A s s ’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts — ...........s
O verd ra fts .................... - .................
B on d s, s ecu rities, ju d gm en ts
and claim s .............- .....- ..........
O ther real estate .............- .......--B an kin g hou se, furnitu re and
fixtures ................ - ..................
B an k ers’ con serv a tion fund ....
Due from national and s t a t e
C hecks and item s of exchange
Cash in bank ......- ..... - ............ —
U . S. bonds in cash reserve....

770,375.24
920.46
62,404.70
42.500.00
11.900.00
2,250.26
97,482.46
182.92
13,524.57
25,000.00

T otal ................................. $1,026,540.61

T otal .................. —........... $1,026,540.61

Hubbard State Bank

Hubbard
C harter N o .

Capital stock .................... - .....—-$ 40.000.
40.000.
Surplus fund ................................
3,443.93
U ndivided profits (net)_ ..........
Individual d eposits s u b je ct to
163,212.58
ch eck ......- .......................... - ....
T im e certifica tes of dep osit .... 655,561.83
113,572.82
S avin gs d eposits .........................
132.93
C ashier’ s ch eck s Outstanding616.52
D ep ositors’ guarantee fund ....
10.
000.
Contingent reserve .............- ......

G.

743

F.

C tf. N o .

328

Dakota County
T>
V.

W o lf ......- ................... - ......... President
P rok op .........................V ice-P resid en t

R. V . P rokop ........... ................... ........Cashier
Edward T . W o lf ......- ............. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts — ...........$ 145,754.75
O verd rafts ----- --------- v...................
72.83
B on d s, s ecu rities, ju d gm en ts
and claim s
-5 , 000.00
B an k in g h ou se, furniture and
fixtures ...................
3,506.95
B an k ers’ con serv a tion fund ....
406.03
Due from national and state
ban ks ......- ----------------- --------13,698.06
Cash in bank ....................... - ........
2,833.34
U . S. bon d s in cash reserve....
6 , 000.00
T otal


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

...................$ 177,271.96

L IA B IL IT IE S
Capital s tock — ................— ........$
Surplus fund ......... - ................—
U ndivided profits (n et) ..............
Individual d ep osits s u b je ct to
ch eck ..................................... vD em and certifica tes o f dep osit
T im e certifica tes of dep osit —
S avings d ep osits ........... .............
C ashier’ s ch eck s outstanding..
Due to national and state
ban ks ......... —.......- .........
D ep ositors’ guarantee fund —

10,000.00
10,000.00
1,076.37
48,092.97
582.04
94,301.19
8,066.12
35.00
5 , 000.00

118.27

T otal ............ ......... .......... ■$ 177,271.96

00
00

00

BUREAU OF BANKING

205

Farmers & Merchants State Bank

Hubbell
C h a r t e r N o. 1026

G. F . C tf. N o. 558

Thayer County
H . H . Johnson ......
President
B esse G. R od erick .............. V ice-P resid en t

J . W . R o d e r ic k
G . D . V a n C le e f

— ......... Cashier
-A ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ....... ........$ 217,525.02
O v erd ra fts .............
977.70
B an kin g h ou se, furniture and
fixtures .....................................
5 , 200.00
B an k ers’ con serv a tion fund ....
500.52
Due from national and state
banks ......
23,949.95
C hecks and item s of exch a n ge
370.82
Cash in bank ................................
5,275.38
U . S. bonds in cash reserve....
300.00
T otal ................... ...............$ 254,099.39

Hubbell
C harter N o.

Capital stock ................................$ 20,000.00
Surplus fund ......... _........ ...........
5,000.00
U ndivided p rofits (n et) ..............
4,488.76
Individual d ep osits s u b je ct to
ch eck ...........................................
85,122.43
D em and certifica tes o f dep osit
1 , 000.00
Tim e certifica tes of dep osit :... 130,742.68
......................
7 , 201.02
S avings d eposits
C ashier’ s ch eck s outstanding..
401.91
D ep ositors’ guarantee fund ....
142.59
T otal .............. .................... $ 254,099.39

Hubbell Bank
1074

G.

F.

C tf.

N o.

602

Thayer County
J.

W.

E . Conklin
B . Conklin

--------- ------------ P resid en t
........- ......V ice-P resid en t

L . A . Conklin ________ ___________Cashier
R . H . V on K essel ............. A s s ’t. C ashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $
O verd ra fts ......
B on d s, secu rities, ju d gm en ts
and claim s ......................
B an k in g h ou se, furnitu re and
fixtures ........................
B an k ers’ con serv a tion fund _
D u e from national and s t a t e
banks ...............................
C hecks and item s o f exchange
Cash in bank .............
U . S. bonds in cash reserve....
T otal


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

136,942.76
260.86
3,000.00
10, 000.00

477.12
45,268.65
366.04
2,204.30
5,190.64

.$ 203,710.37

Capital stock ............ _ ................ $
Surplus fund ..........
U ndivided p rofits (n et) ......
Individual d ep osits su b ject to
ch eck .................
Dem and certifica tes of dep osit
T im e certifica tes o f dep osit ....
S avings d ep osits ...........
C ashier’ s ch ecks outstanding..
Due to national and state
banks .............
D e p o s i t o r s ’ g u a r a n t e e f u n d ....
T otal

20,000.00
10,000.00
436.76
68,238.92
2,000.00
86,703.25
10,945.67
51.36
5,203.58
130.83

.$ 203,710.37

206

B U R E A U

Humboldt

O F

B A N K I N G

H om e State Bank
G.

C harter N o. 1257

F.

C tf. N o.

779

Richardson County
O tto K o to u c ................................... P resid ent
G G. Gandy .................... ....V ice-P resid en t

Glenn D . Jenkins ........................... ....C ashier
W m . G reer ......... - —................ .A ss’ t. Cashier
W m . H . H yn ek ___ ____ ___A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ................$ 397,135.47
B on d s, s ecu rities, ju d gm en ts
and claim s ........................... —
100,069.25
O th er real estate .—.
5,500.00
B a n k in g hou se, furnitu re and
3,775.95
fixtures ................... - ..... - .......
B a n k ers’ con serv a tion
fund ....
984.50
D u e from national and state
banks ........................... - .........—
79,157.43
C hecks and item s of exchange
1,607.83
Cash in bank ............ ........ ...........
4,817.47
U . S. bon d s in cash reserve ....
6,600.00
O ther cash resou rces
........
392.25

Capital s tock ............ ..................$ 25,000.00
Surplus fund ............. - ..................
5,000.00
U ndivided p rofits (n et) ...........
4,143.93
Individual d ep osits s u b je ct to
ch eck ..........
175,063.45
D em and certifica tes o f dep osit
390,485.50
D ep ositors’ gu arantee fund
....
347.27

T ota l ................................. $ 600,040.15

T otal ....... ..................... .... $ 600,040.15

Nebraska State Bank

Humboldt

G. F . C tf. N o. 1118

C harter N o . 1594
Richardson County
R . A . Clark .......................................P resid ent
H . H . A v e ry ........................V ice-P resid en t

R . W . Clark ......
R . V . Clark ........

..... ......... Cashier
.A s s't. Cashier

S T A T E M E N T O F J U N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L o a n s and d iscou n ts ............... $ 252,994.03
2,068.27
O verd rafts ,....................................
807.45
O t h e r a s s e t s ------- ----- -----------------B an kin g hou se, furnitu re and
10
,
000.00
■ fixtures .................... - ......—......
Due from national and state
123,658.75
banks ....................- ............ - ....
1,033,21
G h eck s and item s of exchange
8,801.90
G ash in bank .—.......... ............ —

Capital stock .................... - ..........$ 30,000.00
564.49
U ndivided p rofits (net)_ ..........
Individual d eposits s u b je ct to
184,715.04
ch eck ........................... - ....... v674.99
D em and certifica tes of d eposit
T im e certifica tes o f dep osit — 180,599.20
199.50
L etters of credit ......—........
2,610.39
D ep ositors’ gu aran tee fund ....

T otal


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

.$ 399,363.61

T otal

.$ 399,363.61

BU REA U O F BANKING

Humboldt
C harter N o.

207

State Bank of Humboldt

216

Richardson

G.

F.

C tf.

N o.

90

County

S. R . Gist
T . J. Gist

...........P resid ent
.V ice-P resid en t

F. R . B utterfield ...... - ........................Cashier
C. M . H ech t ......................_...Ass’ t. Cashier

S T A T E M E N T OF TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 303,850.61
O verd rafts .............
201.79
O ther assets ...................................
6,240.75
O ther real estate .........................
18,256.62
B an kin g h ou se, furnitu re and
5,800.00
fixtures .....................................
B an k ers’ con serv a tion fund ....
739.06
Due from national and state
banks ..................
33,087.08
C hecks and item s of exchange
8,331.07
Cash in bank .............
7,388.06

Capital stock .............................. .$ 50,000.00
Surplus fund ................................
8,000.00
Individual d eposits s u b je ct to
ch eck .........................................
164,274.97
Dem and certifica tes of d eposit
156,408.70
Due to national and state
banks .........................................
5 , 000.00
D ep ositors’ gu aran tee fund ....
211.37

T ota l ------------ ------- ---------$ 383,895.04

Humphrey

Bank of

T otal

.$ 383,895.04

'ttis & Murphy

C harter N o. 817
Platte

G. F .

Ctf. N o. 384

County

J . J. M iick ....................
G. W . Phillips ........

P resid en t
V ice-P resid en t
STATEM EN T (

T hom as

W ern e r

.................... .......... C ashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 366,640.77
O verd ra fts .............
503.95
B o n d s, secu rities, ju d gm en ts
and claim s .................
45,553.96
99,168.72
O ther real estate .........................
B an kin g h ou se, furniture and
fixtures ......
3,200.00
B an k ers’ con serv a tion fund _
1 , 2 9 7 .53
Due from national and state
banks ......
28,485.19
C hecks and item s of exch a n ge
3,486.14
Cash in bank ................................
4,200.13
U . S. bonds in cash reserve....
9,100.00

Capital stock .................... _......... $ 50,000.00
U ndivided p rofits (n et) ..........
302.03
Individual d ep osits s u b je ct to
ch eck ......'.............................
79,488.66
Dem and certifica tes of d eposit
532.20
T im e certifica tes o f d ep osit _
407,058.99
S avings d ep osits .........................
2,092.53
Cashier’ s ch ecks outstanding..
1,334.83
Bills payable ................................
20,500.00
D ep ositors’ guarantee fund ....
327.15

T otal ............................... $


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

561,636.39

T otal ................- .............$

561,636.39

208

BU REAU O F BANKING

Humphrey

Farmers State Bank
G. F . C tf. N o. 809

C harter N o. 1287
Platte
P.
V.

County

L . K elly ....... ............ - ............. President
W ieser ...........................V ice-P res id en t
S T A T E M E N T O:

P. J. T ern us .................. - .................... Cashier
C. B rochk au s ........................A s s ’ t. Cashier
JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ...............$ 334,456.70
O v e rd ra fts .......................................
801.84
B o n d s, secu rities, ju d gm en ts
and claim s ....................
300.00
O th e r real estate —
36,630.91
B a n k in g h ou se, furnitu re and
fixtures ................... - ...............
9,290.00
B a n k e rs ’ con serv a tion
fund ....
963.28
.Due from national and state
banks — ...................
99,193.67
C h e ck s and item s of exch a n ge
2,164.55
C a sh in bank _________________
5,903.94

Capital stock .................... ........... $ 50,000.00
13,000.00
Surplus fund .............
U ndivided profits (n et) ..........
7,701.48
Individual d ep osits s u b je ct to
ch eck ....................
162,174.25
T im e certifica tes of d eposit .... 245,789.47
S avings d ep osits ..........................
8,072.33
C ashier’ s ch ecks outstanding..
2,703.97
D ep ositors’ guarantee fund ....
263.39

T ota l ................................. $ 489,704.89

T otal ____ ______________ $ 489,704.89

.

R ESO U R CE S

Huntley

State Bank of Huntley

C harter N o. 832

G . F . C tf. N o . 394

Harlan County
A lb e rt V an d ik e ........................... ....P resident
J . E . Sm ith .........................V ice-P resid en t

F . W . N . B row n

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ............ —$
O v erd ra fts ..................... .................
B o n d s, s ecu rities, ju d gm en ts
and claim s --------------------------B an k in g h ou se, furnitu re and
fixtures .............- .....- ...............
B an k ers’ con serv a tion fund ....
D u e from national and state
banks .............- ---- ----------- - ....
■Checks and item s of exchange
«Cash in bank --------------------------T otal


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

107,748.18
642.91
247.61
5,000.00
126.80
6,672.35
78.94
5,100.61

.$ 125,617.40

Capital s tock — ................... - ...... $
Surplus fund .................- .....—.....
U ndivided profits (n et) ..........
In dividual d ep osits su b je ct to
ch eck .......................... — ;.......
T im e certifica tes of d ep osit —
S avings d ep osits ......- ..... - ..........
C ashier’ s ch eck s outstanding..
B ills payable ............. - .................
D ep ositors’ guarantee fund —
T otal

10, 000.00
2 ,0 0 0 .0 0

327.24
33,673.14
49,515.32
4,512.54
525.
25,000.
63.

&S8

R E SO U R C E S

.$ 125,617.40

BU REAU O F BANKING

Hyannis
•Charter

N o.

Bank

209

Hyannis

486

G.

F.

C tf.

N o.

179

Grant County
J . H . M onahan .............
President
J. H . M inor .........................V ice-Presidfcnt
STATEM ENT (

Chas. Finegan .............
„..C ash ier
C. O. Jones ........................ -...A ss’ t. Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 364,596.11
O verd rafts ....................
2,020.43
....................
2,666.22
O th er real estate
B an kin g h ou se, furnitu re and
fixtures ....................
9,000.00
B an kers’ con serv a tion fund ....
861.55
Due from national and state
54,136.76
banks ...............................
-Checks and item s of exchange
2.85
'Cash in bank ................................
5,877.57

Capital stock ..... ............. ...........$ 30,000.00
45,000.00
Surplus fund ........................... _...
U ndivided profits (n et) ..........
13,224.32
Individual d ep osits s u b je ct to
ch eck .............
164,177.16
T im e certifica tes o f dep osit _
178,479.85
S avings d ep osits ......- .................
3,324.95
C ashier’ s ch eck s outstanding..
4,666.60
288.61
D ep ositors’ guarantee fund _

T otal ........................... .......$ 439,161.49

T otal .......................... _ ......$ 439,161.49

Imperial

Farmer & Merchants Bank

-C harter N o . 219

G.

F.

C tf. N o. 91

Chase County
E m m a B . S hallenberger ..........P resident
E . M . S tew art ......... .......... ....V ice-P resid en t

J. E . B urke ................... ................. ....C ashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

R ESO U R CE S

L oans and d iscou n ts ......... .....$ 321,864.40
O verd rafts .......
1,756.48
B on d s, s ecu rities, ju d gm en ts
and claim s ......
798.00
.
32,081.50
- O ther real estate
B an kin g h ou se, furniture and
fixtures ____________________
9,751.62
B an k ers’ con serv a tion fund ....
913.89
Due from national and state
banks ....................
30,179.53
C hecks and item s o f exchange
1,001.76
Cash in bank ....................
11,176.32
<U. S. bonds in ca sh reserve....
3,100.00

Capital s tock ................... ...........$ 50,000.00
Surplus fund .............
5,800.00
1,364.42
U ndivided p rofits (n et) ..........
Individual d ep osits su b je ct to
ch eck ...............
131,207.99
T im e certifica tes of dep osit .... 223,978.14
Due to national and state
banks ......... ......... - ................
13.51
D ep ositors’ guarantee fund ....
259.44

T ota l .................... ...........$


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

412,623.50

T ota l ................................$

412,623.50

210

BU REAU O F BANKING

Inavale

Bank of Inavale

C harter N o. 795

G. F . C tf. N o. 367

W ebster County
Chas. H u n ter .................... - ............. P resid ent

G. R . M cC ra ry ................................... Cashier
A . M . M cC rary ................._...Ass’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ................$ 151,763.52
O verd ra fts .........
752.49
B o n d s, secu rities, ju d gm en ts
and claim s .............
6,135.00
O th er real estate -----------18,386.62
B an king h ou se, furniture and
fixtures ................ - ..................
3,704.00
B an k ers’ con serv a tion fund ....
140.52
Due from national and state
banks .................. ................- ....
13,754.44
Cash in bank ............. - .................
1,719.33
T ota l ................ - .................$ 196,355.92

Indianola

Capital stock .................... ............ $
Surplus fund .................................
U ndivided profits (n et) ..........
In d ivid ual d ep osits s u b je ct to
ch eck .................................. .....
T im e certifica tes of d ep osit —
Bills payable ................................
D ep ositors’ guarantee fund ....

10, 000.00
10, 000.00
905.76
91,232.10
79,097.93
5,000.00
120.13

T otal ................................... $ 196,355.92

Farmers State Bank
G. F . C tf. N o . 458

Charter N o. 913
Red Willow County
H erb ert H ed ges
- ............. P resid ent
Em m a R . H ed ges ......... - ......V ice-P resid en t
S T A T E M E N T Ol

W . A . R eyn old s ................................... Cashier
L . E. H oole ...........................A s s ’ t. Cashier
JU N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 227,187.45
O verd rafts .......................... - ..........
64.83
B o n d s, s ecu rities, ju d gm en ts
and claim s .—............... - ..........
11,483.80
O ther real estate .........................
19,618.04
B an kin g h ou se, furnitu re and
fixtures ......- .....
12,500.00
B an kers’ con serv a tion fund ....
836.12
Due from national and state
banks ............. - ........ - .....- ........
45,374.67
C hecks and item s of exch a n g e
252.64
Cash in bank ................................
6,959.80
U . S. bon d s in cash reserve....
10,078.13

Capital s tock ................................$ 25,000.00
Surplus fund ............. ...................
5,000.00
U ndivided p rofits (n et) ..........
1,279.84
Individual d ep osits s u b je ct to
ch eck ............................... - ........
92,066.13
Dem and certifica tes of dep osit
2,000.00
T im e certifica tes o f dep osit .... 208,061.26
C ashier’ s ch eck s outstanding..
577.20
D ep ositors’ guarantee fund —
371.05

T otal


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

.$ 334,355.48

T ota l —

.$ 334,355.48

211

BUREAU OF BANKING

Indianola

State Bank

•Charter N o. 220

G.

F.

C tf. N o.

92

Red Willow County
H . G. W ellen siek ...... ................... President
P . O. S ou th w ick ............ ....V ice-P resid en t

C. S. Q uick, J r ................. .......... ....... Cashier
W m . Payne ............................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

.$ 340,513.39
L oans and d iscou n ts ....
184.73
O verdrafts .................... .......
1,041.94
O ther assets ...............................
61,684.23
O ther real estate .........................
B an kin g h ou se, furniture and
,174.75
fixtures ......... ...........................
957.98
B an kers’ con serv a tion fund ....
Due from national and state
,592.67
banks .........................................
737.63
C hecks and item s of exchange
101.83
Cash in bank ................................
150.00
U. S. bonds in cash reserv e_

Capital stock ............. ..................$ 25.000.
Surplus fund .................... ...........
5,000.00
U ndivided profits (net) ..........
603.99
Individual d ep osits s u b je ct to
ch eck ................... ...................
138,228.59
28.
Dem and certifica tes of d eposit
T im e certifica tes o f d ep osit .... 255,357.
2,631.
C ashier’ s ch eck s outstanding..
10. 000.
B ills payable .................................
289.
D ep ositors’ guarantee fund _

88Ö88

R ESO U R C E S

T otal .................................. .$ 437,139.15

Inland

T otal _______ ___________

$

437,139.15

Farmers State Bank

•Charter N o.

1134

G.

F.

C tf.

N o.

656

Clay County
H . G . W ellen siek .................... ....P resident
D avid S tim bert .............
.V ice-P resid en t

C.

H.

W o rle y

.......................... .......Cashier

S T A T E M E N T C F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ............... $
O verd rafts __________________
O ther assets ......
O ther real estate ---B an kin g h ou se, furnitu re and
fixtures .... ................
B an kers’ con serv a tion
fund ....
Due from national and state
banks ....................
C hecks and item s o f exch a n g e
Cash in bank .....
U . S. bonds in cash reserve....
• O th er ca sh resou rces ______

Total


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

95,150.32
266.99
14.59
8,000.00
3,400.00
282.14

Capital s tock .................... .............$
Surplus fund ......
Individual d ep osits s u b je ct to
ch eck .........................................
T im e certifica tes o f dep osit ....
S avings d ep osits
.........
B ills payable .............
D ep ositors’ gu aran tee fund ___

10,000.00
2,000.00
20,949.91
67,984.83
2,516.59
15,000.00
59.55

6,422.79
366.50
2,067.96
2,500.00
39.59

..$ 118,510.88

T otal

4

118,510.88

00

212

BUREAU OF BANKING

Inman

Inman State Bank

C harter N o. 622

G. F .

C tf. N o . 255

Holt County
Daniel

G allagher ............................ P resid ent

Geo. W . D avies ___________ _____ Cashier
S. E van D avies ......... ................. B ook k eep er

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 157,569.84
O verd ra fts .............
152.76
O ther real estate .................
2,500.00
B an kin g h ou se, furniture and
fixtures ______
6,500.00
B an k ers’ con serv a tion fund ....
491.35
Due from national and state
banks ......- ................... - ...........
16,650.27
C hecks and item s of exchange
808.97
Cash in bank ............ ....................
5,638.39
U . S. bonds in cash reserve....
2 , 100.00

Capital stock .................... .......... $
Surplus fund ....................
U n divided p rofits (n et) ......
Individual d eposits s u b je ct to
ch eck .................... _............ - ....
T im e certifica tes of dep osit ....
D ep ositors’ guarantee fund _

Charter N o.

51,046.14
122,504.25
131.47

T otal ......- ........................... $ 192,411.58

T otal ...................................$ 192,411.58

Irvington

15,000.00
2,000.00
1,729.72

State Bank of Irvington
G.

1450

F.

C tf. N o. 972

Douglas County
Wm.

D irks

........

President
STATEM EN T (

M.

S.

D irks

L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $
O ther real estate .—........- ..........
B an kin g h ou se, furnitu re and
fixtures ....... ............ - ..... - ........
B an kers’ con serv a tion fund _
Due from national and state
banks ............. - .........................
Cash in bank ...................... .......
C hecks and item s of exch a n ge

45,940.90
17,471.61

.$

75,274.46

T otal


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

.......................- .............Cashier

JU N E 30, 1927

5,090.00
144.29
3,991.72
1,707.11
928.83

Capital stock .................... .............$
U ndivided p rofits (n e t) ..........
Individual d ep osits s u b je ct to
ch eck .............
Tim e certifica tes of dep osit —
S avings d ep osits --------------- .-----C ashier’ s ch eck s outstanding..
D ep ositors’ gu arantee fund —
T otal

.$

10,000.00
184.16
25,278.30
7,868.00
31,683.00
220.40
40.60
75,274.46

213

BUREAU OF BANKING

Ithaca

Farmers State Bank

C harter N o. 687

G. F .

Ctf.

N o . 296

Saunders County
G.
F.

F . W a g n er ....................- ..........President
C. H anke ............ - .......„ V ice -P r e s id e n t
STATEM ENT O

Cashier
J. M . Hall ......
Fred W . W a g n er .................A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 153,405.42
O verd rafts ..................—.......... ........
152.21
B on d s, secu rities, ju d gm en ts
and claim s ...........—.......... .......
9,269.72
B an king h ou se, furniture and
fixtures .............- ......................
2,090.50
B an kers’ con serv ation fund _
607.04
Due from national and state
banks ................ .......... ............
52,395.30
Cash in bank ....................... .......
2,355.60

Capital s tock .................... .............$ 10,000.00
10,000.00
Surplus fund ......... _................ ....
U ndivided profits (n et) ..........
3,946.86
Individual d ep osits s u b je ct to
ch eck ...........................
58,894.94
Tim e certifica tes of dep osit _ 137,298.95
D ep ositors’ guarantee fund _
135.04

T otal ................................. $ 220,275.79

T otal .................. ...............$ 220,275.79

Jackson

Bank of Dakota County

C harter N o. 651

G. F . C tf. N o. 276

Dakota County
John B oler ..................... .......... .......P resid ent
M ich ael R . B oler ........ ........ V ice-P resid en t
STATEM EN T (

M argaret C. B oler ................. A s s ’ t. Cashier
J U N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ____ ____.$ 191,138.36
510.02
O v erd ra fts .............
B on d s, secu rities, ju d gm en ts
and claim s
- .........
600.00
O ther real estate ............ — .......
41,822.80
B an king h ou se, furniture and
fixtures ......
4,357.28
B an kers’ con serv a tion fund ....
706.98
D ue from national and state
banks ....................
20,769.65
Cash in bank .............
2,526.19
T otal


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

.$ 262,431.28

Capital stock ......... ..................... $
Surplus fund ....... ..... _............... ...
U ndivided profits (n et) ......
Individual d ep osits subject to
ch eck .........................................
Tim e certifica tes of dep osit _
S avings d ep osits ........................
C ashier’ s ch eck s outstanding..
B ills payable ......- ................- ......
D ep ositors’ guarantee fund _
T otal

20,000.00
4,000.00
795.45
73,075.57
154,792.60
4,426.39
163.45
5,000.00
177.82

.$ 262,431.28

214

BU REAU O F BANKING

Jackson

Jackson State Bank

C harter N o. 1459

G. F . C tf. N o. 981

Dakota County
Operated by Guarantee Fund Commission
S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts
........ _.$ 136,619.84
O v erd ra fts ........
925.68
B on d s, s ecu rities, ju d gm en ts
and claim s ......
1,282.51
O ther assets .................
5,233.91
O th er real estate .........................
25,952.74
B an kin g h ou se, furnitu re and
fixtures ....... ............. ............ _.
7,840.00
B an kers’ con serv a tion fund ....
546.22
Due from national and state
banks ....................
4,423.41
C hecks and item s of exch a n g e
16.00
Cash in bank ___
250.85

Capital s tock ............................... $
Surplus fund ..........
In dividual d ep osits s u b je ct to
ch eck ......................
T im e certifica tes o f d ep osit _
S avings d ep osits ............ _.........
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund _
O ther liabilities .............

T ota l ................................. $ 183,091.16

Jansen

15,000.00
1,357.60
16,352.87
128,878.24
10,371.05
5.45
125.95
11 , 000.00

T otal ................................. $ 183,091.16

State Bank

C harter N o. 612

G. F . C tf. N o. 246

Jefferson County
H . A . T h iessen ......_........ ............P resid ent
F . C. A ch tem eier ............ ..V ice-P resid en t

H.

T.

F a st .. ...._............................ „...Cashier

S T A T E M E N T O F J U N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ...... .........$ 104,619.19
O verd rafts .................
525.36
B an kin g hou se, furnitu re and
fixtures .................... _...............
6,500.00
B an kers’ con serv a tion fund ....
346.69
Due from national and state
23,945.45
ban ks .............
C hecks and item s of exch a n ge
54.32
Cash in bank ___
2,096.44
T otal


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

..$ 138,087.45

Capital stock _________________ $
Surplus fund .... ...........................
U ndivided p rofits (n et) ______
Individual d ep osits s u b je ct to
ch eck ......... ...... .......................
T im e certifica tes o f dep osit _
D ep ositors’ guarantee fund __

T otal

20,000.00
4,000.00
1,357.98
49,803.88
62,834.35
91.24

____ $ 138,087.45

BU REAU O F BANKING

Johnstown

215

Citizens Bank

Charter N o. 614

G. F . C tf. N o. 248

Brown County
Geo. D. Clizbe ......... ....................... P resid ent

J. A . H olt ................ ...... ..................Cashier
D.
A . R eim an ......................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ................$
O verd rafts ................ .— .................
B on d s, s ecu rities, ju d gm en ts
and claim s ......
O ther assets ......
O ther real estate .............
B an king h ou se, furnitu re and
fixtures __________ ___ ___
B an k ers’ con serv a tion fund ....
Due from national and state
banks ....................... _...............
Cash in bank .............
O ther cash resou rces ___

L IA B IL IT IE S
91,497.45
305.74
1,075.14
4,446.88
31,567.74
5,000.00
400.44

10,000.00
7,000.00
47,332.42
6,326.33
81,649.13
304.97
102.18

14,205.85
3,113.12
1,102.67

T otal ................................... $ 152,715.03

Johnson

Capital stock .................... .......... $
Surplus fund ......
Individual d ep osits -subject to
ch eck ............._l.................. ......
Dem and certifica tes of d ep osit
T im e certifica tes of dep osit ....
Cashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund __

First

T otal ............. ................... ...$ 152,715.03

Bank

C harter N o. 1387

G. F . C tf. N o. 909

N em aha County
A l. N . D afoe _______________- ......President
F red K iech el .........................V ice-P resid en t
STATEM ENT C

Cashier
Jam es P. K elley .................
John L. B linde — ................ A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 218,995.09
O verd rafts .......
249.53
B on d s, s ecu rities, ju d gm en ts
and claim s ......- ................... ,....
20,816.37
B an kin g hou se, furnitu re and
fixtures ....... ............ - ............ —
5,000.00
B an kers’ con serv a tion fund _
524.39
Due from national and state
banks ...............................
38,956.42
C hecks and item s of exch a n ge
263.68
Cash in bank .................
5,675.73
U . S. bonds in cash
reserv e_
4,500.00

Capital stock ............. ..................$ 25,000.00
Surplus fund .............
5,000.00
U ndivided profits (n et) ..........
2,683.65
Individual d ep osits s u b je ct to
ch eck .................
86,440.88
Dem and certifica tes o f dep osit
2,000.00
T im e certifica tes o f dep osit _
157,754.09
S avings d eposits ........
13,269.31
C ashier’ s ch eck s outstanding..
2,672.04
D ep ositors’ gu arantee fund _
161.24

T ota l ...................................$ 294,981.21

T ota l ........................... .......$ 294,981.21


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

216

BUREAU OF BANKING

Julian

Bank of Julian

C harter N o. 226

G. F .

C tf. N o. 93 .

Nemaha County
A.
E.

F. A ckerm an .................... - ......P resid ent
B erlet ......... ................. ....V ice-P resid en t

G.

B.

Y o u n g __ __ _______ _________ Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 135,445.91
O verd rafts ...........
272.42
B on d s, s ecu rities, ju d gm en ts
and claim s .............................
x 1,183.44
B an king h ou se, furnitu re and
4,500.00
fixtures .............- ............ .........
Due from national and state
banks ______
20,698.64
C hecks and item s of exch a n g e
691.83
Cash in bank ......
2,567.88

Capital s tock _____ ______ ____...$
Surplus fund ........
U ndivided p rofits (n e t) ...........
Individual d ep osits su b je ct to
ch eck .................
Dem and certifica tes of d ep osit
T im e certifica tes of d eposit _
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund _

165,360.12

T otal

Juniata

10,000.00
1,865.24
981.21
88,974.44
6.60
62,886.69
532.50
113.44
165,360.12

Total

State Bank of Juniata

C harter N o. 552

G. F . C tf. N o . 209

Adams County
H.
G. P ra tt .............._....................P resid en t
H . E. P ra tt ___ ___________ .V ice-P resid en t

S.

H . Itzen -------------------- ----- --------- Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ___ _____ $ 134,496.05
O v erd ra fts ................
189.12
B o n d s, s ecu rities, ju d gm en ts
and claim s ........
21,158.50
B an k in g h ou se, furnitu re and
fixtures ....................- ..... - ......
6,500.00
B an k ers’ con serv a tion fund ....
404.44
Due from national and state
banks ______________________
13,211.17
C hecks and item s of exch a n g e
53.50
Cash in bank ............. - .................
4,416.36
U . S. bon d s in cash reserve....
4,350.00

Capital stock ......... ........ .............$ 20,000.
Surplus fund ................... ............
5,000.
U ndivided p rofits (n et) ..........
1,787.
Individual d ep osits s u b je ct to
ch eck .......................
58,234.31
T im e certifica tes of d ep osit
.... 98,302.42
S avings d ep osits ___
1,293.14
C ashier’ s ch eck s outstanding..
46.25
D e p ositors’ guarantee fund
115.12

T ota l


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

.$ 184,779.14

£83

R ESO U R C E S

T otal

.$ 184,779.14

BUREAU OF BANKING

Kearney

217

American State Bank

C harter N o. 1406

G. F . C tf. N o. 928

Buffalo County
L.

J.

S tu tt -------------------------------- P resid ent

N . C. A n d ersen __ _________________ Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 278,524.23
O verd rafts .............- ........................
2,760.95
B on d s, s ecu rities, ju d gm en ts
and claim s ________________
32,107.87
4,722.20
O ther assets ___
O ther real estate ...................
14,000.00
B an king h ou se, furniture and
fixtures ......... .............. ...........
25,800.00
449.24
B an kers’ con serv a tion fund _
Due from national and state
banks .............
121,650.28
Checks and item s of exchange
9,935.09
Cash in bank ........
17,401.85
U . S. bonds in cash reserve....
11,400.00

Capital stock ................... ...........$ 50,000.00
Surplus fund .............
2,000.00
U ndivided p rofits (n et) ______
92.37
Individual d ep osits s u b je ct to
ch eck ...................................
285,899.63
Dem and certifica tes of dep osit
3,502.06
T im e certifica tes o f dep osit _
150,270.80
S avings d ep osits ________
21,510.27
Certified ch eck s ...........................
400.00
C ashier’ s ch eck s outstanding..
2,042.36
Due to national and state
banks ....................
2,866.45
167.77
D ep ositors’ guarantee fund _

T otal ............................... $ 518,751.71

T otal ................................$ 518,751.71

Kearney

Farmers State Bank

C harter N o. 228

G. F .

C tf. N o. 94

Buffalo County
J. G. L ow e .......................... ...........President
W . O . K in g ..........
V ice-P resid en t

STATEMENT (

J. D . W o lf ......
John G. L ow e, J r .............. A s s ’ t.

Cashier
Cashier

J U N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 829,446.21
O verd rafts .............
1,785.09
B on d s, secu rities, ju d gm en ts
and claim s ....... ............ _......
203,449.14
O ther real estate ..........
515.28
B an king h ou se, furnitu re and
fixtures .............
30,000.00
B an kers’ con serv a tion fund ....
2,459.98
Due from national and state
banks ......................
282,098.68
C hecks and item s o f exchange
19,976.33
Cash in bank .................
36,382.65
U. S. bonds in cash reserve....
5,000.00

Capital s to c k ...............................$ 50,000.00
Surplus fund ................_............ .
25,000.00
U ndivided p rofits (n et) _____
7,743.48
Individual d ep osits s u b je ct to
540,476.27
ch eck .........................................
Dem and certifica tes of dep osit
2,127.72
T im e certifica tes of dep osit _ 632,369.02
S avings d ep osits ............ _..........
41,177.01
Due to national and state
banks ...............
110,837.08
D ep ositors’ guarantee fund _
744.67
R eserv ed for taxes .....................
638.11

T otal .................................. 41,411,113.36

T otal ------------------ ---- ----- 41,411,113.36


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

218

BU REAU O F BANKING

Keene

Farmers State Bank
G. F . C tf. N o. 426

C harter N o. 874
Kearney County
A rv id P eterson ....._ .....
P . J. N elson .........

President
.V ice-P resid en t

C.

E.

N elson

STATEM EN T (

J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts _______...$
O v erd ra fts ............- .................... .
B on d s, s ecu rities, ju d gm en ts
and claim s ......- ......................
B an k in g h ou se, furnitu re and
fixtures ......... - ..........................
B an kers’ con serv a tion fund _
Due from national and state
banks ............. - ............ - .........—
C hecks and item s of exch a n ge
Cash in bank ......_
.........
T otal ....... ........................... $

Kenesaw
C harter N o.

— .......... - ....................Cashier

75,620.56
153.70
23,027.45
2 , 000.00

286.81

Capital s tock ___________ _____—.$
Surplus fund .........
U ndivided profits (net) --------Individual d ep osits s u b je ct to
............................
ch eck
T im e certifica tes of dep osit ....
S avings d ep osits .........................
D ep ositors’ guarantee fund _

5,000.00
7,500.00
458.47
37,218.10
61,198.74
4,767.97
81.91

13,151.45
113.28
1,871.94
116,225.19

T ota l ................. ................. $ 116,225.19

First State Bank
1019

G. F . C tf. N o. 551

Adams County
J . W . O uderkirk ................._..........P resid en t
Franklin B ernhard ..............V ice-P res id en t

Joseph D. J a co ......... - ..... - .................Cashier
W . E. E rn st ...... ............. _...Ass’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

L oans sand d iscou n ts ............... $ 238,644.65
225.17
O v erd ra fts .......................... - ..........
O th er real estate
...................
10,000.00
B an kin g hou se, furnitu re and
fixtu res .............
9 , 000.00
B an k ers’ con serv a tion fund ....
699.45
Due from national and state
ban ks ...............................40,033.71
C hecks and item s of exch a n ge
1.643.20
Cash in bank .............
6,487.08

Capital stock ................................$ 25,000.00
Surplus fund ........................
5,000.00
U ndivided p rofits (n et) ..........
640.49
Individual d ep osits s u b je ct to
ch eck .................- ..
88,343.87
Tim e certifica tes o f dep osit
.... 172,363.25
C ashier’ s ch eck s outstanding..
208.20
B ills payable .................... - ...........
15,000.00
D ep ositors’ gu aran tee fund
—
177.45

T otal ......................,........... .$ 306,733.26

T ota l ..._____ - ....:.............. .$ 306,733.26

.

RESOURCES


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

BU REA U O F BANKING

Kenesaw

2 1 !)

Kenesaw State Bank

C harter N o. 585

G. F . C tf. N o. 231

Adams County
S. A . W e stin g ....... ............ .......... P resident
H . R . Coplin ......... ..............V ice-P resid en t
STATEM ENT (

E.

D.

W eek s .................................„...Cashier

J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts _________ $
O verd rafts ____
B an king h ou se, furniture and
fixtures .........
B an kers’ con serv a tion fund _
Due from national and state
banks .................................
Checks and item s of exch a n ge
Cash in bank ......
U . S. bonds in cash reserve....
O ther cash resou rces _________

167,489.77
343.88
10 , 000.00

514.20
18,982.79
537.52
5,553.00
4,100.00
610.97

T otal __________________ $ 208,132.13

Kennard

Capital stock ................... .......... $
Surplus fund ......
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ......................................
Dem and certifica tes of dep osit
Tim e certifica tes of d eposit ....
B ills payable .............
D ep ositors’ guarantee fund _

30,000.00
3,000.00
72.05
55,705.65
2,820.60
93,404.01
23,000.00
129.82

..$ 208,132.13

Total

Farmers & Merchants Bank

C harter N o. 499

G. F . Ctf. N o. 185

Washington County
Operated by Guarantee Fund Commission
S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 191,354.28
O verdrafts ............. - ........................
305.29
B on d s, secu rities, ju d gm en ts
and claim s ......
4,567.03
48,141.62
O ther assets .................... - ..... ......
O ther real estate .................... „...
3,304.69
B an king hou se, furnitu re and
fixtures .................... - ............ .
8,700.00
B an kers’ con serv a tion fund ....
780.93
D ue from national and state
ban ks ...______________ ___- ....
12,047.32
Checks and item s of exchange
4.59
Cash in bank ....................
2,201.82

Capital stock ............ ........ ......... $ 30,000.00
Individual d eposits s u b je ct to
64,878.70
ch eck ......
T im e certifica tes o f d ep osit ....
171,701.92
S avings d ep osits .......
1,212.13
D ep ositors’ guarantee fund ....
165.02
O ther liabilities ........................
3,449.80

Total


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

.$ 271,407.57

T otal

.$ 271,407.57

BU REAU OF BANKING

220

Kennard
C harter N o.

Home State Bank
1278

G. F . C tf. N o. 800

Washington County
W m . Jahnel ....... .......... ........... ........President
Jas. H . Jensen ............. ....... V ice-P resid en t

H . H . T h eg e ----------------------------- - ......Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 143,392.03
O verd ra fts ......... - ................- ..........
1,735.33
B on d s, s e cu rities, ju d gm en ts
and claim s .............. ..... - .........
5,951.20
O ther assets .................- ........._......
193.95
O ther real estate
...........
12,540.02
B an kin g h ou se, furnitu re and
fixtures .......
7,000.00
B an k ers’ con serv a tion fund ....
309.23
Due from national and state
banks ............. - ..... ........ ...........
7,638.15
C hecks and item s o f exch a n ge
1,384.07
Cash in ban k ------------------------673.59

Capital stock .................... ........... $
Surplus fund ...............................
Individual d ep osits s u b je ct to
ch eck ............. - ........ ....... .—....
Tim e certifica tes of dep osit ....
R e-d iscou n ts ........... - .....- ..... - ......
B ills payable ------ ---- - .................
D ep ositors’ gu aran tee fund —

Bank c

10. 000.
100.65

Keystone
G. F . C tf. N o. 604

C harter N o. 1076
Keith County
R . H . B arber .........................-......P resid ent
P aul H . K annow ............... V ice-P resid en t
STATEM ENT (

Ben

B.

M cN air

L IA B IL IT IE S

L oa n s and d iscou n ts .............. $ 118,143.05
1,371.43
O verd rafts .........................
B an kin g hou se, furnitu re and
fixtures ......- .....- ..... - ...............
7,000.00
B an k ers’ con serv a tion fund ....
279.11
Due from national and state
banks ................... ...................—
19,344.35
C hecks and item s of exch a n ge
74.92
Cash in bank _______
2,253.38
U . S. bon d s in cash reserve....
3,900.00
T otal


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

........................... ....Cashier

JU N E 30, 1927

R ESO U R CE S

.$ 152,366.24

Capital stock .................... .......... $
Surplus fund ........................
U ndivided p rofits (n et) ...........
Individual deposits s u b ject to
ch eck .............
Tim e certifica tes of dep osit —
D ep ositors’ gu aran tee fund —

T otal

00

69,188.79
81,028.13
1,500.00

T otal ....... .................. ...... $ 180,817.57

T ota l __________________ $ 180,817.57

Keystone

15.000.
4,000.00

15,000.00
5,000.00
1,619.00
71,607.53
59,056.18
83.53

.$ 152,366.24

00

BU REAU O F BANKING

Kilgore

221

Farmers State Bank

C harter N o. 1520

G. F . C tf. N o. 1042

C herry C ou n ty
B . L . Cam pbell ............................ P resid ent
J . N . Cam pbell .....................V ice-P resid en t

M . G. H. Cam pbell ................ .......... Cashier
D om . A . Cannon ..................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$
■Overdrafts ......... _..........................
O ther real estate
_.................
B an king h ou se, furnitu re and
fixtures .................... _...............
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........................
C hecks and item s o f exchange
C ash in bank ............ _
......

92,905.16
518.11
3,000.00
5,000.00
255.26
33,768.88
2,380.26
4,164.74

T ota l ---------------------------- $ 141,992.41

Kimball

Capital stock ................... .......... $
Surplus fund ................................
U ndivided p rofits (net) ..........
Individual d eposits s u b je ct to
ch eck .........
Dem and certifica tes of dep osit
T im e certificates o f d ep osit .....
S avings d eposits .............
Certified ch ecks ......
C ashier’ s ch eck s outstanding..
Due to national and state
banks ............................
D ep ositors’ gu aran tee fund ....

15,000.00
2,500.00
1,572.65
69,826.16
4,000.00
34,602.31
790.31
82.00
1,005.02
12,543.74
70.22

T otal ....... ....................... _.$ 141,992.41

American State Bank

C harter N o. 1435

G. F . C tf. N o. 957

K im ball C ounty
W . S. R odm an
R . V . R odm an

........................President
........ -...V ice-P resid en t
STATEM EN T (

W . M . R odm an ........................... .......Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......- ........$ 378,575.90
O verdrafts ....................
314.43
B on d s, secu rities, ju d gm en ts
and claim s ....................- ........ 211,692.61
O ther real estate ......
2,000.00
B an king h ou se, furniture and
45,000.00
fixtures .................. - ..... ...........
B an kers’ con serv a tion fund ....
1,151.45
Due from national and state
banks ________________
74,750.56
C hecks and item s of exchange
3,637.96
Cash in bank ................................
17,718.14
U . S. bonds in cash reserve....
8 , 000.00

Capital stock .......................... _...$ 100,000.00
Surplus fund ................................
10,000.00
U ndivided profits (net) ..........
10,049.54
Individual d ep osits s u b je ct to
ch eck .........................................
298,352.39
Tim e certifica tes o f d ep osit _
323,943.23
D ep ositors’ guarantee fund _
495.89

Total


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

.$ 742,841.05

T otal

.$ 742,841.05

222

BU REAU O F BANKING

Bank of Kimball

Kimball

G. F . C tf. N o. 393

C harter N o. 831
Kimball County
Gus Linn ..............................— ........P resident
John I. Filer ...................... .V ice-P resid en t
Geo. L . V o g le r ............... V ice-P resid en t

G. W
B road hurst
C. L . A ld en .............

............... Cashier
..A ss’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ............. _.$ 463,313.00
O verd rafts ............. - ............ - .........
942.42
B on d s, secu rities, ju d gm en ts
and claim s ................... _.........
14,201.47
O ther real estate ......... - .............
93,453.02
B an kin g hou se, furnitu re and
fixtures .....................................
25,000.00
B an k ers’ con serv a tion fund ....
1,248.27
Due from national and state
ban ks .................— ..... - ..........
64,366.23
C hecks and item s of exchange
1,781.06
Cash in bank ............... — ...........
13,219.64

50,000.00
Capital stock ............ ..................$
8,500.00
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...................................- ....
207,304.30'
T im e certifica tes of d ep osit
.... 237,569.87
S avings d eposits .........................
56,067.83
B ills payable ...............................— 117,651.00
D ep ositors’ guarantee fund —
432.11

T otal ................................... $ 677,525.11

T otal ................................... $ 677,525.11

o

Farmers State Bank

Kramer
C harter N o.

G. F .

1147

L a n ca ster

J. H . Lohm ann ............. .............. P resident
W . J. W eb er ...................... .V ice-P resid en t
STATEM EN T (

L oans and d iscou n ts ............... $
O verd ra fts ....................
B on d s, secu rities, ju d gm en ts
and claim s ........
B an kin g h ou se, furnitu re and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks ............._..........................
Cash in bank ..................................

B enj.

C.

B ilh orn ................................C ashier

’ JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
91,064.61
10.91
4,980.00
2,500.00
237.76

Capital s tock ............ lr................ $
Surplus fund ..........
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ..................................- ....
Tim e certifica tes of dep osit
....
S avings d eposits .......................
D ep ositors’ ’ guarantee, fund
—

10,000.00
3,500.00
1,220.57
26,779.64
81,684.06
826.12
65.55

22,787.99
2,494.67

T otal ................................. $ 124,075.94


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

C tf. N o. 669

C ounty

T otal ................................. $ 124,075.94

BUREAU OF BANKING

Lam ar

223

Lamar State Bank

C harter N o. 1270

G. F . C tf. N o. 792

Chase County
B . F . H a stin gs ................................P resid ent

R od ney D avis ............. ...................„...Cashier
F aye P riesner ............—......A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ______ __ $
O verd rafts ......
B on d s, secu rities, ju d gm en ts
and claim s .................
O ther assets ............................
O th er real estate .........................
B an kin g h ou se, furniture and
fixtures .............
B an k ers’ con serv a tion fund ....
Due from national and state
banks ...................................
Checks and item s of exchange
Cash in bank .............
O th er cash resou rces _________

91,871.99
841.08
401.70
2,866.91
7,732.00
8 , 000.00

203.38
12,211.16
38.70
717.84
67.64

Capital stock ...............................$
Individual d ep osits s u b je ct to
ch eck ..............
Dem and certifica tes of dep osit
T im e certifica tes of d eposit ....
C ashier’ s ch eck s outstanding..
Due to national and state
banks ....................
B ills payable ....................
D ep ositors’ guarantee fund ....

T ota l ...................................$ 124,952.40

25,000.00
31,944.57
3,000.00
30,308.60
112.69
18,924.62
15,600.00
61.92

T otal ................................... $ 124,952.40

State Bank

Lanham
C harter N o. 950

G. F . C tf. N o. 491

Gage County
W m . W ieters .................... ..............P resid en t
W m . R ig g e r t ......- ..... .......... V ice-P resid en t

W.

C.

W ieters ....................................C ashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ................$ 141,195.44
O v erd ra fts ....................
497.15
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
34,050.00
B an k in g h ou se, furniture and
fixtures ........
3,600.00
B a n k ers’ con serv a tion fund __
377.02
D ue from national and state
banks ___
35,164.78
C hecks and item s o f exch a n g e
94.84
Cash in bank ..................................
2,405.05

Capital stock ................................$
10,000.00
Surplus fund ................................
2,500.00
1,392.65
U ndivided p rofits (n et) ......_...
Individual d eposits s u b je ct to
ch eck ....................- .......
66,775.40
T im e certifica tes o f dep osit _
138,594.15
D epositor. 1r’ gu aran tee fund
122.08

U. S. bonds in cash reserve....
T otal


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

2,000.00

..$ 219,384.28

T otal

.$ 219,384.28

224

BU REAU OF BANKING

Laurel

State Bank of Laurel
G. F . C tf. N o . 991

Charter N o. 1469
Cedar C ounty
A.
E.

U rw iler ............. _........................President
E . L u n d qu ist ................. V ice-P resid en t

W illiam A . C rossland ......................Cashier
Earl Schuler .................... - ......A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 197,538.13
O verd rafts ......- .... —.........— ...... .
1,386.93
B on d s, secu rities, ju d gm en ts
and claim s ________ _________
36,572.94
6,927.56
O ther assets ......... — ..... - ..... - ....
O ther real estate ......... ..............
1,150.66
B an k in g h ou se, furniture and
10,156.50
fixtures ......- .........- ..................
D ue from national and state
ban ks ............ - ................... - ....
61,198.51
C hecks and item s o f exch a n ge
3,491.76
Cash in bank ................................
8,277.45
U . S. bonds in cash reserve....
12 , 000.00
T otal ..................................$ 338,700.44

Lawrence

Capital stock ...............................$
Surplus fund ...............................
Individual d ep osits s u b je ct to
ch eck .......................................
T im e certifica tes of dep osit ....
S avings d eposits .........................
C ashier’ s ch eck s outstanding..
D ep ositors’ gu aran tee fund —

25,000.00
2,500.00
156,527.64
145,524.24
8,871.87
37.18
239.51

338,700.44

T otal

Security State Bank
G. F . C tf. N o. 745

C harter N o. 1223
N u ckolls C ounty
V.
V.

S.
A.

H all .......................... ............President
H all .......................... ..V ice-P resid en t

..Cashier
E. T. B arrett ....
Fr. R isch lin g .........................A s s ’ t. C ashier
H . C. O stdick ................. _...Ass’ t. C ashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 299,601.20
O verd ra fts ......- ...............................
339.06
B on d s, secu rities, ju d gm en ts
and claim s ..........
46,878.34
O ther assets ......... - ................- ....
1,387.21
O ther real estate
.
23,500.00
B an kin g h ou se, furnitu re and
fixtures ...+............- ............ —
7,625.00
B an k ers’ con serv a tion fund ....
1,119.19
Due from national and state
ban ks .........................................
57,242.02
C hecks and item s of exch a n ge
593.95
Cash in bank ........................- ......
5,208.80
Total


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

..$ 443,494.77

Capital stock ................................!
Surplus fund ................. ..............
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes o f dep osit ....
S avings d eposits ................ ........
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund —

T otal

20 , 0 00.00

5,000.00

84,126.3o1
331,077.85
1,837.51
1,152.79
300.32

.$ 443,494.77

BUREAU OF BANKING

Lebanon

225

State Bank of Lebanon

C harter N o. 235

G. F . Ctf. N o . 95

Red Willow County
R ay C. M u rp hy ............................P resid en t
Geo. A b b o tt — ........ .............. V ice-P resid en t

M.

J.

W a lters ..................................Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ...............$ 182,258.36
O v e rd ra fts .........
302.17
B o n d s, s ecu rities, ju d gm en ts
and claim s ....................
16,400.00
8 , 000.00
O th er real esta te _________
B an k in g hou se, furniture and
fixtures .....................................
6 , 000.00
B an k ers’ con serv a tion fund _
669.52
D u e from national and state
banks .................
25,737.66
C hecks and item s o f exchange
1,241.52
Cash in bank ......
3,128.93
U . S. bonds in cash reserve....
2,000.00
O ther cash resou rces
........
1,028.85
T otal .................................. .$ 246,767.01

Leigh

Capital stock ......... ......................$ 12,000.00
Surplus fund ................................
3,000.00
U ndivided p rofits (n et) .............
3,168.86
Individual d ep osits s u b je ct to
ch eck .............................
98,823.40
Dem and certifica tes o f dep osit
2,000.00
Tim e certifica tes of d eposit .... 126,932.73
C ashier’ s ch eck s outstanding..
720.84
D ep ositors’ guarantee fund ....
121.18

T otal

...$ 246,767.01

Leigh State Bank

C harter N o. 1113
Colfax

G. F .

C tf. N o. 636

County

F.
L . V la ch ........... ..................... P resident
W m . A . V la ch .................„..V ice -P re s id e n t

E . M . N elson ............ ...... .......... .......Cashier
J. A . Glandt ................. ......A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S
L oans and d iscou n ts .............„ $
O v erd ra fts .................... - ............. .
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
O ther real estate .........................
B an kin g h ou se, furniture and
fixtures .................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ......- ............ - ............ - ....
Cash in bank ....................
U . S. bonds in cash reserve....
T otal
9


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

L IA B IL IT IE S
349,378.18
2,167.49
69,800.00
41,000.00
10 , 000.00

877.11
60,946.85
6,919.73
13,650.00

........ $ 554,739.36

Capital stock ............................... $ 20,000.00
Surplus fund ......
30,000.00
170.57
U ndivided p rofits (n et) ......
Individual d ep osits s u b je ct to
ch eck _.................
156,464.74
T im e certifica tes of d ep osit
.... 333,378.94
S avings d eposits ......
11,563.71
C ashier’ s ch eck s outstanding..
2,858.93
D ep ositors’ guarantee fund
....
302.47

T otal ................................... $ 554,739.36

BU REAU O F BANKING

226

Lemoyne State Bank

Lemoyne
C harter N o.

G. F .

1331

C tf. N o .

853

K eith C ounty
G.
D . A dam s ........ :..........-............P resid ent
N*. A*. A dam s ........................ V ice-P res id en t

.................. .Cashier
.... A s s ’ t. C ashier

G. C. A dam s
M . A . A dam s

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ............... $ . 94,330.49
O verd rafts .......................................
78.35
B onds, secu rities, ju d gm en ts
and claim s ................................
817.96
O ther real estate .........................
7,250.00
B an kin g h ou se, furniture and
5,000.00
fixtures .....................................
B an k ers’ con serv a tion fund ....
189.29
Due from national and state
banks .................
9,354.20
C hecks and item s of exch a n ge
36.35
Cash in bank ......—....:..........
1,256.54
U . S. bonds in cash reserve....
750.00

Capital stock .................... - ......... $
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck ..................................
T im e certifica te s1 of dep osit ....
S avings d ep osits .................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....

10,000.00
6,000.00
1,226.72
42,334.82
57,905.85
1,439.29
37.65
118.85

T otal ................................... $ 119,063.18

T otal ................................... $ 119,063.18

Leshara State Bank

Leshara

G. F.

C harter N o. 901
S aunders

Ctf. N o. 448

C ounty

II. P. H a essler ................................P resid en t
G eorge H ess ....................... V ice-P resid en t

H.

P. H aessler

..Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 160,518.82
O verd rafts .„...«.........
122.87
R evenu e stam ps ......- .................
9.50
O ther real estate .........................
4,300.00
B an king h ou se, furniture and
fixtures .....................................
4,450.00
B an kers’ con serv a tion fund ....
366.58
Due from national and state
banks ................... - ...................
29,198.54
C hecks and item s of exchange
166.87
Cash in bank .................... - .........
771.70

Capital stopk ................................$ 20,000.00
Surplus fund ................. -..........4,000.00
U ndivided p rofits (n et) ...... .v .
287.92
Individual d ep osits s u b je ct to
ch eck ................................
43,180.59
T im e certifica tes of dep osit .... 119,055.82
S avings d eposits ..........................
3,251.38
C ashier’ s ch eck s outstanding..
16.56
Bills payable ................................
10,000.00
D ep ositors’ guarantee fund ....
112.61

T otal


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

.$ 199,904.88

T otal

.$ 199,904.88

BU REAU O F BANK ING

227

Bank o Lewellen

L e w e lle n
C harter N o. 886

G. F . C tf. N o. 436

Garden County
S. P . D elatour ............................ ....President
B . C . D elatour .....................V ice-P resid en t
STATEM EN T C

B.

C.

D elatour ............................ .......Cashier

J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

l o a n s and d iscou n ts ............... $ 295,668.49
B o n d s, s ecu rities, ju d gm en ts
and claim s ................................
987.35
O ther real estate .........................
7,175.29
B an king h ou se, furnitu re and
fixtures .....................................
17,074.09
B an k ers’ con serv a tion fund ....
574.14
Due from national and state
•
banks ....................................
21,734.91
C hecks and item s of exch an ge
211.98
Cash in bank ................................
3,363.34
U , S. bonds in cash reserve.... 21,900.00
T otal ................................... $ 368,689,59

Capital s tock ................................$ 50,000.00
Surplus fund ................................
8,900.00
U ndivided p rofits (n et) ......_...
2,250.99
Individual d ep osits s u b je ct to
ch eck ........ ................................
158,278.67
Tim e certifica tes o f d ep osit ....
139,453.83;
S avings d ep osits ........................
8,864.12.
C ashier’ s ch ecks outstanding..
772.35
D ep ositors’ guarantee fund ....
169.63:

T otal ...:................................$ 368,689.59

Farmers State Bank

L e w e lle n
C harter N o. 1277
Garden

G. F . Ctf. N o. 799
County

M . P . Clary ................................... President
Chris M cC orm ick ............... V ice-P resid en t

G. L . S tout ......................................... Cashier
W . A . H ostetter ................... ..A ss’ t. Cashier
I.
E. T ilgn er .......... ........... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 227,064.96
O verd ra fts .......................................
357.08
B on d s, secu rities, ju d gm en ts
and claim s ..............................
1,259.05
O ther real estate
....................
8,400.00
B an king h ou se, furnitu re and
fixtures ......
5,000.00
B an kers’ con serv a tion fund ....
556.06
Due from national and state
banks ......
39,490.50
C hecks and item s o f exchange
1,765.39
Cash in bank .................
7,152.06

Capital stock .................... .......... $
15,000.00
Surplus fund ................,.
20,000.00
U ndivided p rofits (net) ..........
2,800.10
Individual d eposits su b ject to
ch eck ....................
84,218.92
Tim e certifica tes of d ep osit .... 146,728.64
S avings d eposits ..........
4,252.88
C ashier’ s ch eck s outstanding..
2,481.59
15,000.00
Bills payable .....
D ep ositors’ guarantee fund
....
144.51
D epreciation reserve ..................
418.46

Total


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

.$ 291,045.10

Total

.$ 291,045.10

BU REAU O F BANK ING

228

Bank of Lewiston

L e w is to n
C harter N o.

634

Pawnee
C.

G.

F.

C tf.

N o.

265

County

L . R oth ell .......... - ............ - ...... P resid ent

T.

R.

R ich a rd son

............................ Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ------------- $ 64,856.62
O v erd ra fts ................... —
401.00
B en d s, secu rities, ju d gm en ts
and claim s .... ...........................
200.00
B an k in g h ou se, furnitu re and
fixtures ......- ...............
1,700.00
B an k ers’ con serv a tion fund ....
234.12
D ue from national and state
banks ......
9,196.10
C hecks and item s of exch a n ge
54.89
Cash in bank ............ - .........
1,695.93
T ota l ................................... $

Capital s tock ............................... $
Surplus fund ......
U ndivided profits (n et) ..........
Individual d ep osits su b je ct to
ch eck .............- ....................... .
D em and certifica tes o f dep osit
D ep ositors’ gu aran tee fund
....

10,000.00
5,000.00
1,707.03

T ota l ................................... $

78,338.66

78,338.66

43,629.23
17,965.52
36.88

Dawson County State Bank

L e x in g t o n
Charter N o. 1338

G. F . C tf. N o. 860

Dawson County
J.
E. Jacobson ...........- .................P resid ent
T h os. P. C raw ford ..............V ice-P resid en t

J.

B.

W o o d ....— ............- ............... — Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts .............-.$ 573,975.61
O verd rafts .......................................
57.48
B on d s, s ecu rities, ju d gm en ts
and claim s ......
96,555.17
O ther real estate .........................
30,930.80
B an kin g hou se, furnitu re and
fixtures ......- ..... - ......................
25,000.00
B an k ers’ con serv a tion fund ....
1,773.87
Due from national and state
ban ks .............- ............- ...........
71,765.38
C hecks and item s of exch a n ge
297.54
Cash in b an k ..............
22,645.06
U . S. bon d s in cash reserv e—
18,500.00

Capital stock .......................... _...$ 50,000.00
Surplus fund .......................... —
10,000.00
1,825.69
U ndivided p rofits (net)_ ..........
Individual d ep osits s u b je ct to
ch eck .........................................
372,117.70
Tim e certifica tes of dep osit
.... 371,689.24
S avings d ep osits .........................
29,442.57
3.00
C ertified ch eck s ......- ....................
C ashier’ s ch eck s outstanding..
2,112.57
Due to national and state
banks ................ - .
3,749.74
D ep ositors’ gu aran tee fund
—
560.40

T otal


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

.$ 841,500.91

T ota l —

.$ 84L 500.91

BUREAU OF BANKING

Farmers State Bank

L e x in g t o n
C harter N o.

229

1337

G.

F.

Ctf.

No.

8S9

Dawson County
A . E . G rantham ------------------------P resid en t
I. W . O live ............................V ice-P resid en t

P eter Jensen
J. H . R oberts

----- ---- ....Cashier
...Ass’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 405,545.15
O v erd ra fts .........
210.70
B en d s, secu rities, ju d gm en ts
and claim s .............
5,351.17
O th er real estate _____________
6,975.00
B an king h ou se, furnitu re and
fixtures .................
19,500.00
B an k ers’ con serv a tion fund ....
1,204.47
Due from national and state
banks .........................................
69,507.77
C hecks and item s of exch a n ge
742.69
Cash in bank .............
9,801.11
U . S. bonds in cash reserve....
25,000.00

Capital stock ...............................$ 50,000.00
Surplus fund ....
10,000.00
U ndivided profits (n et) ..........
2,338.61
Individual d ep osits su b ject to
ch eck <....................
226,716.15
T im e certifica tes o f d ep osit _ 254,426.37
D ep ositors’ gu aran tee fund ....
356.93

T otal ...................................$ 543,838.06

T otal ---------------------------- .$ 543,838.06

Lexington State Bank

L e x in g t o n
Charter No. 238

G. F

Ctf> Nq> p6

Dawson County
R . F . S tu ckey ____
A . S. H ow ard ______

-------------- P resid en t
----- V ice-P resid en t

Sim B onsall .................
Cashier
W . C. Zim m erer ..._............ -...A ss’ t ’. Cashier

ST ATEM EN T OF JUNE 30, 1927
R ESO U R CE S

L IABILITIES

L oans and d iscou n ts ............... $ 491,253.00
O verd rafts .............
1,405.15

Capital stock ....... ..................... ...$ 100,000.00
Surplus fund ........... ...... .............
20,000.00
U ndivided profits (n et) ..........
5,434.21
Individual d ep osits s u b je ct to
273,804.84
ch eck ...............
D em and certifica tes o f dep osit
5,000.00
T im e certifica tes o f dep osit
317,969.33
S avings d ep osits .........................
14,715.17
C ashier’ s ch ecks outstanding..
4,133.90
Due to national and state
banks ------------37,303.46
D ep ositors’ gu arantee fund ...
483.71

Bonds,

securities, judgments

and claim s ....... ............. ........
98,610.78
O ther real estate ___
26,092.56
B an kin g house, furniture and
f ix t u r e s _____________
14,607.22
B an k ers’ con serv a tion fund ....
1,525.63
Due from national and state
banks __________
128,269.66
Checks and items ofexchange
3,765.65
Cash in bank _________________
13,314.97
Total


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

^

778,844.62

T otal

....$ 778,844.62

BU REAU OF BANKING

230

State Bank of Liberty

L ib e r ty

G. F .

Charter N o. 491

C tf. N o.

182-

Gage County
F H . H ow ey ................................. P resid en t
Joseph B arr ......................... V ice-P res id en t

.............. Cashier
.A ss’ t. Cashier

L. J. K n oll
J. A . B arr ..........

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
271,019.29
338.61
7,500.00.

L oans and d iscou n ts .............~$
O verd rafts .......................................
O ther real estate ....... :................
B an king h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ....................- .......:...........
Checks and item s of exchange
Cash in bank ....... ........................
U . S. bon d s in cash reserve....

12,500.00
859.42
40,344.93
2,578.43
7,195.24
1,500.00
343,835.92

T otal

T otal .................... - ............. $ 343,835.92

Citizens State Bank

L in c o ln
Charter N o.

Capital s tock ............................... ■$ 25,000.00
5,000.00
Surplus fund ................................
4,162.52
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
125,942.70
ch eck ........... .........................
3,442.92
Dem and certifica tes of d eposit
169,506.32
T im e certifica tes o f dep osit ....
8,676.92'
S avings d ep osits .........................
1,881.40
Cashier’ s checks Outstanding223.14
Depositors’ guarantee fund ....

G.

1016

F.

C tf.

N o.

549'

Lancaster County
E . M . B air .......................................P resid ent
G ’ A . K n ig h t
................ V ice-P res id en t

.......... — Cashier
.A ss’ t. Cashier-

H . G. M eyer
Cecil C. Gates

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... i
B on d s, secu rities, ju d gm en ts
and claim s ..............................
O ther assets ..................................
O ther real estate .........................
B an kin g h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ....................... ........
U . S. bon d s in cash reserve....
T otal


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

252,213.25
79,218.13
8,400.00
71,327.93
15,000.00
1,142.54
36,730.70
8,006.12
6,237.91
250.00

.$ 478,526.58

Capital stock ........... .........- ......... $
Surplus fund .................... - ..........
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ................................-.....—
Dem and certifica tes of d eposit
Tim e certifica tes o f dep osit ....
S avings d ep osits ........................
Certified ch eck s ......... -......... - ......
C ashier’ s ch eck s outstanding..
D ue to national and state
banks .................... - ..................
D ep ositors’ guarantee fund ....
Total

30,000.00
7.000.
5,856.85
290,313.67
4.000. 00
95,761.00
25,921.56
156.00
6,606.27
12,656.59254.64

.$ 478,526.58

00'

BU REAU OF BANKING

Continental State Bank

L in c o ln
C harter N o.

231

1045

G . F> Ctf# No> S7S

Lancaster County
W m . S eelenfreund ......................... President
F.
B. Sidles ...
V ice-P resid en t
R- C. Johnson .................—..V ice-P resid en t

E dward A .

B ecker ........... ................ Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$1,742,191.40
O verd ra fts .......................................
3,261.93
B on d s, s ecu rities, ju d gm en ts
and claim s ............................ 1,131,103.88
B an kin g hou se, furnitu re and
fixtures ..................................... . 6,180.38
B an k ers’ con serv a tion fund ....
6,796.67
Due from national and state
banks ......................................... 682,886.88
C hecks and item s of exchange
130,357.57
Cash in ban k .......
45,162.70

Capital stock ............................... $ 100,000.00
Surplus fund ................................
100,000.00
U ndivided p rofits (n et) ........
52,999.69
D ividends unpaid .........................
740.00
Individual d ep osits s u b je ct to
1,313,642.86
ch eck ..............
T im e certifica tes of dep osit .... 161,631.27
S avings d eposits ......... - .
728,799.32
1,227.57
Certified ch eck s ............................
C ashier’ s ch eck s outstanding..
26,736.63
Due to national and state
banks .............
1,259,980.94
D ep ositors’ guarantee fund ....
2,183.13

T otal ................................... $3,747,941.41

Nebraska State Bank

L in c o ln
C harter N o.

T otal ....... .........*.................$3,747,941.41

1130

G.

F.

C tf. N o. 652

Lancaster County
H.
K . B urket .... .........................P resid en t
C. D. Coe ................................V ice-P resid en t

F. E. B eaum ont ...................................Cashier
W . S. B attey ........................A s s ’ t. Cashier
E.
M . W ood w a rd .............A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$1,351,074.36
O verd ra fts ...................................
2,504.13
B on d s, s ecu rities, ju d gm en ts
and claim s .........
408,998.88
O th er assets ..................................
30,586.48
O th er real estate ........................
18,428.67
B an kin g h ou se, furnitu re and
fixtures .....................................
7,977.64
B an kers’ con serv a tion fund ....
5,450.31
Due from national and state
banks .........................................
303,893.34
C hecks and item s of exchange
129,483.65
Cash in bank ................................
31,385.86
U . S. bonds in cash reserve ....
11 , 100.00
O th er ca sh resou rces ..........
300,000.00

Capital stock ............................ ....$ 100,000.00
Surplus fund ................................
60,000.00
U ndivided profits (net) ..........
9,440.31
Individual d eposits s u b je ct to
ch eck ......................................... 1,203.174.30
T im e certifica tes of d eposit .... 275,895.75
S avings d ep osits .....
533,275.55
C ashier’ s ch ecks outstanding..
23,429.91
Due to national and state
banks .........
394,221.18
D e p ositors’ guarantee fund
....
1,446.32

Total


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

.....$2,600,883.32

Total

.... $2,600,883.32

BU REA U O F BANK ING

232

Normal State Bank

L in c o ln
C harter N o.

G.

1529

F.

C tf. N o .

105$

Lancaster County
F loy d S eyb olt -------H . M . W e s tc o tt --------

.............President
...V ice-P residen t

R . U n zick er ......- .................................. C ash ier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ------------- $
O verd ra fts --------------------------------B o n d s, secu rities, ju d gm en ts
and claim s
- ........................
B an kin g h ou se, furnitu re and
fixtures ....................................
B an k ers’ con serv a tion fund —
Due from national and state
banks ......
C hecks and item s o f exch a n ge
Cash in bank -----_ --------------U . S. bonds in ca sh reserv e—

56,629.87
9-24

T otal ________ ________ —.$

75,534.01

6 , 000.00
,825.00
137.52
5,904.79
107.05
1,420.54
1,500.00

Capital s tock .................— ......... $ 15,000.00
Surplus fund ......— .....- .........—
253.55
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ................ - ......... 30,075.58
D em and certifica tes of d ep osit
592.75
T im e certifica tes of dep osit ....
16,432.66
S avings d eposits .............- .........
Due to national and state
banks ................ - .........
8 , 002.11
D ep ositors’ gu arantee fund
....
36.51
T otal ................................... $

75,534.01

Farmers & Merchants Bank

L in d s a y
C harter N o. 617

G. F . C tf. N o. 251

Platte County
H . B . M iller __________ ____ - ......P resid en t
--------- V ice-P res id en t
D avid M cA u liffe

J.

C.

D ick ey

............................... ........Cashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 175,814.15
O verd rafts
— ,......
371.76
B on d s, secu rities, ju d gm en ts
and claim s ______________
11,155.59
21,485.00
O ther real estate — ........ - .....—
B an kin g hou se, furnitu re and
fixtures .................... - ............ —
6,123.00
B an k ers’ con serv a tion fund —
632.80
Due from national and state
banks ............. - .....- ............ - ....
57,569.71
C hecks and item s of exch a n g e
5.32
Cash in bank .............
5,930.75
U . S. bon d s in cash reserv e—
17,550.00

Capital s tock ............................... .$ 25,000.00'
Surplus fund .............- ............ —
500.00
U ndivided p rofits (n et) --------2,785.73
Individual d ep osits s u b je ct to
_
ch eck
----92,197.20
D em and certifica tes of d eposit
346.1/
T im e certifica tes of dep osit — 175,634.74
D ep ositors’ guarantee fund ....
174.21

T otal


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

.„..$ 296,638.08

T otal

.$ 296,638.08-

BU REAU O F BANK ING

233

Lindsay State Bank

L in d s a y
‘C harter N o . 243

G. F .

C tf. N o . 97

Platte County
F.

J . S voboda .. ..... :......................Presiden*

J. W . S voboda ------- ---------------------- Cashier
W . F . Svoboda ___________A s s ’ t. Cashier
A.
J. S voboda ___________A s s ’ t. Cashier

S T A T E M E N T O F TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 267,798.74
O verd ra fts _____
2,652.69
B on d s, s ecu rities, ju d gm en ts
and claim s ___
13,043.51
O ther assets ......
379.82
•Other real estate
_
51,727.16
B an king h ou se, furniture and
fixtures ________________
8,940.00
B an k ers’ con serv a tion fund __
796.54
Due from national and state
banks ........................
12,678.82
C hecks and item s of exch a n g e
1,705.99
4,587.91
‘C ash in bank _________________

Capital stock .............................. $ 35,000.00
Individual d ep osits s u b je ct to
ch eck ........
90,797.50
Dem and certifica tes o f dep osit
500.06
T im e certifica tes o f dep osit
.... 215,300.46
S avings d ep osits _____________
6,957.69
Due to national and state
banks _______
2 , 000.00
B ills payable ________
13,544.42
D ep ositors’ guarantee fund
....
211.05

T otal ___________________.$ 364,311.18

T otal ----------------------------- .$ 364,311.18

Farmers and Merchants Bank

L in w o o d
C harter N o.

244

G.

F.

C tf.

N o.

98

Butler County
Em il Folda _____________________ P resid en t
J ; M . M undil .......... ............ .V ice-P resid en t

F.

F.

M undil ______________________C ashier

S T A T E M E N T ' O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ........ .......$ 265,402.36
■Overdrafts --898.76
B on d s, s e cu rities, ju d gm en ts
and claim s .................... _.........
55,002.50
B an k in g h ou se, furniture and
fixtures ...............--- ------ -------2,750.00
B an kers’ con serv a tion fund _
791.28
Due from national and state
banks ...............................- ........
67,922.71
C hecks and item s of exchange
4.35
Cash in bank _________________
5,013.87
UJ. S. bonds in cash reserv e ....
7,700.00

10,000.00
Capital s tock _____ ____________$
Surplus fund ......- ____ ________
15,000.00
U ndivided p rofits (n et) ..........
2,474.47
In dividual d ep osits s u b je ct to
ch eck ......
100,543.70
T im e certifica tes of d ep osit _ 270,974.75
S avings d ep osits ................... —
3,289.42
C ashier’ s ch eck s outstanding..
1,588.30
D ep ositors’ guarantee fund _
215.19
D epreciation reserv e __________
1,400.00

T ota l


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

____ $ 405,485.83

T ota l

.$ 405,485.83

BU REAU O F BANK ING

234

Lisco State Bank

L is c o

G. F . Ctf. N o. 590

C harter N o. 1061
Garden County
Reuben Lisco ................................... President
G. W . Sam pson ................V ice-P resid en t

H . B . O lson .......................................... Cashier
A . R . L isco ............................ A s s ’ t. Cashier
R o y P erciv a l .................- ......... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts .............. $ 173,429.13
O verd rafts .....................•.................
1,883.37
B o n d s, secu rities, ju d gm en ts
and claim s ........................- ....
595.10
O ther assets ........................... -.......
978.09
O ther real estate ..............'..........
30,810.26
B an kin g hou se, furniture and
fixtures ..........................- .........
1 , 000.00
B an k ers’ con serv a tion fund ....
437.50
Due from national and state
banks .........................................
12,917.86
C hecks and item s of exchange
207.32
Cash in bank .—....
5,095.96
O ther cash resou rces .................
177.00

Capital stock .................... .......... $
Surplus fund ................... ..............
Individual d ep osits s u b je ct to
ch eck ............................. ............
D em and certifica tes of d ep osit
T im e certifica tes of dep osit ....
S avings d ep osits ......... ..............
Due to national and state
banks .............- .........—..............
B ills payable ................................
D ep ositors’ gu arantee fund ....

20 , 000.00

3.460.00
91,638.45
2 , 000.00

82,377.68
1,417.93
10, 000.00

16.500.00
137.53

T otal .............- .................... $ 227,531.59

T otal ..................................$ 227,531.59

State Bank of Litchfield

L itc h fie ld

G. F . C tf. N o. 766

Charter N o. 1244
Sherman County
W . F . Sanders ............... - .............. President
C. A . R y d b e rg ............... ....V ice-P resid en t

S.

H.

R ichm ond

..Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ................ $
O verd ra fts .......................................
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
O ther assets ..................................
O ther real estate .........................
B an kin g h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........................... - ...........
C hecks and item s of exchange
Cash in bank ......- ................- ......

94,516.17
76.90
8,947.82
5,203.94
24,200.00
8,450.00
274.97
6,256.10
2,282.15
2,888.19

T otal ......................... ......... $ 153,096.24


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

Capital stock ............. - .................$ 25,000.00
Surplus fund
...................... —6,000.00
Individual d eposits s u b je ct to
ch eck ................................................ 44,137.24
Dem and certifica tes of dep osit
4,906.04
T im e certifica tes of dep osit ....
44,959.82
S avings d eposits .............
6,085.57
C ashier’ s ch eck s o u tsta n d in g ..
33.65
R e -d iscou n ts ..................................
21,900.73
D ep ositors’ gu aran tee fund —
73.19

T otal ................................... $ 153,096.24

BUREAU OF BANKING

First State Bank

L o d g e p o le
C harter N o.

235

1194

Cheyenne

G.

F.

C tf.

N o.

716

County

J. W . R ogers ............................... President
E m m a L ee R ogers ............ V ice-P resid en t

A . C. Peterson
L . L . Spindler

........ .................. Cashier
..........A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S
Capital s to c k ............. ..................$ 20,000.00
10,000.00
Surplus fund ....................
U ndivided p rofits (n et) ......
2,256.88
Individual d ep osits s u b je ct to
ch eck ........
98,388.12
T im e certifica tes of d eposit .... 143,358.04
S avings d ep osits ....................
20,119.55
D ep ositors’ guarantee fund ....
194.73

T otal ................................. $ 294,317.32

T otal ................................. $ 294,317.32

.

R ESO U R CE S
L oans and d iscou n ts ...............$ 216,433.89
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................
2,400.00
O ther real estate
.........
20,319.72
B an king hou se, furniture and
fixtures ....... ................ 4,100.00
B an kers’ con serv a tion fund ....
686.02
Due from national and state
banks .................- .........
41,362.09
C hecks and item s of exchange
155.22
8,634.92
U ash in bank ......
Item in transit ......
225.46

Loma State Bank

Lom a
C harter N o.

1163

G. F . Ctf. N o. 685

Butler County
J os. T . V ota v a ............................ P resid ent
E rn est K riz ................ .......... V ice-P resid en t

F.

A . L oren c ....................................... Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$
O verd rafts ......... - ...........................
O th er assets ...................- .............
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .................................... *—
Checks and item s of exch a n ge
Cash in bank ....................- ..........
T otal


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

97,009.52
91.45
156.06
3,200.00
189.54

Capital stock .................... - ......... $
Surplus fund .......
Individual d eposits s u b je ct to
ch eck .................................... - ....
T im e certifica tes
of dep osit ....
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

10,000.00
1,200.00
30,417.82
85,446.03
3,441.47
74.55

25,963.01
744.60
3,225.69

.$ 130,579.87

T otal

.$ 130,579.87

236

BUREAU OF BANKING

Nebraska State Bank

L o n g P in e

G. F. Ctf. No. 1085

C harter N o. 1563
Brown County
J. M . F lannigan ......... ......... ........ P resid en t
J . C. Flannigan _________ __ V ice -P re s id e n t
.

M.

J.

Flannigan .._............ ............... Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

LIABILITIES

L oans and d iscou n ts ......... ......$ 197,251.98
O verd rafts ................... - ..... — .... 1,833.00
O ther assets -------669.06
7,500.00
O ther real estate ............. - ..... —
B an kin g h ou se, furnitu re and
fixtures .................... - ...............
10 , 000.00
B an k ers’ con serv a tion fund —
837.17
D ue from national and state
banks ......- ..... ............. ...... ......
76,052.41
C hecks and item s of exchange
2,186.78
Cash in bank ................................
7,569.22
U . S. bon d s in cash reserve....
50,824.25

Capital stock ................................$ 25,000.00
Individual d eposits s u b je ct to
ch eck ......
105,517.33
Dem and certifica tes of dep osit
6,949.28
T im e certifica tes o f d eposit .... 208,450.47
S avings d ep osits .............
8,620.62
D ep ositors’ guarantee fund ....
186.17

T otal ................................... $ 354,723.87

T otal .......... .........................$ 354,723.87

Farmers State Bank

L o o m is

G. F. Ctf. No. 208

C harter N o . 551
Phelps County
L . D . P eck ......... ........ ................ P resid en t
L e o L . P ick erin g ______ ___ V ice-P res id en t
STATEM EN T O

S. E . P eck ............ - .....- ............ ....... Cashier
J. H . F itzsim m on s _______A ^ s ’ t. Cashier
JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oa n s and d iscou n ts ....... ........$ 151,423.56
O v erd rafts .........--------.------ - .........
1,748.32
B on d s, secu rities, ju d gm en ts
and claim s ________________
4,200.00
O ther real estate ---7,750.00
B an kin g hou se, furnitu re and
fixtures ......
7,500.00
B an k ers’ con serv a tion fund ....
384.48
D ue from national and state
ban k s ______________________
10,816.47
C hecks and item s of exch a n ge
153.51
Cash in bank ____________
2,481.55

Capital s tock .................— ......... $ 15,000.00
5,000.00
Surplus fund ......
U ndivided p rofits (n et) .........
“ 66.89
Individual d ep osits su b ject to
ch eck .....................................
43,315.89
D em and certifica tes o f d ep osit
104,565.31
C ashier’ s ch eck s outstanding..
895.20
B ills payable ......
—
17,500.00
D ep ositors’ guarantee fund —
114.60

T otal ................................. $ 186,457.89

T otal ....... ......................... $ 186,457.89


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

BUREAU OF BANKING

23t

Loretto State Bank

L o retto
C harter N o. 1036

G. F . C tf. N o. 567

Boone County
J . O. D etw eiler ............................ President
E . J. M iille
........ ............V ice-P resid en t

H.

W.

A tk in so n

................................C ashier'

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S
L oa n s and d iscou n ts ............... $
O verd ra fts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ..........
O ther assets .............
O ther real estate ......
B an kin g h ou se, furniture and
fixtures ............._............ .........
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........................
C hecks and item s of exch a n ge
Cash in bank .............
U . S. bonds in ca sh
reserv e_

L IA B IL IT IE S
85,378.33
100.03
3,844.76
88.21

5,024.26
4,500.00
289.75
7,422.54
1,268.85
1,706.74
800.00

Capital stock ............. ..................$
Surplus fund ...........................
Individual d ep osits s u b je ct to
ch eck .........................................
T im e certifica tes of d ep osit ....
S avings d eposits .........................
C ashier’ s ch eck s outstanding..
Due to national and state
banks ......
B ills payable .... .........
D ep ositors’ guarantee fund

T otal ................................$ 110,423.47

Bank

L o rto n

10,000.00
7,500.00
41,816.43
34,113.72:
3,162.36
1,675.02
5,600.00
6,492.48
63.46

T otal ............................... $ 110,423.47

f Lorton

C harter No. 564

G. F . C tf. N o. 215

Otoe County
C . H . D am m e .................
F red M arkel ......

P resident
....V ice-P resid en t
STATEM ENT (

R ESO U R C E S
L oans and d iscou n ts ...............$
B on d s, secu rities, ju dgm en ts
and claim s ....................
O th er real estate ......
B an kin g h ou se, furnitu re and
fixtures ....................... - ............
B an k ers’ con serv a tion fund __
D u e from national and state
banks
...................C hecks and item s o f exchange
Cash in bank .................... .......
U . S. bonds in cash reserve....

Steffens .............................. ............Cashier

' JU N E 30, 1927
L IA B IL IT IE S

93,866.50
3,450.00
17,430.94
2,775.00
341.28
35,526.69
179.70
2,747.59
2 , 000.00

T otal ___________________ $ 158,337.70


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

C.

Capital stock ............................... $
Surplus fund ....................
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........
T im e certifica tes of d eposit _
D ep ositors’ guarantee fund _
R eserv e for taxes .......

20,000.00
1,500.00
1,815.42
64,639.99
70,110.40
95.34
156.55

T otal --------------- --- ---------- $ 158,317.70

238

BUREAU OF BANKING

Bank of Commerce

L o u is v ille
C harter N o. 1048

G . F . C tf. N o. 577

Cass C ounty
N ellie P. A g n ew ............................ President
R . H . H astain ........................V ice-P resid en t

R alph R .

..Cashier

Larsam

S T A T E M E N T O F J U N E 30, 1927/
R ESO U R CE S

L1A BILIT 1ES

Loans and d iscou n ts .............. $ 221,391.28
O verd rafts ..................
142.01
B on d s, secu rities, ju d gm en ts
and claim s ................................
46,042.06
O ther real estate .........................
10,154.00
B an kin g h ou se, furniture and
fixtures .................................
8 , 000.00
B an k ers’ con serv a tion fund ....
726.31
Due from national and state
banks .................... - ..................
60,866.81
C hecks and item s of exch a n ge
1,011.70
4,260.29
.Cash in bank ............. - .................

Capital stock ............. ...................$ 20,000.00
Surplus fund ..........................—
5,000.00
Individual d e p o s its s u b je ct to
ch eck ....................... -—
.......
86,536.ID
Dem and certifica tes of d e p o sit
1,301.16
T im e certifica tes of d e p o sit — 239,559.43
D e p ositors’’ guarantiee: fu n d —
197.67

T otal ..................................$ 352,594.46

T otal .................... ............... $ 352,594.46

Home State Bank

L o u is v ille
C harter N o. 1283
Cass
C

G - F - C tf- N o ‘ 805

C ounty

J. Pankonin ................................P resid en t

.Cashier

H . B . K oop —

W. H. Heil .... ....-.............V ic e -P re s id e n t
S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
Loans and discounts ............. $ 155, 820.78
318.25
Overdrafts
B on d s, s ecu rities, ju d gm en ts
5,364.33
and claim s ........................... --B an kin g hou se, furnitu re and
240.60
fixtures ....... ..................... - .......
521.40
B an k ers’ con serv a tion fund -..
Due from national and state
,346.50
banks ............................ - ..........
664.24
C hecks and item s of exchange
Cash in bank ................................
3 ,852.11
700.00
U . S. bon d s in ca sh reserve....

Total


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

...$ 196,828.21

Capital stock .—...........................$
Surplus fund ...............
U ndivided p rofits (n et) ...........
Individual d ep osits s u b je ct to
check ........................-..................
T im e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
D ep ositors’ gu aran tee fund ....

Total

20,000.00
1,500.00
181.56
59,086.28
115,643.96
300.00
116.41

....... $ 196,828.21

BUREAU OF BANKING

Loup City

239

American State Bank

C harter N o. 1503

G. F . C tf. N o. 1025

Sherman County
W m . Lew andow ski .......................P resid en t
C hrist Zw in k .......................... V ice-P resid en t

D. A . B each ....................................... Cashier
G e o r g e . A rm stro n g ..............A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
LIABILITIES

R ESO U R CE S
L oans and d iscou n ts ................$ 109,505.60
O v erd ra fts .......................................
30.56
O ther assets ...........
2,041.42
O ther real estate .......................
27,697.95
B an kin g house, furnitu re and
fixtures .....................................
12, 000.00
B an kers’ con serv a tion
fund ....
320.50
Due from national and state
banks ......- .........- ......................
10,376.32
C hecks and item s of exchange
1,651.07
Cash in bank ..............................
6,223.79
169,847.21

T otal

Loup City

Loup Cit

Capital stock ................................$
Surplus fund ..................................
Individual deposits s u b ject to
ch eck .................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit
....
S avings d eposits .........................
Due to national and state
banks ...... .'........................ ,.......
Bills payable ......
D ep ositors’ guarantee fund
....

25,000.00
2,000.00
40,862.71
2,687.68
87,064.87
2,128.83
5,000.00
5,000.00
103.12

.$ 169,847.21

T otal

State Bank
G. F .

C harter N o. 816

C tf. N o. 383

Sherman County
John W . L o n g ................................President
W . E . H enry..Chairm an & V ice-P resid en t
STATEM ENT O

M ason L. Phillips ............................... Cashier
JU N E 30, 1927

R ESO U R CE S

LIABILITIES

L oans and discou n ts ............... $ 366,076.91
B on d s, secu rities, ju d gm en ts
and claim s ...... ...........■-........ —
77.60
O ther real estate .........................
21,450.55
B an kin g house, furniture and
fixtures .....................................
15,700.00
B an k ers’ con serv a tion fund ....
947.25
Due from national and state
banks ........................... - ...........
59,630.41
C hecks and item s of exch a n ge
1,172.90
Cash in bank ........................- ......
3,487.38

Capital s tock ............ ............. _...$ 50,000.00
Surplus fund ....................
10,000.00
U ndivided p rofits (n et) ..........
1,663.27
Individual d ep osits su b ject to
ch eck ............. ...... - ........... - ....
107,418.35
Dem and certifica tes of dep osit
152.23
T im e certifica tes o f d eposit .... 237,046.58
S avings d eposits .................
3,058.50
C ashier’ s ch eck s outstanding..
3,088.38
Due to national and state
banks .........................................
35,827.97
B ills payable ......
20,000.00
D ep ositors’ gu arantee fund ....
287.72

T otal ......... ........ .................$ 468,543.00

T otal .................................. $ 468,543.00


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

240

BUREAU OF BANKING

L o w e ll.

Lowell State Bank

C harter N o. 1470

G.

F.

C tf. N o. 992

Kearney County
Glen T . Gibson ............. ...... .......President
L e ro y Sides ---------- ------------.V ice-P resid en t

R obert W ood w a rd

..Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ________ $
O verd rafts ....................
O ther real estate ............
B an king h ou se, furniture and
fixtures ....................
B an k ers’ con serv a tion fund __
Due from national and state
banks ____
Cash in bank ____ ___________ ...
U . S. bonds in cash reserv e___

58,039.56
98.57
380.00

T ota l ................................... $

67,531.56

L u s h to n

1,081.23
159.58
7,230.10
442.52
100.00

B ank

Capital stock ......... ............. .......$
Surplus fund ...............................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ......... ............. ...... .........
Dem and certifica tes of d eposit
Tim e certifica tes of d ep osit ....
D ep ositors’ guarantee fund _

T ota l ------------

..$

10, 000.00

1 , 000.00
1,422.05
25,620.30
3,100.00
26,345.01
44.20

67,531.56

L u sh to n

C harter N o. 662

G. F . Ctf. N o. 284

York County
C. A . M cC loud ..................
President
R . R . C opsey ......
V ice-P res id en t
STATEM ENT (

C ashier
H . O. M eserv e .............
L . C. M ou l -----------------------— A s s ’ t. C ashier
J U N E 30, 1927

LIABILITIES

RESOURCES
Loans and discounts ________ $
B an king h ou se, furnitu re and
fixtures ................... - ...............
B an k ers’ con serv a tion fund ....
Due from national and state
banks ___ ___________________
C ash in ban k _________ _________

Total ..


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

98,668.78
3,330.00
245.81
12,216.3 6
1,779.27

.$ 116,240.22

Capital stock ______ _______ ___ $
Surplus fund ......
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck _________
T im e certifica tes o f d ep osit _
D ep ositors’ gu arantee fund ....
R eserv ed for taxes ...........
D epreciation reserve ....
T otal

10,000.00
6,000.00
23.25
25,372.06
73,297.86
67.05
1,000.00
480.00

....$ 116,240.22

BUREAU OF BANKING

241

Lyman State Bank

Lym an.
Charter N o . 1559

G. F . C tf. N o . 1081

Scotts Bluff County

■G. M. Lyman ........ .......... ....... „President
J• R- Haber .............. ...... Vice-President

W. H. Lyman

.Cashier

STATEMENT O F TUNE 30, 1927
RESOURCES

LIABILITIES

L oans and d iscou n ts
............ 171,602.99
Capital s tock ------------------ --------$
1,402.50
•O verd rafts .......................................
Surphrs fund ---------B on d s, s ecu rities, ju d gm en ts
U ndivided p rofits (n et) ..........
and claim s ............ ...... ...... ...........
3,926.84
Individual d ep osits s u b je ct to
4,680.78
' O ther real estate ............ ...........
ch eck -----------------B an kin g hou se, furniture and
Dem and certifica tes of d ep osit
fixtures .............
4 , 201.53
T im e certifica tes o f dep osit ....
B an kers’ con serv a tion fund ....
164.25
Certified checks _____________
Due from national and state
Cashier’s checks outstanding..
banks .....-----------11,027.46
B ills payable ----------------------------C hecks and item s o f exch a n ge
886.92
D ep ositors’ gu aran tee fund ....
• Cash in bank _______
5,696.66
T ota l ------------------------ -----$ 203,589.93

15,000.00

300.00
39.93

113,171.99
5,500.00
27,636.93

6.00

6,850.65
35,000.00
84.43

T otal ------------------------------$ 203,589.93

Bank of Lynch

L ynch
C harter N o. 539

G. F . C tf. N o . 203

Boyd County

R.
L.

H. Harris .................. ........ President
A. Harris ----------------- Vice-President

Mabel Hoyer .

---------------------Cashier

STATEMENT O F JUNE 30, 1927
RESOURCES

LIABILITIES

L oans and d iscou n ts ___ _____ $ 131,758.27
* O verdrafts ___ ___ ____________ __
170.26
B on d s, s e cu rities, ju d gm en ts
and claim s ________
1,933.17
O ther a ssets, w arran ts .........
12,104.91
* O ther real estate _____________
17,348.02
B an kin g h ou se, furnitu re and
fixtures ......
9,000.00
B an kers’ con serv a tion fund ....
447.72
D ue from national and state
banks ......................
58,717.34
C hecks and item s o f exch a n ge
161.62
* Cash in bank ___
9,640.76
U. S. bonds in cash reserv e_
1,300.00
T otal


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

.$ 242,582.07

Capital s tock ---------------------------$ 25,000.00
Surplus fund ------------------5,000.00
U ndivided p rofits (n e t) ...........
144.25
Individual deposits s u b ject to
ch eck .........................................
80,015.60
Dem and certifica tes o f deposit
1,000.00
T im e certifica tes o f deposit .... 131,266.79
D ep ositors’ gu aran tee fund ....
155.43

T otal

.$ 242,582.07

BU REAU O F BANKING

242

Farmers State Bank

L yn ch

G. F . C tf. N o. 1112

C harter N o. 1589
Boyd County
G.
R.

B . Ira .............. .......
E. K riz ..................

........... P resid en t
.V ice-P resid en t

Dan M elsha .............................................Cashier
Earl P. R o cisk y ......- ......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts .....:......... $ 176,237.95
O verd ra fts .......................................
591.50
B an k in g hou se, furnitu re and
fixtures ...:.—.....- ......................
7 , 000.00
B an kers’ con serv a tion fund ....
1,064.14
Due from national and state
banks ......................,..................
38,257.58
C hecks and item s of exch a n ge
1,138.44
Cash in bank ................................
3,388.98
U . S. bonds in cash reserve....
1,850.00
T otal ...................................$ 229,528.59

Capital stock ....... ................... ....$
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ............................... - .....
Dem and certifica tes of dep osit
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

25,000.00
3,770.52
70,682.24
2,000.00
127,932.13
143.70

.$ 229,528.59

T otal

Farmers Bank

Lyons

G. F . Ctf. N o. 249

C harter N o. 615
Burt County
W . S. N ew m yer .................... - ....... P resid ent

Paul Calnon ............................... - ....... Cashier
J. G. N ew m yer
............... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts ...... ........... -...................
B o n d s, secu rities, ju d gm en ts
and claim s ......- ........................
O ther real estate ........................
B an kin g h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ................................
U . S. bon d s in cash reserve....

475,994.33
1,050.53
982.25
19,714.00
14,000.00
1,622.13
148,553.40
6.71
9,966.83
6,350.00

T otal ........................... - ....$ 678,240.18


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

Capital stock .......................» ----- $
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
check ................... - ......... :-----T im e certifica tes o f dep osit ....
S avings d ep osit — ........ - .............
C ertified ch ecks .............................
Cashier’ s checks OutstandingDepositors’ guarantee fund ....

30.000.

00

10. 000.

00

3,489.45
337,765.29
286,794.82
9,763.29
6.00
47.50
373.83

T ota l ............................. ....$ 678,240.18

BU REAU O F BANKING

243

Farmers and Merchants State Bank

M cC ook
■Charter N o. 15S6

G. F . C tf. N o. 1078

Red Willow County
F rank Real ..........,............................. P resident
J. J. E ndres .........................V ice-P resid en t
J. H egen berger ..................... V ice-P resid en t

Dale S. B oyles ......... ........................Cashier
F . E. Dillm an ..._.................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 467,320.75
B on d s, secu rities, ju d gm en ts
and claim s ..............................
78,941.60
1,433.40
O th er assets ..................................
W arra n ts, city and sch ool .....
1,433.40
B an king hou se, furnitu re and
fixtures .....................................
30,000.00
B an k ers’ con serv a tion fund ....
1,798.27
Due from national and state
banks .................................. - ....
78,080.28
C h eck s and item s of exch a n g e
6,263.26
23,073.83
Cash in bank ........................... -...

Capital stock ...............................$ 60,000.00
Surplus fund ................................
2,600.00
3,476.04
U ndivided p rofits (net) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
236,392.27
Tim e certifica tes of dep osit .... 276,073.60
Savings d eposits ................ - ......
44,557.65
Certified ch eck s .............
646.30
C ashier’ s ch ecks outstanding..
1,663.75
Due to national and state
banks .........................................
69,639.49
D ep ositors’ guarantee fund ....
446.69

T ota l ................................... $ 695,495.79

M c C o o l J u n ction

.$ 695,495.79

T otal

Farmers and Merchants Bank

C harter N o. 784

G.

F . C tf. N o.

358

York County
N ina L . S eng ................................. President
T . C. W ilc o x ......................... V ice-P res id en t

W . L . S eng ....................................... ..C ashier
E rnest E. R obin son .................B ookkeep er

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts ............. — ............
B on d s, s ecu rities, ju d gm en ts
and claim s ........................... .
B an kin g hou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .................... - ..... - ...........
Checks and item s of exchange
Cash in bank ................................
T otal


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

126,446.96
171.22
8 , 000.00
5 , 000.00
333.50
19,565.31
269.16
2,544.34

.$ 162,330.49

Capital stock ............................... $
Surplus fund .................... - ..... - ....
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........................... .............
D em and c e r tific a te s -o f dep osit
T im e certifica tes of d eposit ....
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund —

T otal

15,000.00
3,000.00
576.69
27,659.32
10.00
115,959.09
14.15
111.24

.$ 162,330.49

244

BU REAU O F BANK ING

The Blue River Bank

M c C o o l J u n ction
C harter N o. 277

G. F . C tf. N o. 109

York County
C.
T.

A . M cC loud ......... ................. —P resid ent
W . Sm ith ............. ........... V ice-P resid en t

R . F. L ord ___ _______

________ __ Cashier

S T A T E M E N T O F TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verd ra fts ......... _................- ....... B on d s, secu rities, ju d gm en ts
and claim s .......
—
O ther real estate .........................
B an kin g hou se, furnitu re and
fixtures ....... ..... ............. .......
B an kers’ con serv a tion fund ....
Due from national and state
ban ks ................... ..........- ........
C hecks and item s of exchange
Cash in bank ............................... —
U . S. bonds in cash reserve....

171,003.52
719.08
32,000.00
2,935.50
3,000.00
597.27
15,219.62
1,787.65
4,049.60
7,300.00

T otal .................... - ............. $ 238,612.24

Capital s tock ____ _____________ $
15,000.00
13,573.25
Surplus fund ......
U ndivided profits (n et) .....
195.84
Individual d eposits s u b je ct to
ch eck .................
40,900.49
T im e certifica tes o f dep osit .... 164,291.14
C ashier’ s ch eck s outstanding..
2,542.00
R eserv e for taxes ......
500.00
D ep ositors’ guarantee fund
149.52
R eserv e for depreciation ......
1,460.00

T otal .................... .............. $ 238,612.24

Farmers State Bank

M cG rew
C harter N o. 1578

G. F . Ctf. N o. 1100

Scotts Bluff County
C. H . B urk ............. ......................... P resid ent
O . E . A d co ck .......................V ice-P resid en t

J. O. H ay ...................................— ......Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ......— ....$
O verd ra fts .................— .......-........
B an kin g h ou se, furnitu re and
fixtures ......- ............ - ...............
B an kers’ con serv a tion fund ....
Due from national and state
banks .............- .....- .........— ....
C hecks and item s of exchange
Cash in bank — ........ - ....... -.......
U . S. bonds in cash reserve....
T ota l ____


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

90,845.56
.81
3,152.15
50.32
8,145.04
84.19
3,587.54
100.00

.$ 105,965.61

Capital s tock ....... .......................$
Surplus fund ............. _.........
U ndivided p rofits (n et) -------In dividual d ep osits s u b je ct to
ch eck .............
T im e certifica tes o f dep osit ....
S avings d ep osits ................... —
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund _
T otal ___

15,000.00
1,500.00
1,201.15
54,970.88
32,343.81
581.94
321.36
46.47

.$ 105,965.61

BU REAU OF BANKING

2 4 5

McLean State Bank

M cLean
C harter N o. 599

G. F . C tf. N o. 1107

Pierce County
P aul

W u p p er ......................... ......... P resid ent

J. N orw ood ...........................................Cashiier
F.
C. W ea v er ...................... A s s ’ t. Cashier

S T A T E M E N T O F TUNE 30. 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts
..............132,865.78
O verd ra fts ......_............ _................
221.32
O ther real estate ......_........._......
4,767.25
B an kin g hou se, furnitu re and
fixtures ................... „...............
3,043.90
B an k ers’ con serv a tion fund ....
479.44
Due from national and state
banks .............
40,740.56
C hecks and item s of exchange
668.68
Cash in bank ....... ............ „.........
3,696.72

Capital stock ....................„..... _...$ 15,000.00
Surplus fund ................................
5,000.00
344.55
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .............
59,674.83
Tim e certifica tes of d eposit ....
106,364.96
D ep ositors’ guarantee fund _
99.31

T ota l ................... - ............. $ 186,483.65

T otal .................................. .$ 186,483.65

Macon State Bank

M acon
Charter N o. 820

G. F . C tf. N o. 387

Franklin County
C. A .
B utler ............................... „...President
W . A . B utler ________
„...V ice-P resid en t
STATEM ENT C

W.

C. O sterlund ............................. ...Cashier

J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts .......................48,627.94
O verd ra fts __
8.35
B an kin g hou se, furnitu re and
fixtures ____
1,650.00
B an k ers’ con serv a tion fund ....
156.74
Due from national and state
banks .........
5,750.00
C hecks and item s of exch a n ge
22.34
Cash in bank _______
760.27
T otal


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

.$

56,975.64

Capital s tock ---------------------------- $
Surpkis fund ........
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
_ ch eck .............
Dem and certifica tes o f d ep osit
T im e certifica tes of d eposit ....
Due to national and state
ban ks — ___
D ep ositors’ guarantee fund ....
T otal

.$

5 , 000.00
1 , 000.00

210.15
29,858.54
60.00
13,724.94
7,086.89
35.12
56,975.64

246

B U R E A U

O F

B A N K IN G
#

Home Savings Bank

M a d is o n

G. F . C tf. N o. 463

C harter N o. 919
Madison County
E d. F rick e ....... ................... - ......... President
J. L . Grant ................. ......... V ice-P resid en t

F.

A.

P eterson

................... ............ Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

L oa n s and d iscou n ts ...............$ 41,350.00
B on d s, secu rities, ju d gm en ts
and claim s ..................
173,850.00
O th er real estate .........................
14,225.00
B an k ers’ con serv ation fund ....
523.44
Due from national and state
34,520.29
banks .............- ..... -

Capital s tock ............................... .$ 12,000.00
Surplus fund ................................
7,000.00
1,258.51
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .......... .................- ...........
242,229.27
1,830.82
Tim e certifica tes of dep osit _
D e p ositors’ guarantee fund _
150.13

T otal ................................... $ 264,468.73

T otal ...................................$ 264,468.73

.

R ESO U R C E S

State Bank of Madison

M a d is o n

G. F . C tf. N o. 987

C harter N o. 1465
Madison County
D . K . R obertson
C. S. Snyder -------

...................President
........ V ice -P re s id e n t

W . E. T a y lo r ............... .....................C ashier
C. E . M arquardt ____ _____A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ......- .....~$ 287,204.68
646.
O verd rafts ....— — —..........B on d s, secu rities, ju d gm en ts
38,061.25
and claim s .............................
7, 120.00
O ther real estate ............B an kin g h ou se, furnitu re and
15,500.00
fixtures .................... - ...............
522.26
B an k ers’ con serv a tion fund ....
Due from national and state
98,851.79
3,669.66
C hecks and item s of exchange
7,167.24
Cash in bank ......- ........................

Capital s tock — ........ ............. _...$ 30,000.
Surplus fund ......- ...................—....
6,000.
U ndivided p rofits (n et) ..........
2,965.
Individual d ep osits s u b je ct to
ch eck ............................
146,516.42
Dem and certifica tes of dep osit
6,982.09
T im e certifica tes of dep osit
.... 266,060.69
D ep ositors’ gu arantee fund
....
218.84

T otal


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

.$ 458,743.04

888

R ESO U R C E S

T ota l -------

.$ 458,743.04

B U R E A U

O F

247

B A N K IN G

Madrid Exchange Bank

M a d r id
C harter N o. 1077

G. F . C tf. N o. 60S

Perkins County
F.
M . B ourquin .. ..................... ..................... ....P resident
A . L. B ourquin ....... Cashier
G race M . K ellam s .................V ice-P resid en t
C yril V an cura .........................A s s ’ t. Cashier
E sther B renneke ............ ....A ss’ t. Cashier
S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ___ _____ $ 240,366.00
O verd rafts .......................................
290.28
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
6,686.64
O ther real estate .................
6,529.32
B an kin g h ou se, furnitu re and
fixtures .................
12,500.00
B an kers’ con serv a tion fund __
617.28
Due from national and state
banks .............
24,601.62
C hecks and item s of exchange
9,716.04
3,785.70
Cash in bank .........

Capital stock ........................... _...$ 25,000.00
5,000.00
Surplus fund .............
U ndivided profits (n et) ..........
286.54
Individual d ep osits s u b je ct to
ch eck .............
89,110.36
D em and certifica tes of dep osit
2 , 000.00
T im e certifica tes of d ep osit ....
133,879.58
C ashier’ s ch ecks outstanding..
1,804.20
9,849.84
R e-d iscou n ts .............
Bills payable ......
38,000.00
D ep ositors’ guarantee fund ....
162.36

T otal ....... .,.......... .............. $ 305,092.88

305,092.88

Total

Magnet State Bank

M agnet
C harter N o. 648

G. F .

C tf. N o. 274

Cedar County
Operated by Guarantee Fund Commission
S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts ..............—......... - ..........
B on d s, secu rities, ju d gm en ts
and claim s ..............................
O ther assets ............. - .................
O ther real estate ......
B an k in g hou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ..................................
Cash in bank ...........................
T otal


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

68,440.80
18.11
3,580.57
9,495.14
13,747.55
3,601.85
344.52

Capital s tock ....... ............ ...... _...$
Surplus fund ......
In dividual d ep osits s u b je ct to
ch eck ...........................................
D em and certifica tes o f dep osit
Tim e certifica tes of dep osit ....
D e p ositors’ guarantee fund ....
C ashier’ s ch eck s o u tsta n d in g
O ther liabilities ......

15,000.00
4,007.00
21,621.33
3,882.00
58,409.55
82.05
175.00
320.57

3,068.95
1,200.01

.$ 103,497.50

T otal

____ $ 103,497.50

248

B U R E A U

O F

B A N K IN G

Malcolm State Bank

M a lc o lm

G. F . Ctf. N o. 479

C harter N o. 938

Lancaster County
Operated by Guarantee Fund Commission
S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oa n s and d iscou n ts — .......—$
O verd ra fts ------ ---- ---------------------O ther assets --------------------------O th er real estate — ..--------------B an kin g h ou se, furnitu re and
fixtures ......... —---------- --------B an k ers’ con serv a tion fund —
D ue from national and state
banks ----- ----------------------------Cash in bank ------ ---- --------------O ther cash resou rces ---------------

81,768.13
26.07
4,707.19
73,022.72
10, 000.00

498.54

Capital s tock _______ ___ ______ 4
Individual d ep osits su b je ct to
ch eck ------------------ ---- - ..... .....
Dem and certifica tes o f dep osit
T im e certifica tes o f dep osit ....
S avings d ep osits .........................
C ertified ch eck s ......— ........ - .... D ep ositors’ gu arantee fund _

20 , 000.00
51,989.92
1.228.27
121,707.01
9.988.27

6.00
137.12

32,912.28
2,116.66
5.00

T ota l ___________________ $ 205,056.59

T ota l ___________________ $ 205,056.59

Farmers & Merchants Bank

M a lm o

G. F . Ctf. No. 100

C harter N o . 258

Saunders County
C. W . B ru ce ___________________ P resid en t
J ohn V an D riel _________ .V ice-P resid en t

G u stave H ou fek ----- ------------------ ....Cashier
H . M . R oslun d ....... ........._...Ass’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ______ __ $ 301,672.96
O v erd ra fts -------------890.67
B o n d s, s ecu rities, ju d gm en ts
360.00
and claim s ---O ther real estate — ..--------------11,808.81
B an k in g h ou se, furnitu re and
fixtures ......- ---- ..--------4,675.00
B an k ers’ con serv a tion fund ....
782.50
D ue from national and state
banks ________
45,956.77
C hecks and item s o f exch a n g e
36.46
Cash in bank _____________ ____
2,227.89
T o ta l ..


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

........ $ 368,411.06

Capital s tock _________________ $
Surplus fund ---------- ---- ---------U ndivided p rofits (n e t) ..........
Individual d ep osits su b je ct to
D em and certifica tes o f d eposit
T im e certifica tes o f dep osit _
S avin gs d ep osits ____________...
Cashier’ s ch eck s outstanding..
B ills payable _________________
D ep ositors’ gu aran tee fund _
T otal

25,000.00
5.000.
1,750.94
65,833.39

2 . 000.

00

245,348.61
16,531.52
1,724.55
5,000.00
222.05

.$ 368,411.06

00

BUREAU OF BANKING

249

Malmo State Bank

M a lm o
C harter N o. 1369

G. F . C tf. N o . 891

Saunders County
T.
E.

W.

A.

D aily

................... ................P resident

H . E . L indgren ------------------------------ C ashier

Barry _____________V ice-P resid en t
S T A T E M E N T O F JU N E 30, 1927
LIABILITIES

RESOURCES
L oans and d iscou n ts ................$
O verd rafts ......- --- ----------------- —~~
B on d s, secu rities, ju d gm en ts
and claim s ________________
O ther assets ....... .........- ---- -------O ther real estate ---- -----B an king h ou se, furnitu re and
fixtures ____ ___ .................. —.
B an kers’ con serv a tion fund _
Due from national and state
banks ...............
C hecks and item s o f exchange
Cash in bank ________

88,222.08
541.16

T otal ....... ...........................4

120,087.79

2,808.24
316.07
7,582.76

Capital stock ..................... ..... ....$
Surplus fund -----Individual d ep osits s u b je ct to
ch eck ..............................— ....
Dem and certifica tes of dep osit
T im e certifica tes of dep osit _
D ep ositors’ guarantee fund _

15,000.00
200.00
25,824.89
1,000.00
77,991.50
71.40

7,500.00
215.12
11,432.46
605.57
864.33
T ota l ____________ __ _ ___ $ 120,087.79

Manley State Bank

M a n le y
C harter N o. 906

G. F . C tf. N o. 453

Cass County
F.
H . Stander _______ ________ P resid en t
A u g . C. P a u tsch _________.V ice-P resid en t

Wm.

J.

Rau

............. - --- ---------------- C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ____ ____.$ 107,032.01
O v erd ra fts ..........
54.48
B on d s, secu rities, ju d gm en ts
and claim s _________________
16,000.00
B an king h ou se, furniture and
fixtures ..........
3,000.00
B an k ers’ con serv a tion fund _
381.87
Due from national and state
banks ............. - ..... - ........... - ....
15,354.35
C hecks and item s o f exch a n ge
126.92
Cash in bank ........................
1,814.60
U . S. bonds in cash reserv e_
1,000.00
T otal


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

.$ 144,764.23

Capital stock _________ _______ $
Surplus fund ___
U ndivided p rofits (n et) -------Individual d ep osits s u b je ct to
ch eck ......
T im e certifica tes of dep osit
....
C ashier’ s ch eck s outstanding..
Due to national and state
banks ___ __________ ____ - ....
D ep ositors’ guarantee fund
—

T otal

10,000.00
5,000.00
657.25
58,294.57
69,128.20
401.50
1,185.63
97.08

.$ 144,764.23

250

BU REAU O F BANKING

Marion State Bank

M a r io n
C harter N o. 959

G.

F.

Ctf. N o. 500

Red W illow C ounty
S. H . S tilgeb ou er .......................... P resident
H.
J. S outhw ick .............. V ice-P resid en t

R . E. S tilgeb ou er ..............................Cashier
E rnest J. V o ss ........ I......._...Ass’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oa n s and d iscou n ts ............... $
O verd rafts .................... - .....- ..........
O ther assets ..................................
O th er real estate
...................
B an king h ou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks .............- .................... .....
C hecks and item s of exch a n ge
C ash in bank ......

88,927.95
61.40
1,049.54
3,000.00
3,000.00
327.78
3,657.44
150.00
2,118.32

T ota l ..................................$ 102,292.43

10,000.00
5,000.00
20,875.25
54,050.00
99.90
2,206.71
10,000.00
60.57

T ota l ................ - ...............$ 102,292.43

Farmers State Bank

M a r q u e tte
Charter N o.

Capital stock ......... ..................... $
Surplus fund ......
Individual d ep osits s u b je ct to
ch eck .............................
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
Due to national and state
banks .........................................
B ills payable ..................
D ep ositors’ gu aran tee fund _

1195

H am ilton

G.

F.

C tf.

N o.

717

C ou n ty

M . E. Isa a cson .............................. P resid ent
J. D . F erg u son ......... ...........V ice-P res id en t

C. N . Turner ........................ A s s ’ t.

Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ...............$
B o n d s, s ecu rities, ju d gm en ts
and claim s .....
B an kin g h ou se, furnitu re and
fixtures ............................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ....................
C hecks and item s of exchange
Cash in bank .........

85,287.44
46,336.93
6,068.18
361.94
19,442.69
39.45
2,084.12

T otal ................................. $ 159,620.75


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

Capital stock ............... ................$ 15,000.00
Surplus fund ___
3,000.00
U ndivided profits (n et) ..........
1,204.88
Individual d ep osits s u b je ct to
ch eck .........................................
24,073.88
D em and certifica tes o f dep osit
7,671.81
T im e certifica tes of dep osit
.... 104,399.85
S avings d eposits .................
3,469.41
C ashier’ s ch eck s outstanding..
529.29
R eserved for taxes .....................
42.16
P rofit on bonds ............................
128.75
D ep ositors’ guarantee fund
....
100.72
T otal ................................ $ 159,620.75

BU REAU O F BANKING

Marsland State Bank

M a r s la n d
C harter N o.

251

1042

G.

F.

C tf. N o.

572

Dawes County
H . G. Furm an ............................... P resident
W in ifred Furm an ............. V ice-P resid en t

B u rt

....... ....................... ........C ashier

Furm an

S T A T E M E N T OF JU N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ................$
O verdrafts ...........................
B on d s, secu rities, ju d gm en ts
and claim s ................................
O ther real estate .........................
B an king h ou se, furniture and
fixtures .................................. :..
B an k ers’ con serv a tion fund ....
Due from national and state
banks ......- .................................
C hecks and item s of exchange
Cash in bank ....... ............ _.........
U . S. bonds in cash reserv e—

59,471.49
104.45

T otal ................................... $

92,$72.75

4,663.06
20,890.02
4,330.00
189.79

Capital stock ......... ...... ...... ....... $
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .........................................
Time’ certifica tes of d eposit ....
C ashier’ s ch ecks outstanding..
R e-d iscou n ts .................................
D ep ositors’ guarantee fund ....

32,156.38
30,474.42
4,295.83
4,395.00
45.35

T otal ................................... $

92,572.75

1 0 ,0 0 0 .0 0
11 , 000.00

205.77

1,462.50
26.84
1,234.60
200.00

Martell State Bank

M a r te ll

G. F . C tf. N o. 438

Charter N o.
Lancaster County
W . H . H . M oore ............._............. P resid en t

W . H . H . M oore ...... .........................Cashier
J. Carl Sittler .....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 110,414.16
B on d s, secu rities, ju d gm en ts
and claim s ............................-...
101,500.00
C ou n ty, sch ool and state
w arrants ....................................
8,183.12
Due from national and state
banks .............- ..... - ...........
58,808.64
Checks and item s of exch a n ge
6.20
Cash in bank .............- ..................
2,652.49
U . S. bonds in cash reserve....
2,600.00

Capital stock ................................$ 25,000.00
Surplus fund ................................
6,000.00
U ndivided profits (n et) .........
2,375.55
Individual d eposits s u b je ct to
ch eck .........................................
125,911.55
Dem and certifica tes of d ep osit
7,601.04
T im e certifica tes of dep osit .... 116,517.53
C ashier’ s ch eck s outstanding..
591.01
D ep ositors’ guarantee fund ....
167.93

T otal .................................. $ 284,164.61


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

T otal .................................. $ 284,164.61

252

BU REAU O F BANKING

Citizens State Bank

M a r tin s b u r g
C harter N o. 1402

G. F . C tf. N o. 924

Dixon County
R.
E . B ray ......................... _..... „.P resident
H en ry H arney ---------------------V ice -P re s id e n t

Jam es P atten __________________ ___ Cashier
R . H . K eeffe ............... - ......... A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 112,818.43
O v erd ra fts ....................
488.39
B an kin g hou se, furniture and
fixtures ......- ................... - ........
1,575.00
B an k ers’ con serv a tion fund _
272.24
Due from national and state
banks ........................ ............
31,154.12
C hecks and item s of exch a n ge
1,782.00
Cash in bank ___ ______________
1,525.40
U. S. bon d s in cash reserve....
2,200.00

Capital stock ....... ............ ........... $
Surplus fund .............
U ndivided profits (n et) ............
Individual d ep osits su b je ct to
ch eck ......
Tim e certifica tes of dep osit ....
S avings d ep osits ........
D e p ositors’ guarantee fund ....

15,000.00
3,000.00
2,616.00
46,254.12
82,510.37
2,353.21
81.88

T ota l ................ .................. $ 151,815.58

T ota l ___________________ $ 151,815.58
»

M a r tin s b u r g

Martinsburg State Bank

C harter N o. 764

G. F . C tf. N o . 344

Dixon County
I. A . M ellon
.......................„...President
J . M . O ’ Connell ............. ....V ic e -P re s id e n t

F red

J effrey

................... ...... ...........Cashier

S T A T E M E N T O: f J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ....... ........$
O v e rd ra fts
........ .................... „...
B on d s, s ecu rities, ju d gm en ts
and claim s ............. ...... ...... _...
O th er real estate .............
B an kin g h ou se, furnitu re and
fixtures .......
B a n k e rs ’ con serv a tion fund __
D ue from national and state
ban ks .—................................. .
C hecks and item s o f exch a n ge
C ash in bank ...............................
U . S. bonds in ca sh reserve....
T otal


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

70,840.98
23.40
3,485.74
23,633.25
2,370.00
286.76

Capital s tock ................... ...... _...$
U ndivided p rofits (n et) ..........
Individual d ep osits su b je ct to
ch eck .....___________
D em and certifica tes o f dep osit
T im e certifica tes o f dep osit
....
S avings d ep osits ........
Sales _________________
D ep ositors’ guarantee fund
....

20,000.00
75.22
29,159.00
379.35
66,635.58
3,757.89
20.84
72.93

15,468.37
27.50
2,064.81
1,900.00

.$ 120,100.81

T otal

.$ 120,100.81

BU REAU O F BANKING

253

Security State Bank

M a s k e ll
C harter N o. 1569

G. F . C tf. N o . 1091

Dixon County
C.
M.

A . K in g sb u ry ........................P resid ent
M . N elson ...............—..V ice-P resid en t

O.

N.

Lukken

__ _______ __________ Cashier

S T A T E M E N T O F TUNE 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 162,311.10
O v e rd ra fts .........
700.45
B on d s, secu rities, ju d gm en ts
4,600.00
and claim s ......
B an kin g h ou se, furnitu re and
fixtures ...........................
3,202.50
B a n k ers’ con serv a tion fund ....
159.15
Due from national and state
banks .................... .......... —.... .
13,811.98
C hecks and item s o f exchange
947.56
Cash in bank ........
2,684.04

Capital stock ________________...$ 15,000.00
Surplus fund _________
3,000.00
U ndivided profits (n e t) ......
2,583.35
Individual d ep osits s u b je ct to
ch eck ...............
45,757.82
Tim e certifica tes of d ep osit _
120,588.83
C ashier’ s ch eck s outstanding..
1,375.92
D ep ositors’ guarantee fund _
110.86

T ota l ....... .... ......................$ 188,416.78

T otal .................................. $ 188,416.78

M ason

Farmers State Bank

C it y

C h a rter N o. 1131

G. F . C tf. N o. 653

Custer County
C. B . Lauridsen ....
W . D . R edm ond ........
G ottlob H iser ......

President
—..V ice-P resid en t
V ice-P resid en t

A.

D.

E rick son _______ ________ ___Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and discounts ________ $ 143,911.09
O verd ra fts ....... ............ - ..... - .........
B on d s, secu rities, ju d gm en ts
and claim s .............
O ther assets ...............................
B an king house, furnitu re and
fixtures ....................
B an k ers’ con serv a tion fund _
Due from national and state
banks ......_............
C hecks and item s o f exchange
Cash in bank ................
U . S. bonds in cash reserve....
T otal


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

4

423.98
3,511.78
52.99
10 , 000.00

397.81
25,454.26
143.67
5,024.80
2,000.00
190,920.38

Capital stock ......
Surplus fund ................................
Individual d ep osits s u b je ct to
ch eck ...............
T im e certifica tes of dep osit
S avings d eposits ..........
C ashier’ s ch eck s outstanding..
R e-d iscou n ts ...............................—
D ep ositors’ gu aran tee fund

T otal ____

20,000.00
2 , 000.00
67,853.41
92,328.92
2,686.61
371.43
5,565.33
114.68

.$ 190,920.38

BU REAU O F BANKING

2 5 4

M ason

C ity

The Mason City Banking Co.

C harter N o. 562

G. F . C tf. N o. 214

Custer County
R . B . W alk er ............................... President
J. A . A m sb erry .....................V ice-P resid en t

Cornell

N ew m an

................................ Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 286,836.32
O verd rafts .................... .............. .....
451.48
1,226.92
O ther assets .............
O ther real estate .........................
2,869.06
B an king h ou se, furnitu re and
fixtures ................................,....
12,500.00
B an k ers’ con serv a tion fund ....
847.29
Due from national and state
13,465.92
banks ...........................
C hecks and item s of exchange
8,823.19
Cash in bank ................................
3,875.88
U . S. bonds in cash reserve....
300.00

Capital stock ........................... ....$ 25,000.00
Surplus fund .................... ...... .....
5,000.00;
Individual d eposits su b je ct to
ch eck .........................................
105,160.08
T im e certifica tes of dep osit
.... 178,768.88
S avings d ep osits .........................
7,449.21
C ashier’ s ch eck s outstanding..
9,597.92'
D ep ositors’ guarantee fund
....
219.97

T otal ...............................331,,196..06

T otal ................................... $ 331,196.06

Max State Bank

M ax
Charter N o. 1327

G. F . Ctf. N o. 849’

Dundy County
F. G. S tilgeb ou er ........................ P resident
L . C. R udisill ....................... V ice-P res id en t

D.

E.

Gallatin

...............................-C a s h ie r

S T A T E M E N T OF JU N E 30, 1927
R ESO U R C E S
L oans and d iscou n ts ............... $ 112,645.74
O verd rafts ........................... - ..........
186.86
B on d s, secu rities, ju d gm en ts
and claim s ..............................
7,400.00
B an kin g h ou se, furnitu re and
fixtures .....
3,600.00
B an k ers’ con serv a tion fund ....
375.75
Due from national and state
banks ............. —...................... —
19,443.93
C hecks and item s of exchange
114.16
Cash in bank ..............;•...............
2,539.23
U . S. bonds in cash reserve....
3,000.00
T otal ................................. $ 149,305.67


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

L IA B IL IT IE S
Capital stock ......... ...... ...............$
Surplus fund ..................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck .............
Dem and certifica tes of d eposit
T im e certifica tes of dep osit
....
D ep ositors’ guarantee fund
....

10,000.00'
2 , 000.00
1,772.49
36,246.77
18.95
99,162.01
105.45

T otal ................................. $ 149,305.67

255

BU REAU O F BANKING

Maxwell State Bank

M a x w e ll

G. F . C tf. N o. 346

C harter N o. 768
Lincoln

County

F . C. P ielstick er ............ - .............P resid en t
L . E. S tory ........................ V ice-P resid en t

L eslie

R.

P rior

................................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 145,742.05
O th er real estate
....................
12,421.65
B an king h ou se, furnitu re and
fixtures ......- ......... -...................
12,500.00
B an k ers’ con serv a tion fund ....
433.62
Due from national and state
banks .........................................
14,284.78
C hecks and item s of exch a n ge
59.20
C ash in bank ......
2,411.55

T otal ..................................$ 187,852.85

25,000.00
607.13
306.86
65,906.29
471.24
53,899.69
9,673.89
7,532.60
24,340.00
115.15

T otal ..................................$ 187,852.85

Farmers Security Bank

M ayw ood
Charter N o.

Capital stock ........................... _...$
Surplus fund ....................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck .............
Dem and certifica tes of d eposit
T im e certifica tes of dep osit ....
S avings d eposits .........................
C ashier’ s ch eck s outstanding..
B ills payable ..................................
D ep ositors’ gu aran tee fund ....

G. F .

1313

C tf. N o.

835

Frontier County
H . K ilburn ......................... ............ P resident
H . Hall .............- ..................... ...V ice-P residen t

H arry H all .......... ..................................Cashier
B . I. Johnson ..... ................... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... - ....$ 238,911.65
O v erd ra fts .:...................
423.73
B on d s, secu rities, ju d gm en ts
and claim s ......... - ........ - .........
4,323.54
O ther real estate .........................
11,500.00
B an king h ou se, furnitu re and
fixtures .....................................
10,700.00
B an kers’ con serv a tion fund ....
720.36
Due from national and state
banks .................................... -—
40,101.30
C hecks and item s o f exch a n ge
3,180.37
Cash in bank .................
3,787.35
U . S. bonds in cash reserve....
1,000.00

Capital s tock .............................. .$ 20 , 000.00
12, 000.00
Surplus fund ...............................
346.20
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
127,184.81
ch eck ............................... ..........
1,396.05
Dem and certifica tes of d ep osit
153,336.13
Tim e certifica tes of d ep osit ....
179.94
C ashier’ s ch ecks O utstanding205.17
D ep ositors’ guarantee fund ....

T otal


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

314,648.30

T otal

314,648.30

256

BU REAU O F BANK ING

State Bank of Maywood

M ayw ood
C h a rter

N o.

572

G. F .

C tf. N o. 222

Frontier County
S.
V.

M.

S.

H a l l .....................
P re s id e n t
H a l l — .................................. V i c e - P r e s i d e n t

STATEM EN T C

G. E . B ates ------------------Cashier
C. B ourke ............. ..................A s s ’t. Cashier
J U N E 30, 1927

RESOURCES

L IA B IL IT IE S

L o a n s a n d d i s c o u n t s __________ $
O v e r d r a f t s ....... ............._................... .....
B on d s,
s e c u r it ie s , ju d g m e n t s
a n d c l a i m s ________ ___________
O t h e r r e a l e s t a t e ................_...... .....
B a n k in g h o u s e , fu r n it u r e a n d
f i x t u r e s ______
B a n k e r s ’ c o n s e r v a t i o n f u n d ....
D u e fr o m n a t io n a l a n d s t a t e
b a n k s ................
C h e c k s a n d ite m s o f e x c h a n g e
C a s h in b a n k __________________ __

188,913.26
761.23
1 ,2 5 0 .0 0
14,2 05 .55
7 ,0 0 0 .0 0
556.81
2 5 ,6 3 2 .0 9
1 ,5 2 7 .9 8
8 ,8 7 3 . ll j

T ota l --------------- -------------- $ 248,720.03

Bank

M ead

Capital stock ....... .......... .............$
Surplus fund ___ ____
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...................................
D em and certifica tes of dep osit
T im e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
Due to national and state
banks ......- ...............................
D ep ositors’ guarantee fund _
T ota l ................................. ..$

25,000.00
5,000.00
195.74
62,337.12
4,500.00
143,547.40'
592.44
7,400.00
147.32
248,720.03

Mead

C harter N o. 262

G. F . C tf. N o . 101

Saunders C ounty
J ay W ille y ....... ............ ..................... President
H a rry W idm an ............. .......V ice-P resid en t
STATEM ENT

R . M . E rw ay .................... ............. ....C ashier
G. S oderberg ......................... A s s ’ t. C ashier
E m erson E. E rw ay ......... ....A s s ’ t. C ashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 253,142.25
O verd rafts ........
261.66
B on d s, s ecu rities, ju d gm en ts
and claim s ......... .......... ...... .
33,811.18
O ther real estate ......... ..............
15,500.00
B an king hou se, furnitu re and
fixtures ........... ...... .................
20 , 000.00
B an k ers’ con serv a tion fund _
1,029.05
Due from national and state
banks .............
96,727.04
C hecks and item s o f exch a n ge
455.80
Cash in bank ....
5,876.93
U . S. bonds in cash reserv e_
7,000.00

Capital s tock .................... .......... $ 40,000.00
5,500.00
Surplus fund ......
U ndivided profits (n et) _____
758.93
Individual d ep osits s u b je ct to
ch eck ...............
123,236.25
T im e ■certifica tes of dep osit _ 237,579.96
S avings d ep osits .........................
20,322.12
C ashier’ s ch ecks o u ts ta n d in g .
6,158.40
D ep ositors’ guarantee fund _
248.2S

T otal


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

.$ 433,803.91

Total

.$ 433,803.91

BU REAU O F BANKING

M eadow

257

Meadow Grove State Bank

G rove

C harter N o. 263

G. F . C tf. N o. 102

Madison County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oa n s and d iscou n ts ................$
O verdrafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ................................
O th er assets ........................... - ....
B an king h ou se, furniture and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ..........
C hecks and item s of exch a n ge
Cash in bank ................................

L IA B IL IT IE S
90,722.50
353.54
7,045.50
84,342.61
6,032.59
702.54
776.41
9.92
1,991.64

T otal ................................ .$ 191,977.25

M eadow

Capital stock .......................... _...$ 25,000.00
Surplus fund ..................
3,863.68
Individual d ep osits su b ject to
17,046.47
ch eck ...............
Dem and certifica tes of dep osit
4,371.54
T im e certifica tes of d eposit ....
139,519.54
C ashier’ s ch eck s outstanding..
44.52
D ep ositors’ guarantee fund ....
131.50
O ther liabilities ......- ..................
2,000.00

T otal ................................. $ 191,977.25

Security Bank

G rove

C harter N o. 835

G. F . C tf. N o. 396

Madison County
W.
W.

H . B osse .............................. President
S. C rook ........................ V ice-P resid en t

C. A . O tra d ovec ................................ Cashier
R . K . A n stin e .....................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts .......... .....$ 301,518.80
O verd ra fts .......................................
959.72
B on d s, secu rities, ju d gm en ts
and claim s ..................
486.00
O ther real estate ........................
17,500.00
B an king h ou se, furniture and
fixtures .............- ......................
7,281.93
B an k ers’ con serv a tion fund ....
697.94
Due from national and state
banks .........................................
25,212.68
C hecks and item s of exch a n ge
2,989.89
Cash in bank ..................................
5,698.62
U . S. bonds in cash reserve....
4,150.00
T otal ................................... $ 366,495.58
10


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

Capital stock ...............................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ......1..................................
T im e certifica tes o f d ep osit ....
C ashier’ s ch ecks outstanding..
Due to national and state
banks .............- ..........................
D ep ositors’ guarantee fund ....

T otal

25,000.00
2,500.00
2,653.16
131,784.65
186,071.23
13,246.95
5,000.00
239.59

.$ 366,495.58

BU REAU O F BANKING

258

State Bank of Melbeta

Melbeta

G. F . C tf. N o . 721

C harter N o. 1199
Scotts Bluff County
G. M . Crabill ................. ....... ..........P resid ent
W m . Johns ...........................V ice-P residen t

J.

T.

Swan .................... - ............ - ......Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ......r....... $ 99,206.80
O verd rafts ....
442.71
B on d s, secu rities, ju d gm en ts
and claim s ................................
534.38
O ther real estate ........................
17,455.22
B an kin g h ou se, furnitu re and
fixtures .......................... -.
11,000.00
B an k ers’ con serv a tion fund ....
325./4
D ue from national and state
banks .............- ..........................
22,373.14
C hecks and item s of exch a n g e
284.25
^’ oo?’ oo
C ash in bank ..._..............
O th er cash resou rces — ........ —
205.20

Capital stock
................—-$
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .................... - .........- .......
Tim e certifica tes of dep osit ....
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....
R eserv e for taxes ......... .r..........

25,000.00
1,073.09

T ota l .................................. .$ 154,707.21

T otal .................................-.$

154,707.21

Memphis

73,822.98
53,335.96
696.09
74.15
704.94

Bank of Memphis
G. F.

C harter N o. 659
Saunders
R andall K . B row n
E . A . W ig g en h orn

C tf. N o. 281

County
........... P resid en t
.V ice-P resid en t

A . E. M ays .................- ........... - .......C ashier
N ellie M ayfield ................. A ss t. C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............$
O verd ra fts ............. - ........................
B on d s, s ecu rities, ju d gm en ts
and claim s ......- ............ — .....
O ther real estate ......... - .............
B an kin g hou se, furnitu re and
fixtures .....................................
B an k ers’ con serv a tion fund ....
Due from national and state
banks ........................... - ...........
Cash in bank ................................
U . S. bonds in cash reserve....

93,272.53
773.19
300.00
729.55
2 , 000.00

10 , 000 .00
1 0 , 000.00

6,447.73
48,388.39
46,776.66
69.26

322.01
17,336.66
2,948.10
4,000.00

T ota l .................................. .$ 121,682.04 I


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

Capital stock —
- ......i
Surplus fund .............- .................
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
ch eck ................................;.......
Tim e certifica tes of dep osit ....
D ep ositors’ guarantee fund ....

T otal

121,682.04

BUREAU OF BANKING

Merna

Bank c

259

Merna

C harter N o. 604

G. F .

C tf. N o. 239

Custer County
R . R . Duncan ......_................... „...President
W . F . P a tton ......
„...V ice-P resid ent
STATEM ENT C

C.

R.

H aines ....

C a s h ie r

JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 100,908.90
O v erd ra fts .................... - .....- ..........
55.07
B on d s, secu rities, ju d gm en ts
and claim s ............. ...... - .........
1,570.65
Item s in transit ........................
10.15
644.24
O ther assets ...................................
O ther real estate
.....
57,000.00
B an king hou se, furniture and
fixtures ......
2,000.00
B an k ers’ con serv a tion fund ....
551.27
Due from national and state
banks ......
39,974.42
C hecks and item s of exchange
1,443.75
Cash in bank ........
5,643.03
T otal ....................................$ 209,801.48

Merna

Cashier

A. R . P a tton ________________ A .ss’ t .

Capital stock ................... ...........$
Surplus fund .............
Individual d eposits su b ject to
ch eck ......
Dem and certifica tes of d ep osit
Tim e certifica tes of d eposit
C ashier’ s ch ecks outstanding..
D ep ositors’ gu aran tee fund _

20,000.00
5,000.00
94,436.44
2,000.00
85,418.41
2,803.71
142.92

T ota l ......... .........................$ 209,801.48

Farmers Bank of Merna
G. F .

C harter N o. 1037

C tf. N o. 568

Custer County
B . F . Cox .......................................... President
E . B . D aley .................- ......... V ice-P resid en t
STATEM ENT (

F. L . Beals ...........................................C ashier
N . R . J acqu ot ................... ....A s s ’ t. Cashier
JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 173,333.76
O verd ra fts .................... - .................
279.18
B on d s, secu rities, ju d gm en ts
and claim s .............................—
2,803.20
B an king hou se, furnitu re and
fixtures .....................................
5,000.00
B an k ers’ con serv a tion fund ....
476.59
Due from national and state
banks ......
39,050.48
C hecks and item s of exchange
65.55
Cash in bank ..................................
3,811.87
U . S. bonds in cash reserve....
2,750.00
Total


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

.$ 227,570.63

Capital stock .................... - ......... $
Surplus fund .............
U ndivided profits (n et) ......_...
Individual d eposits su b ject to
ch eck ............
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund ....

Total

15,000.00
10,000.00
2,896.86
83,059.48
116,467.23
147.06

.$ 227,570.63

BUREAU OF BANKING

260

Anchor Bank

Merriman

G. F . C tf. N o . 228

C harter N o. S80
Cherry County
A . H . M etzger ..................... ..... „...President
W . A . M etzger .....................V ice-P resid en t

D. W . C offey .........................-------......C ashier
H ow ard E vans ...................... A s s t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 162,793.08
47.10
O verd ra fts ...............................
B on d s, secu rities, ju d gm en ts
and claim s ................................
2,050.00
O ther real estate .........................
11,030.46
B an kin g hou se, furnitu re and
fixtures .....................................
12,500.00
B an k ers’ con serv a tion fund ....
452.10
Due from national and state
ban ks .........................................
21,852.59
C hecks and item s of exch a n ge
35.50
Cash in bank ......
8,133.43

Capital stock ....... ................... „...$ 25,000.00
Surplus fund .............
5,050.00
1,223.96
U ndivided p rofits (n et) ..........
Individual d eposits su b je ct to
ch eck ................ .............. -........
83,933.79
T im e certifica tes o f dep osit
.... 74,459.61
Certified ch eck s .............................
8.00
C ashier’ s ch eck s outstanding..
191.06
Due to national and state
ban ks .........................................
21,071.54
R e-d iscou n ts ..................................
7,805.00
D ep ositors’ guarantee fund
....
151.30

T o ta l ................................. $ 218,894.26

T otal ........................... - ....$ 218,894.26

Milford

Farmers & Merchants Bank

Charter N o.. 726

G - F - C tf- N o - 320

Seward County
E . H . S trayer ....................... .......President
F red Danekas ........................V ice -P re s id e n t

John E. V an ce ................ - .................Cashier
W . J. E ig sti .............- .........— A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 275,384.21
330.05
O verd rafts ......... - ...........................
B on d s, s ecu rities, ju d gm en ts
52,307.02
and claim s ......... ....................
18,000.00
O ther real estate .............. .........
B an kin g h ou se, furnitu re and
4,660.00
fixtures ......... — ......................
881.09
B an k ers’ con serv a tion fund ....
Due from national and state
75,180.14
ban ks ............ ...........................
1,052.80
Checks and item s of exchange
5,068.30
Cash in bank .............. ...................
5,000.00
U . S. bon ds in cash reserve....
4,088.93
O ther cash resou rces ......... - ....

Capital stock ................................ $ 40,000.00
8 , 000.00
Surplus fund ................................
395.21
U n divided p rofits (n et) ..........
Individual d ep osits s u b je ct to
146,333.67
ch eck .................... - ...............
5,644.35
Dem and certifica tes of d eposit
T im e certifica tes of dep osit .... 233,016.84
575.00
Certified ch eck s ..........................
243.60
D ep ositors’ guarantee fund ....
7,743.87
C ollections n ot rem itted fo r ....

T ota l ................................. $ 441,952.54


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

T ota l .................................-$ 441,952.54

BUREAU OF BANKING

Milford

261

Nebraska State Bank

C harter N o. 265

G . p . C tf. N o. 103

Seward County
H.
E.

E. L aipp ly ........... ........... ...... President
M . K oen ig ............. .......V ice-P resid en t

J. E . Y o s t __ __________________ ___ Cashier
J. E. H ollin g sw o rth ....... ......A s s ’ t. Cashier

S T A T E M E N T OF TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 264,615.35
O v erd ra fts .............
206.48
23,838.09
O ther real estate .............
B an kin g h ou se, furnitu re and
fixtures .........
9,503.52
B an k ers’ con serv a tion fund _
703.81
Due from national and state
30,465.92
banks ....................
C hecks and item s o f exchange
1,226.42
Cash in bank ____
6,309.27
U . S. bonds in ca sh reserve....
11,250.00

Capital s tock ................................$ 35,000.00
Surplus fund ..................................
8,000.00
U ndivided profits (n et) ......_...
1,083.88
Individual d eposits s u b je ct to
ch eck .................................
127,767.25
Dem and certifica tes o f d ep osit
7,690.92
T im e certifica tes of d ep osit .... 135,537.09
S avings d eposits ......
29,308.18
Due to national and state
banks ......
2,153.30
D ep ositors’ guarantee fund ....
197.95
R eserv ed for depreciation .......
1,380.29

T otal ............ — .................$ 348,118.86

T otal .............— ............ ...$ 348,118.86

Millard

Farmers ,

Bank

C harter N o. 1342
Douglas

G. F . C tf. N o. 864
County

J oh n G. B ull................ ............. .......P resid en t
B en S ch om er ....................... .V ice-P resid en t
STATEM ENT (

G. E. N elson ................................... C a s h i e r
R . H . H all .............................A s s ’ t. Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... .....$ 190,953.83
O verd rafts ............. - ........................
164.24
B onds, s ecu rities, ju d gm en ts
and claim s ____
20,395.73
O ther real estate .........................
2,000.00
B an kin g hou se, furnitu re and
fixtures ...................
9,040.34
B an kers’ con serv a tion fund _
672.91
Due from national and state
banks ______________________
76,459.25
Cash in bank ___
4,232.76
TJ. S. bon d s in ca sh reserv e_
12,800.00

Capital stock ................... ...........$ 20,000.00
Surplus fund ___
5,000.00
U ndivided profits (net) ..........
2,601.22
Individual d eposits su b ject to
ch eck ............. - .........................
109,154.56
D em and certifica tes o f dep osit
7,082.29
Tim e certifica tes of dep osit _
125,940.73
Certified ch eck s ........
10.00
S avings d eposits ............
37,407.79
D ep ositors’ guarantee fund _
193.90
R eserv ed fo r tax es, e t c ...........
9,328.57

T ota l ___________________ $ 316,719.06

T ota l — ..............................$ 316,719.06


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

262

BUREAU OF BANKING

Millard

German Bank of Millard

C harter N o . 266

G. F .

C tf. N o . 104

Douglas County
A . B . D etw eiler ....... .................... P resid ent
W m . V on D ohren _________ .V ice-P resid en t

W . T . D etw eiler ................... ...............C ashier

S T A T E M E N T O F TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ___ _____ $ 198,018.92
O verd ra fts ........................_.............
209.89
B on d s, secu rities, ju d gm en ts
band claim s ....................
9,429.43
O ther real estate
...
2,303.87
B an king h ou se, furnitu re and
fixtures ......- ........ ..... ...............
5,000.00
B an k ers’ con serv a tion fund ....
599.99
Due from national and s t a t e
banks .................... .......... _.
26,884.52
C hecks and item s of exch a n ge
119.78
Cash in bank .........
4,012.62
U . S. bonds in cash reserv e_
6,950.00

Capital s tock .......................... _...$ 15,000. OO1
Surplus fund ......
7,500.00'
450.98
U n divided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .........................................
47,343.74
Dem and certifica tes of dep osit
2,775.47
T im e certifica tes of d eposit ....
180,320.03
D ep ositors’ guarantee fund _
138.801

T ota l .............................. _.$ 253,529.02

T otal .......................... .......$ 253,529.02

Miller

Bank c Miller

Charter N o. 268

G.

F.

C tf. N o .

106

Buffalo County
Leila J ohnson ................................. President
N . J. M addox
............V ice-P resid en t
STATEM EN T (

C. E. M illhouse ________ ______...... C ash ier
R . W . Johnson --------- ---- _...Ass’ t. Cashier
JU N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............._.$ 138,462.16
O verd rafts ..........
119.99
O ther real estate _______
6,500.00
B an king h ou se, furnitu re and
fixtures ......
4,455.70
B an k ers’ con serv a tion fund ....
285.10
D ue from national and state
banks ......
25,233.43
C hecks and item s of exch a n ge
165.80
Cash in bank ............. ............. ....
2,654.60
T otal


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

.$ 177,876.78

Capital stock .............................. $
Surplus fund .......................... _...
U ndivided p rofits (n et) ......
Individual d eposits s u b je ct to
ch eck .............
D em and certifica tes of d ep osit
T im e certifica tes of d ep osit __
D ep ositors’ guarantee fund _

T otal

25,000.00
5,000.00
5,634.97
77,622.83
2,000.00
62,535.25'
83.73

.$ 177,876.78

BUREAU OF BANKING

Miller

The First B;

263

of Miller

C harter N o. 267

G. F . C tf. N o .

105

Buffalo County
R oss B row n ......... _................... ....P resid en t
N . A . B row n ......... _........ —..V ice-P resid en t
STATEM ENT C

P . A . F ilter ......... ............. ............... Cashier
A . N . B liss ......... — ............ A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 147,130.33
O verdrafts .................
138.07
B on d s, secu rities, ju d gm en ts
and claim s ______
8,719.28
O ther real estate .................... _...
18,154.13
B an kin g hou se, furnitu re and
4,000.00
fixtures ......- .............................
B an kers’ con serv a tion fund ....
451.35
D ue from national and state
banks ........................
23,837.25
C hecks and item s o f exchange
314.74
Cash in bank _____
5,371.57
T ota l ---- _ ---- ------------- ----- $ 208,116.72

Milligan

Capital stock ................... .......... $
Surplus fund ...........................
U ndivided profits (n et) ......
Individual d ep osits s u b je ct to
ch eck ........................................
Dem and certifica tes o f d eposit
T im e certifica tes o f d eposit _
R e-d iscou n ts ......
D ep ositors’ guarantee fund ....

25,000.00
5,000.00
2,179.98
78,001.60
2,000.00
85,508.27
10,297.25
129.62

T otal ------ --------- ------------- $ 208,116.72

Farmers & Merchants Bank

C harter N o. 748

G. F . C tf. N o. 332

Fillmore County
C . Sm rha .........................................P resid en t
F rank S tech .............. ............. V ice -P re s id e n t

J . J. K lim a .......................... ................Cashier
M ary Sm rha ...........................A ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESOU RCES

L IA B IL IT IE S

L oans and discou n ts ..................... 164,736.82
B on d s, s ecu rities, ju d gm en ts
195,121.44
and claim s ......
O ther real estate _____________
23,566.40
B an king h ou se, furnitu re and
fixtures ....................
10,000.00
B an kers’ con serv a tion fund ....
1,234.58
Due from national and state
banks ...................
37,932.56
C hecks and item s o f exch a n ge
25.25
Cash in bank ...........................
4,942.85
U . S. bon d s in cash reserve....
10,611.56
T otal


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

._$ 448,171.46

Capital stock .............................. 4
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck
............ - ..........................
T im e certifica tes o f dep osit _
S avings d ep osits .........................
D ep ositors’ guarantee fund ....
B ond depreciation reserv e .......
D epreciation on furnitu re and
fixtures __________

T otal

31,000.00
2,951.91
93,864.05
309,622.10
7,967.99
272.51
2,191.35
301.55

.$ 448,171.46

BUREAU OF BANKING

264

Minatare

Minatare Bank
G. F . C tf. N o . 259

C harter N o. 626
Scott s Bluff County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

T otal ____________ ______ $ 202,655.87

T otal ........... ......................$ 202,655.87-

Minatare

.

L oa n s and d iscou n ts ................$ 109,110.63
O verd ra fts ................
1-81
B on d s, secu rities, ju d gm en ts
and claim s ..............................
13,495.49
O ther assets .................... - ...........
10,391.76
O ther real estate .........................
50,110.87
B an king h ou se, furniture and
fixtu res ....... .........- ---- ----------15,000.00
B an k ers’ con serv a tion fund ....
580.06
Due from national and state
banks .............- .........................
1,193.31
C hecks and item s of exch a n ge
193.29
Cash in bank ................................
2,578.65

Capital stock .............................. $ 25,000.00*
Individual d ep osits s u b je ct to
ch eck .........................................
79,553.74
T im e certifica tes of dep osit
.... 76,800.94
S avings d ep osits .............
4,151.53
Certified ch eck s ......
2,260.52
C ashier’ s ch eck s outstanding..
210.56
14,500.87
B ills payable .................D ep ositors’ guarantee fund
....
177.71

State Bank of Minatare
G. F .

C harter N o. 1260

C tf. N o. 782-

Scotts Bluff County
L . F . Johnson ...............................P resident
L . L . Conklin
................ ....V ice-P resid en t

C. J. Schneider ___________________ C ashier

S T A T E M E N T C F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts — .......... $ 164,569.03
O verd rafts ............. - ........................
1,135.99
B on d s, secu rities, ju d gm en ts
and claim s .................... - ..... .
21,372.15
O ther assets .................... ...............
792.29
O ther real estate ......- .....- .........
51,117.83
B an king h ou se, furnitu re and
fixtures ....................... - ...........
10,000.00
B an kers’ con serv a tion fund ....
606.55
Due from national and state
banks .......................................45,417.22
C hecks and item s of exch a n ge
2,367.24
Cash in bank ....................
2,726.29
O ther cash resou rces, transit
23.05
Total


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

.$ 300,127.64

Capital s tock ........ ...................... $
Surplus fund .............
Individual d ep osits s u b je ct to
ch eck .............- .........................
T im e certifica tes of d eposit _
S avings d ep osits .........................
C ashier’ s ch eck s outstanding..
Due to national and state
banks ......- ................... .............
B ills payable .... ..... ................... .
D ep ositors’ gu aran tee fund _

T otal

25,000.00'
2,500.00
145,663.74
94,510.11
4,399.80
7,739.36
10,000.
10,000.
314.

.$ 300,127.64

BUREAU OF BANKING

Minden !

Minden

265

Bank

C h a rter N o . 1241

G. F . C tf. N o. 763

Kearney County
A n d re w Jensen
A rth u r Jensen

........................P resident
V ice-P resid en t
STATEM ENT C

V al Jensen ................... .....................Cashier
M azie Craig ................... ......A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 354,711.13
O v e rd ra fts ..........................- .........
29.67
B an kin g h ou se, furnitu re and
fixtures .................................. .
7,000 00
B a n k e rs ’ con serv a tion fund _
898.47
Due from national and state
banks ........
59,561.23
C hecks and item s of exch a n ge
2,334.20
C ash in bank ......... .......... ..........
9,902.56
U . S. bonds in ca sh reserv e_
6,500.00

Capital s tock ....... ..... ........ ..........$ 40,000.00
Surplus fund ____
5,600.00
9,311.88
U ndivided profits (net) ..........
Individual d ep osits s u b je ct to
ch eck ...............................
104,344.28
Dem and certifica tes of dep osit
2,319.33
T im e certifica tes o f dep osit _
252,667.10
26,407.33
S avings d ep osits ....................
D ep ositors’ gu aran tee fund _
287.29

T ota l ___________________ $ 440,937.26

T otal ....... ........................ ...$ 440,937.26

Mitchell

Mitchell i

Bank
G. F . C tf. N o. 498

C h a rter N o. 957
Scotts Bluff County
J a s . T . W h iteh ea d ....... ............ ..P resid en t
W . O. W ieland __________ V ice-P res id en t
STATEM ENT (

Cashier
C. W . W rig h t .............
W m . C. M orton ....................A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ........ .......$ 470,704.21
O v erd ra fts ......- _________________
4,677.58
B o n d s, s e cu rities, ju d gm en ts
and claim s ....................
5,671.29
O ther assets ____________
879.60
O th e r real estate
53,277.61
B an kin g hou se, furnitu re and
fixtures ......
5,962.62
B an kers’ con serv a tion fund __
1,005.18
Due from national and state
banks ........................... — • 31,208.08
C hecks and item s o f exch a n ge
965.21
C ash in bank _____________....—
6,557.38

Capital stock ...............................$ 37,500.00
Surplus fund ..................................
2,500.00
Individual deposits su b ject to
ch eck .........................................
172,186.43
Dem and certificates of deposit
2,849.37
T im e certificates o f d ep osit
.... 304,998.45
S avings deposits ....... ............ 25,548.52
B ills payable .............
35,000.00
D ep ositors’ gu aran tee fund —
325.99

T otal


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

.$ 580,908.76

T otal

.$ 580,908.76

266

BUREAU OF BANKING

Mitchell

The American Bank
G. F . C tf. N o. 1007

Charter N o. 1485
Scotts Bluff County
E. A . Currie ..................................P resid ent
W m . L edingh am ......... .......V ice-P resid en t

O. R .

L ovela ce ...... ............. - ............Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and discou n ts ...............$ 212,988.18
O verdrafts ......- .....- .....- .................
762.71
B on d s, secu rities, ju d gm en ts
and claim s ....................
10,817.82
O ther assets ............................
2,062.04
O ther real estate ....................—.
58,537.31
B an king h ou se, furnitu re a n d
fixtures ------------------------------8,787-94
B an kers’ con serv a tion fund ....
600.92
Due from national and state
banks .... .........- ............ - ..... - ....
32,670.23
C hecks and item s of exch a n g e
144.84
Cash in bank ------------ ---- ----- —
13,721.66

U.

S . b o n d s in

ca sh

reserv e—

Capital s tock ...............................$
Surplus fund ..........
Individual d ep osits su b je ct to
ch eck ...............
T im e certifica tes o f d eposit _
S avings d eposits .............
Certified ch eck s ............................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund _

140,778.97
132,056.73
25,741.55
1,000.00
105.93
210.47

3 ,8 0 0 .0 0

T otal ....................................$ 344,893.65

T otal ....................................$ 344,893.65 .

Ponca Valle

M onow i

35,000.00
10,000.00

State Bank
G. F . C tf. N o . 1097

C harter N o. 1575
Boyd County
R.

A.

S tu dley

........

President
STATEM EN T (

R E SO U R C E S
L oans and d iscou n ts ................$ 95,564.95
O verd rafts .............- ........................
89.39
B on d s, s ecu rities, ju d gm en ts
9,688.80
and claim s ......
O ther real estate .......
9,082.90
B an kin g h ou se, furniture and
fixtures ......- ................
5,450.00
B an k ers’ con serv a tion fund —
467.52
Due from n a tion a l and state
banks .............- ..........................
16,325.06
C hecks and item s of exch a n ge
195.50
C a s h in ban k .................
1,912.93
T ota l ___________________.$ 138,777.05


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

R ose

V lca n

......... ............. ....A ss’ t.

Cashier

JU N E 30, 1927
L IA B IL IT IE S
Capital stock ...............................$
Surplus fund ........................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ....................
T im e certifica tes of dep osit ....
B ills payable .............
D ep ositors’ guarantee fund _

15,000.00
1,700.00
646.16
32,674.05
71,824.14
16,851.51
81.19

T otal ................... ...............$ 138,777.05

B U R E A U

Monroe

O F

267

B A N K IN G

Bank of Monroe

C h a rter N o. 271

G. F .

C tf. N o . 107

Platte County
S. E . Pearson ________ _________ President
R . E . W ile y ____ ___ - ............ .V ice-P resid en t

W a lter

Fren ch

............... _...Ass’ t.

Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

(Loans and d iscou n ts ............. _.$ 195,642.12
O v e rd ra fts .................... - ............ .
427.89
B on d s, s e cu rities, ju d gm en ts
and claim s ____
3,038.14
O th e r real estate .............
33,842.33
B an kin g h ou se, furnitu re and
fixtures ......
12,000.00
B an kers’ con serv a tion fund ....
581.96
Due from national and state
banks __ _____ _____ -........- ....
33,649.96
C h eck s and item s of exch a n ge
349.70
•Cash in bank ....................
5,213.44
-U. S. bonds in cash reserve....
1,550.00

Capital stock .................... ..... ..... $ 24,000.00
Surplus fund ....................
300.00
U ndivided profits (n et) ..........
2,191.23
Individual d ep osits s u b je ct to
ch eck .........................................
95,771.98
T im e certifica tes o f dep osit .... 121,533.84
S avings d ep osits ......
31,337.60
C ashier’ s ch eck s outstanding..
11,112.96
D ep ositors’ guarantee fund
47.93

T otal

..$ 286,295.54

Moorefield

T ota l .................. ................ $ 286,295.54

Bank of Moorefield

C harter N o. 810

G. F . C tf. N o. 378

Frontier County
J. G. S aw yer __ _________ ___- .... P resid en t
J . J. Green ........................... V ice-P res id en t

J. S. V an A uken ....................... ........ Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Total ..


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

98,283.82
215.35
2,892.91
3,000.00
255.49
25,511.06
927.43
2,295.79
100.00

.$ 133,481.85

Capital stock ................... .......... 4
Surplus fund .............
Individual d ep osits s u b je ct to
ch eck ..................
Dem and certifica tes of dep osit
T im e certifica tes of d eposit
D ep ositors’ gu aran tee fund

T otal .......

88

L oans and d iscou n ts ________ $
O verdrafts ......................
O ther real estate --------------------B an kin g h ou se, furnitu re and
fixtures ......
B an kers’ con serv a tion fund _
D ue from national and state
banks .........................................
C hecks and item s o f exchange
Cash in bank ......
U . S. bon d s in ca sh reserv e_

20,000.
4,000.

62,280.
1,132.
45,992.74
76.39

.$ 133,481.85

268

B U R E A U

Morse Bluff

O F

B A N K IN G

The Bank of Morse Bluff

C harter N o. 272

G. F . C tf. N o. 108

Saunders County
R . C. B row n ell ___________ _____ P resid en t
E m il E. W o lf ....................... V ice-P res id en t

L . G. F a lty s ............. ........................Cashier
C. M . Skinner _____________ A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ............... $ 362,927.13
O verd ra fts ........
2,665.19
B on d s, secu rities, ju d gm en ts
and claim s .............
24,100.00
O ther assets ......
2,948.62
O ther real estate ........................
24,171.76
B an kin g hou se, furnitu re and
fixtures .................. - .................
13,817.00
B an k ers’ con serv a tion fund....
1,223.47
Due from national and state
banks .........................................
48,064.69
C hecks and item s of exchange
2,060.31
Cash in bank ............ ...... - ..........
3,283.45
U . S. bon d s in cash reserve....
9,200.00

Capital s tock ........................... _...$ 30,000.00
Surplus fund .............
10,000.00
Individual d ep osits su b ject to
ch eck .........................................
89,795.38
Dem and certifica tes o f dep osit
770.00
Tim e certifica tes o f dep osit
.... 355,783.77
S avings d ep osits ....................
7,789.86
D ep ositors’ guarantee fund
322.61

T otal ........................... - ......$ 494,461.62

Mt. Clare

494,461.62

T otal

Mt. Clare State Bank
G. F. Ctf. No. 359

C harter N o. 785
Nuckolls County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927

L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$
O verd ra fts ........... ................- ....—
O ther assets ..............................—.
B an kin g h ou se, furnitu re and
fixtures ....................
B an kers’ con serv a tion fund ....
D ue from national and state
ban ks ............ - ............ - ...........
C hecks and item s of exch a n ge
Cash in bank .........................

95,082.64
170.95
465.88

T otal .....,........................... .$

99,664.96


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

900.00
243.41
2,073.34
87.82

Capital stock ......... ............. .......$
Surplus fund .........
Individual d ep osits s u b je ct to
ch eck ......................................
T im e certifica tes o f dep osit __
S avings d eposits
.
Due to national and state
banks ----B ills payable ......... - .........— ........
D640.92
ep ositors’ gu aran tee fund —

10,000.00
13,374.16

65,754.90
10,475.55
60.35

T otal ___________________ $

99,664.96

22,328.98
43,185.18
240.74

BUREAU OF BANKING

Mullen

269

Citizens State Bank

C harter N o. 1101

G_ F

C tf. N o. 624

Hooker County
J a c k C. B ristow e ........................ President
L izzie L adely .......................V ice-P resid en t

W . H . W ieg a rd t ................................Cashier
W . H . B r a m e r ........................ A s s ’t. C ashier

S T A T E M E N T OF TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 250,831.71
O v erd ra fts .......................................
1,320.50
B an k in g h ou se, furnitu re and
fixtures .............................
6,859.52
B an k ers’ con serv a tion fund ....
615.34
Due from national and state
banks .........................................
16,921.06
C hecks and item s of exchange
254.61
C ash in bank ...............
4,644.72

Capital stock ................................$ 25,000.00
10,000.00
Surplus fund ................................
U ndivided profits (n et) ..........
1,151.81
Individual d ep osits su b ject to
ch eck .........................................
144,109.80
Tim e certifica tes of d eposit
.... 93,576.08
C ashier’ s ch eck s outstanding..
7,427.83
D ep ositors’ guarantee fund
....
181.94

T otal ................................... $ 281,447.46

Murdock

T otal ................................. 281,447.46

Bank of Murdock

C harter N o. 678

G. F . C tf. N o. 290

Cass County
H en ry A . T ool .............................. P resident
J . E. Guthm ann .................... .V ice-P resid en t

H. A.

Guthm ann ...............................Cashier

S T A T E M E N T C F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 223,473.40
O v erd ra fts .......................................
351.87
B an k in g hou se, furniture and
fixtures .................
5,150.00
B an k ers’ con serv a tion fund ....
619.79
Due from national and state
ban ks .........................................
31,208.13
C hecks and item s of exch a n ge
62.63
Cash in bank ....................
2,897.90

Capital stock ................... ...........$ 20,000.00
Surplus fund ......
5,000.00
U ndivided profits (n et) .........
1,562.48
Individual d eposits s u b je ct to
ch eck _....................
90,168.96
T im e certifica tes o f dep osit
.... 144,340.15
S avings d ep osits ....................
1,325.41
C ashier’ s ch eck s outstanding..
1,205.00
D ep ositors’ guarantee fund
....
161.72

T otal


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

.$ 263,763.72

T otal

.$ 263,763.72

270

BUREAU OF BANKING

Murdock

Farmers & Merchants Bank

C harter N o. 1536

G. F . C tf. N o. 1058

Cass County
A . S treich ......... :.......................„...President
J. E. H en d rix ..................... V ice-P resid en t

W.

F.

E tm und .................... ..........„...Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ..._........... $ 103,398.87
O verd rafts .................
42.87
E xpense in excess of profits....
1,363.58
B an kin g hou se, furniture and
fixtures ...........................
8,000.00
B an k ers’ con serv a tion fund ....
257.63
Due from national and state
banks ......
13,116.54
C hecks and item s of exch a n ge
1,200.00
Cash in bank ........................... _...
1,784.95

Capital s tock ...................... ..........$
Surplus fund ................................
In dividual d ep osits s u b je ct to
ch eck .........
Dem and certifica tes of dep osit
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
B ills payable ..................................
D ep ositors’ gu aran tee fund _

19,003.01
2,000.00
80,740.41
.50
10,000.00
520.52

T otal ................................... $ 129,164.44

T otal ....... ........................... $

129,164.44

M u rp h y

F ir s t

St

e Bank

C harter N o. 1298
Hamilton

16,000.00
900.00

G. F . C tf. N o. 820
County

J. J. R efsh a u ge ......
President
J. K . N elsen ................ .......V ice-P resid en t
L . W . W iek el ............ ...... „...V ice-P resid en t
STATEM ENT (
R ESO U R CE S
L oans and d iscou n ts ................$ 107,505.38
O verd rafts .............- ............ - .........
296.18
B on d s, secu rities, ju d gm en ts
and claim s .............
100.00
O ther assets ......
3,525.00
O th er real estate ----350.00
B an kin g h ou se, furniture and
fixtures ......
5,355.00
B an kers’ con serv a tion fund ....
345.86
Due from national and state
ban ks ....................
10,244.99
C hecks and item s o f exchange
47.67
1,494.23
•Cash in bank ______________
O th er cash resou rces ........
18.60
T ota l ................................... $ 129,282.91


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

H a rry B oesen ---------- ---- ---- ----- ------ C ashier

JU N E 30, 1927
L IA B IL IT IE S
Capital stock ................................$
Surplus fund ................................
Individual d ep osits su b je ct to
ch eck ........................
D em and certifica tes of d ep osit
T im e certifica tes of dep osit
S avings d ep osits ..._.........
Due to national and state
banks ......
B ills p ayable ......
D ep ositors’ guarantee fund
....

15,000.00
1,500.00
27,128.56
1,109.31
64,144.44
8,701.59
2,072.09
9,547.00
79.92

T otal __________________ .$ 129,282.91

BUREAU OF BANKING

Murray

271

Murray i ite Bank

C harter N o. 578

G. F . C tf. N o. 227

Cass County
W . G. B oedeker ........... .................President
F . L , N utzm an ___________ V ice-P resid en t
STATEM ENT (

L . J. H allas ................ ...... .......... ....... Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ......... ..... $ 240,725.82
B on d s, secu rities, ju d gm en ts
17,665.35
and claim s .............
O ther real estate
.............
5,706.74
B an kin g h ou se, furniture and
fixtures ..........
5,229.08
B an k ers’ con serv a tion fund ....
758.96
D ue from national and state
banks ...........................
96,544.40
C hecks and item s o f exch a n ge
683.79
C ash in ban k ...............
5,169.65

Capital stock ..._........ ..................$
15,000.00
Surplus fund ....................
6,000.00
U ndivided profits (n et) ..........
3,732.30
Individual d ep osits s u b je ct to
ch eck .........................................
124,607.72
T im e certifica tes of d ep osit .... 221,301.18
Cashier’ s ch eck s outstanding..
1,635.99
D ep ositors’ guarantee fund ....
206.60

T ota l ......- ........................... $ 372,483.79

T otal ....... ........................... $ 372,483.79

Nacora

First St

e Bank

C harter N o. 1332

G. F .

C tf. N o. 854

Dakota County
L ou is F . W a llw ey ................._......President
P e ter O berm oller ...............V ice-P resid en t
STATEM ENT (

H.

C.

O berm oller ....................... .....Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ....... ........$ 126,319.52
1,882.45
O verd ra fts .......................................
B on d s, secu rities, ju d gm en ts
and claim s .............
201.62
O th er real estate .............
10,390.85
B an kin g h ou se, furniture and
fixtures ................... - ........... .
3,800.00
B an k ers’ con serv a tion fund ....
340.89
Due from national and state
banks ...................................
13,984.12
C hecks and item s of exch a n ge
52.35
Cash in bank ........................
1,250.43
U . S. bonds in ca sh
reserv e_
750.00

Capital stock ......... ..................... $
10,000.00
Surplus fund ......
2,500.00
U ndivided p rofits (net) ....
284.04
Individual d eposits s u b je ct to
ch eck ..........
35,823.22
Dem and certifica tes of dep osit
347.20
Tim e certifica tes o f dep osit .... 109,321.70
S avings d ep osits ........................
593.32
D ep ositors’ guarantee fund
102.75

T otal ....... ........................... $ 158,972.23

T otal ..................... .............$ 158,972.23


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

272

BUREAU OF BANKING

Naper

Farmers State Bank

C harter N o. 1370

G. F . Ctf. N o. 892

Boyd County
E . H . H ughes ...........................„..P resid en t
M . L . H onke ......... ...... ........V ice-P resid en t

Lida

M.

H u gh es

.................- ........... Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 104,155.63
O verd ra fts .................... - .................
432.10
B on d s, secu rities, ju d gm en ts
and claim s ............ ................
403.40
O ther assets .................... - ..... .......
987.85
O ther real estate .......................
6,077.75
B an kin g hou se, furniture and
fixtures ........................- ..........
5,098.74
B an k ers’ con serv a tion fund ....
337.46
Due from national and state
banks ......................
11,655.26
C hecks and item s of exch a n ge
123.08
Cash in bank ..................................
4,962.82
U . S. bonds in cash reserv e_
2,300.00
T ota l ________ ___________$ 136,534.09

Naponee

Capital s tock ........ ....................... $
Surplus fund ......
U n divided p rofits (n et) ...........
Individual d eposits s u b je ct to
ch eck .........................................
D em and certifica tes of dep osit
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
B ills payable .........................
D ep ositors’ gu aran tee fund _

15,000.00
3,000.00
988.44
37,376.61
2,000.00
70,402.37
2.00
7,675.00
89.67

T ota l ................................... $ 136,534.09

Naponee State Bank

Charter N o. 565

G. F . Ctf. N o. 216

Franklin County
W . T . K in sey
E m il Sindt .......

............P resid ent
...V ice-P residen t

Jas. T . D avis .
C. P . B ashford

............... Cashier
.A s s ’ t. C ashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 193,782.96
O v erd ra fts .............
558.65
B on d s, s ecu rities, ju d gm en ts
and claim s ...........................—
3,766.70
O th er real estate ........
3,148.21
B an king h ou se, furniture and
fixtures ............. - ............ .........
4,915.80
B an k ers’ con serv a tion fund __
659.56
Due from national and state
banks .........
38,127.53
C hecks and item s of exchange
65.40
Cash in bank __________
4,810.54

12,500.00
Capital stock ................................. $
Surplus fund ......
2,500.00
U ndivided p rofits (n et) ..........
2,119.30
Individual d ep osits s u b je ct to
ch eck .........................................
73,460.58
T im e certifica tes of d ep osit_
149,678.23
S avings d ep osits .............
8,313.63
C ashier’ s ch eck s outstanding..
849.45
Due to national and state
banks ..........................
226.74
D e p ositors’ gu aran tee fund _
187.42

T ota l ..


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

.$ 249,835.35

T otal

.$ 249,835.35

B U R E A U

Nebraska City

O F

273

B A N K IN G

Farmers Bank

-C h a rte r N o. 278

G. F . C tf. N o. 110

Otoe County
J . H . C atron ................................... P resident
M ike Gardner .................... -...V ice-P resid en t

J. R . S tevenson ...................................Cashier
M ark Fullriede ............. - ......A s s ’ t. Cashier

S T A T E M E N T OF TUNE 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ............... $ 275,004.81
B o n d s, secu rities, ju d gm en ts
and claim s ................ .........._... 558,267.12
B an kin g hou se, furnitu re and
fixtures ....................
2,500.00
Due from national and state
banks ...........................
319,208.08
Cash in bank ................................
39,403.08

Capital stock ............. - .................$ 50,000.
Surplus fund ...............................
30,000.
U ndivided profits (n et) ..........
7,000.
Individual d ep osits s u b je ct to
ch eck .................
587,216.98
D em and certifica tes o f d eposit
3,802.83
T im e certifica tes o f d eposit .... 458,949.64
C ertified ch ecks ........
500.00
C ashier’ s ch eck s outstanding..
1,207.85
Due to national and state
banks ------------------------55,079.73
D ep ositors’ gu aran tee fund ....
626.06

T ota l ....... ..........................$1,194,383.09

T otal ------------------------ --- $1,194,383.09

Nehawka

888

R E SO U R C E S

Nehawka Bank

C harter N o . 279

G .F .

C tf. N o.

I ll

Cass County
F.
D.

P . Sheldon ................................P resid en t
C. W e st ........................ .V ice-P resid en t

W a lter J.

W u n d erlich ..................... Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S
L oa n s and d iscou n ts ...............$ 184,099.71
B on d s, s ecu rities, ju d gm en ts
1,500.00
and claim s ___
W arra n ts .........................................
2,811.66
O ther real estate ........................
12,387.45
B an k in g hou se, furnitu re and
fixtures ......
8,587.03
D ue from national and state
banks ....................................
26,247.57
C hecks and item s o f exch a n ge
213.69
Cash in bank ......
2,392.61
U . S. bonds in ca sh reserv e _
6,000.00
T otal .................... ...............$ 244,239.72


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

L IA B IL IT IE S
Capital s tock ....... ........................$
Surplus fund ........................
U n divided p rofits (n et) ..........
Individual d ep osits su b je ct to
ch eck .................
T im e certifica tes of d eposit _
C ashier’ s ch eck s outstanding..
D ep ositors’ gu arantee fund _

25,000.00
5,000.00
922.19
122,588.10
89,632.29
939.00
158.14

T otal .................................. .$ 244,239.72

274

BUREAU OF BANKING

Neligh

Antelope State Bank
G. F . C tf. N o . 1094

C harter N o . 1572
Antelope County
P
S

H Petersen
...................... President
I. N ies .................... - ......... V ice-P res id en t

R ay Sw anson .
D. R . Springer
O. E. K rohn ....

.................... Cashier
.... A s s ’ t. Cashier
......A s s’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 505,839.97
O verd ra fts .................... - .................
754.79
B an kin g hou se, furnitu re and
fixtures ------------ ---- - .....- .....—
25,000.00
B an kers’ con serv a tion fund ....
644.84
Due from national and state
banks
- ........... ---— ............
68,670.47
C hecks and item s of exch a n ge
236.48
Cash in bank .—
........ - ...........
6,765.05
U . S. bonds in cash reserve....
27,700.00
T ota l .................................. 4

635,611.60

Capital stock ............ ...... - ......... $
Surplus fund ................................
U ndivided p rofits (n e t) ..........
Individual d ep osits s u b je ct to
ch eck .............- ................- ..... —
T im e certifica tes of dep osit —
S avings d eposits ------ ---- —v.......
C ashier’ s ch eck s outstanding..
Due to national and state
banks ......- .........- ......................
D ep ositors’ guarantee fund ....

50,000.00
8 , 000.00

6,093.34
258,583.39
281,049.36
26,236.90
54.81
5,231.28
362.52

T ota l .................................. -$ 635,611.60

Security State Bank

Neligh

G. F . C tf. N o . 637

C harter N o. 1114
Antelope County
S. D . T h orn ton , J r ........................President
J. K . Friedebach ................. V ice-P res id en t

,T. K . Friedebach
C. H . P agel .........

...............Cashier
.A ss’t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts .—..........3
O verd rafts ................. v...................
B on d s, secu rities, ju d gm en ts
and claim s ......... - .........- .........
O ther real estate .................... —
B an kin g h ou se, furniture and
fixtures ......... —........... - ..... ......
B an k ers’ con serv a tion fund —
Due from national and state
banks .........................................
C hecks and item s o f exchange
Cash in bank ....... ............ ...........
U . S. bon d s in cash reserve....
T otal


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

248,813.62
66.87
178,742.29
31.850.00
16.604.00
1,011.36

Capital stock — ........ .............. —.$
Surplus fund ................................
U ndivided profits (net)_ ..........
Individual d ep osits s u b je ct to

check

............ -................. -—....

T im e certifica tes of d eposit ....
S avings d eposits ................ ........

C ash ier’ s checks O utstandingD e p o sito rs’ g u a ran tee fund ....

30,000.00
8 , 000.00
3,179.76
215,394.49
282,104.30
19,138.89
382.10
346.10

58,900.70
478.79
9,978.01

.

12 100.00

..$ 558,545.64

T otal

.$ 558,545.64

BU REAU OF BANKING

Nelson

,275

Commercial Bank

‘C harter N o. 280

q

f

C tf_ N o _ 112

Nuckolls County
J- BJ.

W ehrm an .............................President
P arsons .................. ...V ice-P residen t

I. J. W ehrm an .................................. Cashier
Jas. F. M urphy ..................... A s s ’ t. Cashier
R oy B rew er ......_..... ...... .......A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 215,775.82
221.89
O verd rafts .............
B on d s, secu rities, ju d gm en ts
and claim s .............
14,750.00
■Other real estate
.....
30,301.84
B an kin g hou se, furnitu re and
fixtures .............
6,200.00
B an k ers’ con serv a tion fund __
714.08
Due from national and state
banks ...........................
34,922.14
•Checks and item s of exch a n ge
216.81
Cash in bank ...........................
6,737.63
T otal .................................. 4

Nelson

309,840.21

Capital stock ................................$
Surplus fund ................................
R eserv e for losses ......................
Individual d ep osits s u b je ct to
ch eck ...........................................
Dem and certifica tes of dep osit
S avings d eposits ........................
Due to national and state
banks ..................................
D ep ositors’ gu arantee fund ....

T otal .................................. 4

25,000.00
15,000.00
1,465.37
92,653.00
94,924.06
44,043.77
36,430.25
323.76

309,840.21

Farmers State Bank

C harter N o. 1597

G. F . C tf. N o. 1121

Nuckolls County
J. A . D eM ilt ....... ............................ P resid en t
O.
C. M y ers ....... ..........-...V ice-P resid en t

V . D. V aught
E . E. H ed g cock

.............— A s s ’ t.

Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... .....$ 282,865.04
O verd ra fts _____________________
73.15
O ther assets ............. - ..... ...... ......
4,075.70
O ther real estate
....................
40,744.54
B an kin g hou se, furniture and
fixtures — ................. ......... .....
10,832.70
B an kers’ con serv a tion fund ....
941.83
Due from national and state
banks .........
12,885.64
C hecks and item s of exch a n ge
605.69
•Cash in bank ........
3,728.84

Total .....


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

.$ 356,753.13

Capital s tock ................................$ 35,000.00
U ndivided profits (n et) ..........
2,130.53
Individual d ep osits s u b je ct to
ch eck ......... ...................... - ......
117,636.53
101,046.17
T im e certifica tes o f dep osit _
S avings d ep osits ............. - ......
26,148.69
Certified ch eck s ________
25.00
Due to national and state
banks ..................................... ............. 21,828.04
B ills payable ___ ______________
51,538.17
D ep ositors’ guarantee fund _
1,400.00
T otal

.$ 356,753.13

BU REAU O F BANKING

276

Nemaha

Bank of Nemaha

C harter N o . 632

G. F . C tf. N o . 264-

Nemaha County
E lm er E . A llen ................................President
A . L . A llen .................... .......V ice-P resid en t

H . R . D ressier ..................................... Cashier
F . H . K erker ...... - ...............A s s ’ t. C ashier

S T A T E M E N T OF TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts — ........... $ 103,745.65
O verd rafts ................... - .................
247.99
B on d s, secu rities, ju d gm en ts
and claim s ......... - ....................
300.00
B an k in g hou se, furnitu re and
fixtures ......- ............ - ............ —
1,666.00
B an k ers’ con serv a tion fund ....
129.43
Due from national and state
47,914.43
banks ......,......- .........................
C hecks and item s of exch a n ge
250.00
2,178.62
Cash in bank ........ .......................

Capital stock ......... ..................... $
10,000.00
5,000.00
Surplus fund ........................- ......
U ndivided profits (n et) ..........
966.87
In dividual d ep osits s u b je ct to
ch eck ................... ..................— 108,123.77
T im e certificates of deposit
— 32,261.62
D ep ositors’ guarantee fund
....
79.86

T ota l .........'..................... -$ 156,432.12

Nenzel

T otal ....... ....................... 4

156,432.12

Nenzel State Bank

C harter N o. 1308

G. F . C tf. N o. 830

Cherry County
P.
E.

N.
C.

Cole ..... ............................... P resid en t
Cole ........................ .V ice-P resid en t

.Cashier

H . A . Cole

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oa n s and d iscou n ts ............... $
O verd ra fts .....—..... - ..............- ........
O ther real estate ......- .................
B an k in g h ou se, furniture and
fixtures ...............................- ....
B an k ers’ con serv a tion fund ....
Due from national and state
banks .............- .........- .....- ........
Cash in bank — ...........................

50,553.50
350.16
2,498.89

3,194.15
1,243.20

Capital stock — ........................... $
Surplus fund ..........................
U n divided profits (n et) --------Individual d ep osits s u b je ct to
ch eck ..................................... —
Dem and certifica tes o f d eposit
T im e certifica tes o f d ep osit ....
C ashier’ s ch eck s OutstandingD e p ositors’ gu aran tee fund —

T otal ............ - ........- ........- $

61,678.14

T ota l —......... ........ .........—-$


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

3,700.00
138.24

»

10, 000.00
1,500.00
134.06
20,903.20
2 , 000.00

26,978.05
121.50
41.33
61,678.14

BU REAU OF BANKING

Newcastle

277

American State Bank

C harter N o. 1567

G. F . C tf. N o. 1089

Dixon County
G eo. I. Parker ______ __ ..........r.....P resid ent
W . R . T a lb oy ................. ......V ice-P resid en t

L . E . M cG rath ...---------------- A.ss’ t. Cashier

S T A T E M E N T O F TUNE 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 172,804.43
O v erd ra fts .......
196.94
B o n d s, secu rities, ju d gm en ts
and claim s ................................
3,000.00
O ther real estate
............
22,625.63
B an kin g h ou se, furnitu re and
fixtures .....................
9,391.98
B an k ers’ con serv ation fund ....
’ 511.71
D ue from national and state
banks ............. .................... .....
15 533,30
C hecks and item s o f exchange
1,’237.26
Cash in bank _____
2,213.30

Capital stock ................................$ 25,000.00
Surpius fund ................................
3,000.00
U ndivided p rofits (net) ......
3,094.79
Individual d eposits su b ject to
ch eck .........................................
52,814.08
T im e certificates o f dep osit .... 131,475.56
B ills payable .............
12,000.00
D ep ositors’ guarantee fund ....
130.12

T otal ................................... $ 227,514.55

Newcastle

T otal ------------ ----------------- $ 227,514.55

Farmers State Bank

C harter N o. 282

G. F _ C tf_ N o _ n 3

Dixon County
Operated by Guarantee Fund Commission
S T A T E M E N T OF TUNE 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............ ...$ 421,541.90
O v erd ra fts _______________ ______
455.53
B on d s, secu rities, ju d gm en ts
and claim s ...........................
9,205.59
O th er assets ............ ...... ...... .......
627.93
O th er real estate
.........
65,062.90
B an kin g h ou se, furniture and
fixtures ....................
6,666.00
B an k ers’ con serv a tion fund __
1,314.08
Due from national and state
banks ___
8,015.61
C hecks and item s of exch a n ge
335.12
C ash in bank ...... ..........................
1,540.42

Capital stock ....... ........................$ 20,000.00
Individual deposits su b ject to
ch eck — .......
96,704.91
D em and certifica tes o f dep osit
3.30
Tim e certifica tes o f dep osit .... 367,363.16
S avings d ep osits ......
7,417.20
C ashier’ s ch ecks outstanding..
3,766.37
Due to national and state
banks .......
3,777.61
R e-d iscou n ts .........
5,390.55
B ills payable .................
10,000.00
D ep ositors’ guarantee fund _
341.98

T ota l ..


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

.-...$ 514,765.08

Total ........

.....$ 514,765.08

BUREAU OF BANKING

278

Newman Grove

Farmers i

Bank
G. F . C tf. N o. 607

C harter N o. 1082
M adison C ounty
J. V . O lson
........ ..................- P residen t
L illie M . O lson ....................V ice-P residen t
STATEM EN T C

A . L . F in strom ___ ______ ____ - ......Cashier
E sth er E rick son ................. A s s ’ t. Cashier
JU N E 30, 1927
L IA B IL IT IE S

RESO U R CE S

Capital stock ............................_...$
Surplus fund ........................
U ndivided profits
(net)_ .......
Individual d ep osits s u b je ct to
ch eck ...................................
T im e certifica tes
o f dep osit ....
S avings d ep osits
C ashier’ s ch eck s outstanding..
D ep ositors’ gu arantee fund ....
.

L oans and d iscou n ts —............$ 327,591.10
O verd rafts ................. - ...................
776.09
B on d s, secu rities, ju d gm en ts
and claim s ......— ..... - .............
4,200.00
4,900.00
O ther real estate ................... —B an kin g hou se, furnitu re and
fixtures
- ........... - ................
5,000.00
B an kers’ con serv a tion fund ....
727.78
Due from national and state
38,087.43
banks
— ...........- ......... C hecks and item s of exch a n ge
3,504.69
Cash in bank ..........................-...
2,858.75
U . S. bonds in cash reserve....
18,750.00
O ther cash resou rces ......
80.74

15,000.00
3,000.00
4,558.15
118,507.18
258,406.69
5,643.51
1,118.15
242.90

T ota l ......................... ........$ 406,476.58

T ota l ______________ ____ $ 406,476.58

Newman Grove Newman Grove State Bank
C harter N o. 283

G. F . C tf. N o. 114

Madison County
Geo. H . Gutru ....... ............ - ......... P resid en t
H . H . F unru .............- ......... V ice-P res id en t

S. M . J uelson ...................... - ............. Cashier
T h os. O. Field ..................... A s s ’ t. Cashier
G. R . P eterson ................ -...A ss’t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ......... ......$ 351,761.06
1,193.63
O verd rafts ..................................—
52,297.07
O ther real estate ............. ..........
B an kin g h ou se, furnitu re and
14.000.
fixtures ------ -----;---------- - ........
1.143.33
B an kers’ con serv a tion fund ....
Due from national and state
66,032.09
ban ks ......... - ---------- -------------1.564.33
C hecks and item s of exchange
5,938.41
Cash in bank ..._.......................... .
14.000.
U . S. bon d s in cash reserve....
T otal


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

..$ 507,929.92

Capital s tock .......................... _...$
Surplus fund ...............................
U ndivided p rofits (net)_ ..........
In dividual d ep osits s u b je ct to
00 ch eck ......... - .........- ............
D em and certifica tes o f d eposit
T im e certifica tes o f d ep osit —
B ills payable --------------------------D ep ositors’ guarantee fund —

30.000.

00

10. 000.

00

1,563.31
173,274.81
2,959.00
274,823.76
15,000.00
309.04

00
T otal

.....$ 507,929.92

BUREAU OF BANKING

Newport

27 9

Farmers State Bank

C harter N o. 1320

G. F. C tf. N o. 842

Rock County
Jabe B . G ibson ......_............ ...... ....President
C. B . C hesnut -------.'
V ice-P resid en t

L . C. Fink — ......................... ........ Cashier
W . B . Fink ......... .................A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... .....$ 117,939.54
O verd rafts ......
296.52
B on d s, secu rities, ju d gm en ts
and claim s ......- ..... ................
3,450.00
O ther real estate ..........
25,600.00
B an king hou se, furnitu re and
fixtures ........
10,300.00
B an kers’ con serv a tion fund _
421.40
Due from national and state
16,668.57
banks ......
C hecks and item s of exch a n ge
1,491.17
Cash in bank ___
3,027.64

Capital stock ................... ...... _...$ 25,000.00
Surplus fund .....
200.00
2,007.79
U ndivided profits (n et) ......
Individual d eposits s u b je ct to
ch eck .................................
66,047.93
Dem and certifica tes of dep osit
‘ 2,000.00
T im e certifica tes of d ep osit ....
72,109.02
C ashier’ s ch ecks outstanding..
188.45
Due to national and state
banks ...............
11,529.17
D ep ositors’ guarantee fund ....
112.48

T otal ....... ..........................$ 179,194.84

T otal ..................................$ 179,194.84

Newport

Rock County State Bank

C harter N o. 517

G. F . C tf. N o. 195

Rock County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $
B on d s, s ecu rities, ju d gm en ts
and claim s _______
O ther assets ......................_........
O ther real estate ....................

B an k in g h o u se, fu rn itu re and

fixtures .................... ......_........
B an kers’ con serv a tion
fund ....
Due from national and state
banks .............- ................. .......
C hecks and item s of exch a n g e
Cash in bank __ _ ___
T otal


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

L IA B IL IT IE S
74,691.64
7,965.54
44,428.19
14,275.00
3,665.00
395.51

Capital stock — ........................... $
Individual d eposits s u b je ct to
ch eck ..................
T im e certifica tes of d ep osit _
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund _
O ther liabilities ........

30,000.00
24,849.71
75,527.47
240.13
75.47
15,720.60

648.68
10.41
333.41

........ $ 146,413.38

T otal

.....$

146,413.38

BU REAU O F BANK ING

280

Nickerson

Farmers State Bank

C harter N o. 1321

G. F . C tf. N o. 843

Dodge County
H . W m . M oeller ________ _______ P resid en t
W . F . Lallm an __________ .V ice-P resid en t

H.

N.

K oy en -------- -------------------------Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............. _.$ 114,233.75
O v erd ra fts ............— - .....................
58.56
B o n d s, secu rities, ju d gm en ts
and claim s ___ __________ ___
35,185.87
O ther real estate ............. - .....-...
5,875.00
B an kin g h ou se, furnitu re and

fix tu res

.........-

-

-........

6,000.00

B an k ers’ con serv a tion fund ....
Due from national and state
banks ............. - .....- ..... ...... ......
C hecks and item s o f exch a n ge
Cash in bank .............
—
U . S. bonds in cash reserv e—

27,942.98
528.00
2,792.23
3,050.00

15,000.00
1,000.00
17.36
83,031.35
96,935.43
101.90

419.65

T ota l ___________________ -$ 196,086.04

Niobrara

Capital s tock .... ...........................$
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .............. ....................... —
T im e certifica tes of d eposit ....
D e p ositors’ gu aran tee fund
—

T ota l ________ __________ -$ 196,086.04

State Bank of Niobrara
G. F . C tf. N o . 712

C harter N o . 1190
Knox County
Chris L arsen .............
John D . B lankenfeld

............P resid en t
...V ice-President

H . A . R in d ersp a ch er ------------------- Cashier
J. M . R o s te r --------------------- A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts — ........... $ 292,076.96
307.77
O verd ra fts ......- ............ - .................
B o n d s, secu rities, ju d gm en ts
45,385.21
and claim s ......- ...................
13,425.00
O ther real estate .—............ ........
B an k in g hou se, furnitu re and
15,000.00
fixtures ......... - ..............- ..........
1,104.89
B an k ers’ con serv a tion fund ....
Due from national and state
53,354.53
banks ------------------ ---------- ----5,581.39
C hecks and item s o f exchange
12,640.12
Cash in bank ------ ---- ---------------

Capital s tock --- ------- --------------- $ 30,000.00
Surplus fund ....................- .....—
6,000.00
U ndivided p rofits (n et) --------80.81
Ind ivid u al d ep osits s u b je ct to
ch eck .............
195,391.10
T im e certifica tes o f dep osit — 205,480.75
C ashier’ s ch eck s outstanding..
1 ,653.24
D ep ositors’ gu aran tee fund —
269.97

T ota l


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

438,875.87

T otal

____ $ 438,875.87

281

BU REAU O F BANKING

Nora

Nora St :e Bank
G. F . C tf. N o. 461

Charter N o . 917
Nuckolls County
F.
C.

R.
M.

K elly ............ ...... ..............President
E p ley ...................... .V ice-P resid en t
STATEM ENT (

H.

J.

A d co ck

J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ________ $ 117,968.91
O verdrafts ____
271.21
B on d s, secu rities, ju d gm en ts
and claim s ......
1,700.00
O ther real estate
....................
8,094.53
B an king hou se, furnitu re and
fixtures _________
8,200.00
B an kers’ con serv a tion fund __
437.15
Due from national and state
banks ................................._....
23,640.78
C hecks and item s of exch a n ge
43.75
Cash in bank ____________
2,476.22
T otal ___________________ 4

Norden

......................... ........... Cashier

Capital stock ...............................$
Surplus fund ........................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck _......
T im e certifica tes of dep osit _
S avings d eposits .........................
D ep ositors’ guarantee fund —

18,000.00
5,000.00
1,279.10
57,584.44
79,116.32
1,748.97
103.72

T otal ___________________.$ 162,832.55

162,832.55

Bank of Norden

Charter N o. 1088

G .F . C tf. N o . 612

Keya Paha County
M . L . L oga n ................ ................P resid en t
M y rtle M . L oga n _________ V ic e -P re s id e n t

C.

L.

L oga n

........................ ..............C ashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ___ _____ $
O verdrafts ________
B on d s, secu rities, ju d gm en ts
and claim s .... ..........................
B an kin g h ou se, furniture and
fixtures ____________________
B an kers’ con serv a tion fund ....
Due from national and state
banks ................................
C hecks and item s o f exch a n ge
C ash in bank ....................— ........

41,064.83
12.02

T otal .................................. $

61,859.04


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

5,000.00
1,800.00
109.60

Capital stock ......... ........ ............. $
Surplus fund ....... ............ ...........
U ndivided p rofits (n et) __
Individual d ep osits s u b je ct to
ch eck .........
T im e certifica tes of dep osit _
D ep ositors’ guarantee fund _

10,000.00
2,000.00
1,004.05

T ota l .................................. $

61,859.04

31,301.20
17,514.67
39.12

10,893.56
109.86
2,869.17

282

BU REAU O F BANK ING

Norfolk

Nebraska State Bank

C harter N o. 1207

G. F . C tf. N o. 729

Madison County
Jabe B . G ibson ....... ............ ....... P resid ent
J . W . R an som ----------------- V ice -P re s id e n t

D. P. W etz el ................................. ....Cashier
A . H . Steffen .... ................... A s s ’ t. Cashier
Paul Z u tz ....... .......... ..... .......A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oa n s and d iscou n ts ......
$1,096,102.02
O verd ra fts ....................
239.48
B on d s, secu rities, ju d gm en ts
and claim s ................... _.........
594,843.14
O th er real estate .............
59,604.03
B an kin g h ou se, furnitu re and
fixtures ...........................
8,500.00
B an k ers’ con serv a tion fund _
3,613.43
Due from national and state
banks .........................................
256,737.18
C hecks and item s of exch a n ge
30,765.75
Cash in bank ............. _.................
42,635.39
U . S. bonds in cash reserv e__ 161,000.00

Capital s to c k ....... ....................... $ 100,000.00
Surplus fund .............
20,000.00
U ndivided p rofits (n et) ..'........
11,037.68
3,000.00
D ividen ds unpaid .........................
Individual d eposits su b je ct to
ch eck ..................................._..... 638,694.83
T im e certifica tes of dep osit __ 652,505.79
S avings d ep osits ____
366,453.92
11,075.00
Certified ch eck s ..........
C ashier’ s ch eck s outstanding..
15,228.01
Due to national and state
banks ...................................... .
434,650.33
1,394.86
D ep ositors’ gu arantee fund _

T o ta l ........... ........................$2,254,040.42

T ota l ............ .................. -...$2,254,040.42

Norfolk
C harter N o.

Norfolk Savings Bank
1197

G.

F.

C tf. N o.

719

Madison County
C. E . Burnham ....... .................... P resid en t
L . P . P asew alk ................. ....V ice-P resident

L . P . P asew alk ............. ................... Cashier
E dith W a d d ick ..........- ..........Ass’t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

LIABILITIES

L oans and d iscou n ts ......... .....$ 125,225.20
B on d s, secu rities, ju d gm en ts
and claim s ............................
110,601.10
12,807.80
O th er real estate ................ .......
B an k ers’ con serv a tion fund ....
507.54
Due from national and state
banks ----59,511.15
C ash in bank ___
1,096.16
T otal


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

._...$ 309,748.95

Capital stock ............. ...... ..... .......$
Surplus fund ..........
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...........................................
T im e certifica tes o f dep osit _
D ep ositors’ gu arantee fund _
T otal

15,000.00
3,000.00
9,323.33
221,948.35
60,297.00
180.27

.....$ 309,748.95

283

BUREAU OF BANKING

Norfolk

Security U
:

Bank
G. F . Ctf. N o. 1070

C harter N o. 1548
Madison County
Geo. H . Gutru ................................P resident
W . E . Staab
_________.V ice-P resid en t
STATEM ENT C

...Cashier
C. J. H ulac .......
F red W . M uller ....... ............. A s s ’ t. Cashier
J U N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ------ ---- $ 527,271.54
O verd rafts ......... ........ ..................935.41
B onds, secu rities, ju d gm en ts
and claim s _________________
100,125.34
B an kin g hou se, furnitu re and
fixtures ............. .......— .........—
9,910.22
B ankers ’ con serv a tion fund ....
1,313.00
Due from national and state
banks .............
87,833.25
C hecks and item s o f exchange
10,790.17
Cash in bank .................... - ..........
13,370.76
U . S. bonds in cash reserve....
2,799.32

Capital stock ............ ...... .......... $
Surplus fund ......
U n divided profits (n et) ...........
Individual d ep osits s u b je ct to
ch eck ......................................
Tim e certifica tes of d eposit —
Savings d eposits ......- .................
Certified ch eck s ......- ....................
C ashier’ s ch eck s outstanding..
Due to national and s t a t e
banks .............- .........- .........- ....
D ep ositors’ guarantee fund —

301,630.80
235,439.91
117,430.50
2,281.15
5,605.26
35,251.56
446.82

T otal .................................. -$ 754,349.01

T otal ___________________-$ 754,349.01

Norman

50,000.00
4,500.00
1,763.01

Norman Exchange Bank

C harter N o. 942

G. F . C tf. N o. 483

Kearney County
Geo. P . K in g sley ............................ P resid en t
F . R . K in g sley , J r ............. .V ice-P resid en t

M oritz

A abel

..........-

-

— C ashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ................$
O verd ra fts ....... ...........-------- --------B on d s, secu rities, ju d gm en ts
and claim s ........................... —
B an k ers’ con serv a tion fund —
Due from national and state
banks ................— ......... .........
C hecks and item s of exchange
Cash in bank --------------—

61,055.15
135.23

._...$

68,123.43

T otal


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

50.00
116.49
5,244.26
229.75
1,292.55

Capital s tock ................— ..... -...$
Surplus fund -------U n divided profits (n et) .....—
Individual d eposits su b je ct to
ch eck ......... - .........- .........- .....
D em and certifica tes o f dep osit
D ep ositors’ gu aran tee fund —

10,000.00
4,000.00
13,478.98

.$

68,123.43

T otal

39,530.26
1,081.93
32.26

284

BU REAU O F BANK ING

North Bend

First State Bank

C harter N o. 1248
Dodge
T.

J.

K astle

G. F . C tf. N o . 770

County
______ ___

............P resid ent

John K elly ____ _____________ L____ C ashier
R . C. M arquardt .......--------- Äss"tT’”C ashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... ..... $ 353,132.90
Capital s tock ................................ $ 25,000.00
O verd ra fts ....................................
1,877.05
5,000.00
Surplus fund ................................
B on d s, s ecu rities, ju d gm en ts
U ndivided profits (n e t) ..........
708.09
and claim s ...............................
14,784.65 Individual d eposits s u b je ct to
O ther assets .............................
2,550.79
_
ch eck ...................................
190,460.49
O ther real estate ...........................
94,911.55 T im e certifica tes of dep osit .... 323,192.23
B an kin g h ou se, furniture and
D ep ositors’ guarantee fund ....
330.28
fixtures ...............................
12,500.00
B an k ers’ con serv a tion fund ....
1,279.56
Due from national and state
54,193.94
banks ...............................
C hecks and item s o f exchange
6,035.64
Cash in bank ___________________
3,425.01
T o ta l --------------- ------------ $ 544,691.09

North Loup

T o ta l ---------------------------- $ 544,691.09

Farmers State Bank

C harter N o. 570

G. F . C tf. N o . 220

Valley County
Geo. E. Johnson .........
Ches Chinn ......... .............

...........P resid en t
.V ice-P resid en t

C.

E.

R usm isell

.Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 173,806.16
O verd rafts .................
3,038.64
O ther real estate
....................
29,957.00
B an kin g hou se, furnitu re and
fixtures ..............................._.....
12,500.00
B an k ers’ con serv a tion fund ....
526.01
Due from national and state
banks ....................
3,911.36
C hecks and item s of exch a n g e
902.23
C ash in bank ................................ • 3,186.57
T otal


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

.$ 227,827.97

Capital . stock --------------- ---------- .$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck — ..— .............................
Dem and certifica tes o f dep osit
T im e certifica tes o f d ep osit ....
S avings d ep osits .........................
C ashier’ s ch eck s outstanding..
B ills payable ......
D ep ositors’ gu aran tee fund _
T otal

25,000.00
5,000.00
2,652.23
69,863.61
22.00
97,051.63
8,662.70
1,116.34
18,250.00
209.46

.$ 227,827.97

BU REAU O F BANKING

North Loup

285

North Loup State Bank

-Charter N o. 1157

G. F. C tf. N o. 679

Valley County
M.
W.

D. E arnest ............................ President
H . S chultz ................... .V ice-P resid en t

Paul R .

R obin son .............................. C ashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 235 235.78
431.03
O verd rafts _____ ________________
B on d s, secu rities, ju d gm en ts
689.30
and claim s .........................
5
Other real estate .........................
4 750.00
B an kin g h ou se, furnitu re and
fixtures .........
6 660.00
583.97
B an k ers’ con serv a tion fund ....
Due from national and state
ban ks ........
14 ,418.08
965.94
2
Cash in bank ......................................
400.00
U . S. bonds in cash reserv e_

Capital stock ................... ...........$ 2 0 , 0 0 0.00
Surplus fund ........... ...................
5,000.00
U ndivided profits (n et) .......
8,885.29
Individual d ep osits s u b je ct to
ch eck .....,..................... ..............
81,957.19
143,343.24
T im e certifica tes of dep osit _
11,456.43
S avings d eposits ......_...............
315,48
C ashier’ s ch eck s Outstanding176.47
D ep ositors’ guarantee fund _

T otal ......... ......................... $ 271,134.10

North Platte

T otal ....... ............................$ 271,134.10

McDonald State Bank
G. F . C tf. N o. 273

C h a rter N o. 647
Lincoln County
G.
L.

J . T a y lo r ..........- ........................President
B . D ick _____ ___ ______ .V ice-P resid en t

W . E . Starr .........................................Cashier
A . H . E llett ......... ..................A s s ’ t. Cashier
M . F . R alston ........................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Capital s tock ................... ............ $
L oa n s and d iscou n ts ......... - ....$ 397,509.81
Surplus fund ......
342.15
O verd rafts .................................. —
U ndivided p rofits (n et) ..........
B on d s, s e cu rities, ju d gm en ts
Individual d ep osits s u b je ct to
and claim s ..............................
140,877.18
ch eck .........
O ther assets ........................- ........
13,439.13
O ther real estate ............................
18,640.25 (Demand certifica tes of d ep osit
T im e certifica tes of d ep osit ....
B an k in g hou se, furniture and
[Savings d ep osits .........................
fixtures ....................... - ...........
40,028.31
Certified ch eck s ......
B an k ers’ con serv a tion fund _
1,623.37
C ashier’ s ch eck s outstanding..
D u e from national and state
Due to national and state
banks ........ , ............................—
74,536.82
ban ks _______________- ...........
C hecks and item s of exch a n ge
3,048.16
Cash in bank ...................................
29,060.19 D ep ositors’ gu arantee fund ....
U. S. bonds in cash reserve....
10,000.00
T otal .................................. .$ 729,105.37


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

T otal ....... .......................... $

75,000.00
15,000.00
5,995.65
298,189.92
613.96
185,959.34
97,156.01
5.50
391.90
50,403.12
389.97
729,105.37

286

BU REAU OF BANKING

North Platte

Platte Valley State Bank

C harter N o. 1140
Lincoln

G . F . C tf. N o . 662
County
Operated by Guarantee Fund Commission
S T A T E M E N T O F TUNE 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 791,953.55
O verd rafts ....................
406.50
36,148.54
O ther assets .............
O ther real estate
....................
38,437.55
B an king hou se, furnitu re and
fixtures ......... _............... .........
49,125.00
B an k ers’ con serv a tion fund ....
2,279.55
Due from national and state
ban ks __________________
329.75
C hecks and item s of exch a n ge
483.49
7,028.39
Cash in bank ......

T otal ................................... $ 926,192.32

North Platte

Union S

Capital stock .......................... _...$
Individual d eposits s u b je ct to
ch eck ...............................
D em and certifica tes o f dep osit
T im e certifica tes of d ep osit ....
S avings d eposits ......
Certified ch eck s .............
C ashier’ s ch eck s outstanding..
B ills payable .....................
Bills payable .................
D ep ositors’ guarantee fund _
O ther liabilities ........................

100,000.00
150,921.65
25,689.22
187,449.47
203*759.04
17.65
1,100.11
6,400.00
194,011.76
843.42
6,002.00

T otal ................................... $ 926,192.32

te Bank

C harter N o. 1521

G. F . C tf. N o. 1043

Lincoln County
T . O. Sw enson
C. W . S w enson

........................P resident
......... V ice-P resid en t
STATEM ENT (

O scar N .

Y o u n g ......... ..................... Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 161,000.79
O verd rafts .............
838.27
B on d s, s ecu rities, ju d gm en ts
and claim s ......
368.46
O ther real estate .........................
15,765.78
B an kin g h ou se, furnitu re and
fixtures .................
...
8,714.21
B an kers’ con serv a tion fund ....
345.12
Due from national and state
banks ......
.'.
16,611.38
C hecks and item s of exchange
4,185.45
Cash in bank ........
6,445.33
T otal


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

.....$ 214,274.79

Capital stock ...............................$
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ...............................
Dem and certifica tes of d eposit
Tim e certifica tes of dep osit ....
S avings d ep osits .......................
C ashier’ s ch eck s outstanding..
Bills payable ................................
D ep ositors’ gu arantee fund _

T otal

50,000.00
3,302.16
93,133.92
543.04
37,579.23
22,409.79
832.70
6,400.00
73.95

.$ 214,274.79

287

BU REAU O F BANK ING

Oak

Scroggin & Company Bank

C harter N o.

G. F . C tf. N o. 606

1080

Nuckolls County
B . F . S crog gin ................ .............. P resid ent
A . C. S crog gin ___________ V ice-P resid en t

J. L .
S crog gin ............. ........... . ..Cashier
G. G. S crog gin .................... A s s ’t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts — ...........$ 154,890.35
B on d s, s ecu rities, ju d gm en ts
and claim s ........................... —
3,200.00
B an k in g hou se, furnitu re and
5,000.00
fixtures ......- .......
B an k ers’ con serv a tion fund ....
248.30
D ue from national and state
banks .......................— ........ .
25,041.03
G ash in bank ..............
2,981.92
..$ 191,361.60

T otal

Oakdale

Capital stock ......... ........ ............ .$
Surplus fund _____
U ndivided p rofits (n et) ......_...
Individual d ep osits s u b je ct to
ch eck ................................. - ....
Dem and certifica tes of dep osit
T im e certifica tes of dep osit —
D ep ositors’ guarantee fund _

25,000.00
10,000.00
2,727.87
113,673.08
7,716.78
32,138.93
104.94

T otal ....... ..................... ......$ 191,361.60

Antelope County Bank

C h a rter N o. 291

G. F . C tf. N o. 116

Antelope County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ................$ 113,558.77
O verd rafts ......... - .........- .....- .........
3,884.14
B on d s, secu rities, ju d gm en ts
and claim s ................................
6,440.00
‘O th er assets ------ ---- - ..................
3,565.95
•Other real estate .......................
48,592.84
B an k in g h ou se, furnitu re and
fixtures ........... ............ - ...........
5,800.00
B a n k ers’ con serv a tion fund ....
471.55
Due from national and state
banks ...................- ....................
8,234.54
C hecks and item s of exch a n ge
143.00
C ash in bank --------------------------1,196.39

Capital stock ............................... .$ 18,000.00
Surplus fund .........
1,858.51
Ind ivid u al d ep osits s u b je ct to
ch eck .....................................
30,457.81
Dem and certifica tes of dep osit
4,487.47
T im e certifica tes o f d eposit
.... 131,952.31
B ills payable ................................
5,000.00
D ep ositors’ guarantee fund
....
131.08

T ota l


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

.$ 191,887.18

T otal

.$ 191,887.18

288

BU REAU O F BANKING

Oakdale

The Oakdale Bank

Charter N o. 788

G. F . C tf. N o. 362'

Antelope County
Operated by Guarantee Fund Commission
S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans' and d iscou n ts ................$ 164,618.41
O verd rafts ...................._.....- ..........
1.70
B on d s, secu rities, ju d gm en ts
and claim s .............
9,639.11
O ther assets ....................................
14,798.86
O ther real estate
...............
86,291.31
B an k in g h ou se, furnitu re and
9,000.00
fixtures ......
B an k ers’ con serv a tion fund ....
736.51
Due from national and state
banks ......................
26,282.64
C hecks and item s of exchange
31.40
Cash in bank .............
5,332.59

Capital stock ................................$ 30,000.00
Individual d ep osits s u b je ct to
78,384.27’
ch eck _.................. ......................
T im e certifica tes o f dep osit __
193,379.29'
D e p ositors’ guarantee fund ....
199.02'
O ther liabilities .............................
14,769.95

T otal

........................ .......$ 316,732.53

Oakland

T otal

................................$ 316,732.53

Oakland State Bank

C harter N o. 1095

G. F . C tf. N o. 619

Burt County
Geo. W . M inier, J r .........................President
E d. S. T oxw ord ................ .V ice-P resid en t

W . E. M inier ....................................... Cashier
L . E . M inier .........................A s s ’ t. C ash ier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 351,782.62
O verd ra fts .......................................
412.68
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
32,109.55
O ther assets ......
1,050.00
O ther real estate ........................
18,241.76
B an k in g h ou se, furnitu re and
fixtures ................ 1..................
7,662.50
B an k ers’ con serv a tion fund ....
855.24
Due from national and state
banks ......................................
66,894.01
C hecks and item s of exchange
887.51
Cash in bank ................................
6,121.49
O ther cash resou rces .................
8.10

Capital stock ................................$ 25,000.00
Surplus fund ....................
10,000.00
U ndivided profits (n et) ......
6,119.56
Individual d ep osits su b ject to
ch eck .........................................
144,046.52
Dem and certifica tes of d ep osit
836.45
Tim e certifica tes of dep osit .... 256,709.23
30,547.99
S avings d ep osits .........................
Due to national and state
banks ...................................
12,506.25
D ep ositors’ guarantee fund ....
259.46

T ota l


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

.$ 486,025.46

T otal

.$ 486,025.46.

BU REAU OF BANKING

Obert

289

Farmers State Bank

C harter N o. 1046

G. F . C tf. N o. 576

Cedar C ounty
W . S. W eston ...................... .......President
Carl A . P edersen ................ .V ice-P resid en t

L u d v ig N edergaard ............................Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ..................... 168,622.47
O verd rafts ...............................
61.60
O ther real estate .........................
5,000.00
B an kin g h ou se, furnitu re and
fixtures .....................................
3,650.00
B an kers’ con serv a tion fund ....
589.56
Due from national and state
banks .........................................
13,192.21
Checks and item s of exchange
97.42
Cash in bank ................................
4,815.49
U . S. bonds in ca sh reserve....
5,000.00
T ota l ....... ........................... $ 201,028.75

Oconto

Capital stock
..$
Surplus fund ................................
U ndivided p rofits (net) .........
Individual d eposits s u b je ct to
ch eck _.............
Tim e certifica tes of d eposit ....
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

Total

10, 000.00
16,000.00
1,035.61
64,161.76
109,452,20
247.55
131.63

..$ 201,028.75

Oconto State Bank

C harter N o. 722

G. F . C tf. N o. 316

C uster C ounty
G. E. S tu ckey ................................President
Jam es J. B oblits ................. V ice-P resid en t

Geo, M a ry, J r ...........................

..Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... ......$ 148,732.64
O verd rafts .......................................
366.55
B on d s, secu rities, ju d gm en ts
and claim s ..............................
18,100.00
O ther real estate ......_................
8,847.08
B an kin g h ou se, furnitu re and
fixtures .....................................
7,631.50
B an k ers’ con serv a tion fund ....
512.52
D ue from national and state

Capital stock ................................$ 25,000.00
5,000.00
Surplus fund ................................
U ndivided profits (net) ..........
1,315.71
Individual deposits su b ject to
ch eck ..........................................
69,973.51
Dem and certifica tes of dep osit
1.00
Tim e certifica tes of d ep osit
.... 119,903.25
D ep ositors’ guarantee fund
....
132.11

banks

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

C hecks and item s o f exchange
Cash in bank ........

32,771.18
36.96
4,327.15

T otal ................................. $ 221,325.58

11


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

T otal ................................. $ 221,325.58

BU REAU O F BANK ING

290

The Farmers Bank

Oconto
Charter N o. 866
Custer

G. F . Ctf. N o. 419
County

T.

F. S hort
...... .............. P resid ent
F rank D evine ....................... V ice-P res id en t

J.
M.

V . D evine ....................... «—
Cashier
D . B erry ........................A s s t. Cashier

S T A T E M E N T OF TUNE 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 200,531.21
O verd ra fts ................................... 554.95
B on d s, secu rities, ju d gm en ts
and claim s .............- .................
44,663.70
O ther real estate .........................
2,387.68
B an kin g h ou se, furnitu re and
fixtures ....................- ...............
2,279.58
B an k ers’ con serv a tion fund ....
682.07
Due from national and state
banks ......................................... . 58,295.65
Checks and item s of exch a n ge
917.90
Cash in bank .............- ............ —.
6,348.24
T ota l - ......................- .........■$ 316,660.98

Capital stock .................................$
Surplus fund ......- ........................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ....................- ...................
Tim e certifica tes of dep osit ....
D ep ositors’ guarantee fund ...;

10,000.00
17,000.00
1,535.49
109,758.67
178,154.42
212.40

T ota l ................... --...............$ 316,660.98

Hinds State Bank

Odell

G. F . C tf. N o. 342

C harter N o. 762
Gage C ounty
Chas. N .

.....P resid ent

H inds .................

Chas. N . H inds ... ...............................Cashier
E. G. W ilson ........ ............... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .................... - ............
B on d s, secu rities, ju d gm en ts
and claim s ................................
O th e- real estate ........................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ............. ........ ..... —
U . S. bon d s in cash reserv e—
T otal


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

118,822.70
568.18
15,898.55
5.000.

2. 000.

350.08

Capital stock ............................... $
U ndivided p rofits (net) ..........
Individual d eposits s u b je ct to
ch eck ......................................
Dem
00 and certifica tes 6f d eposit
Tim e certifica tes of d ep osit ....
R
00e-d iscou n ts ......................
D ep ositors’ gu aran tee fund ....

20,000.00
1,375.18
42,560.54
2,033.74
86,375.90
5,000.00
83.40

7,951.17
66.63
4 ,0 2 1 .4 5

2,750.00

.$ 157,428.76

Total

.$ 157,428.76

BU REAU O F BANKING

O d e ll

291

State Bank of Odell

C harter N o. 973

G. F . C tf. N o. 513

Gage County
T . W . Stanosheck .......................... P resident
E rnst L oem ker ....................V ice-P resid en t

W . T. S tanosheck — .......... ..............Cashier
L . R . V ejra ska .....................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESOU R CE S

L IA B IL IT IE S

L oans and d iscou n ts ........... .$ 234. 060.86
O verd rafts ..................................
373.69
B on d s, secu rities, ju d gm en ts
and claim s ...............................
76,699.97
B an king h ou se, furniture and
fixtures .....................................
,600.00
B an kers’ con serva tion fund ....
840.17
Due from national and state
banks .........................................
,948.46
Cash in bank ............ ...................
,064.88
U . S. bonds in cash reserve....
,755.18

Capital stock ...............................$
15,000.00
Surplus fund ............. ..................
10, 000.00
Undivided profits (net)
2,792.95
Individual deposits su b ject to
ch eck .......................... ............
134,925.06
Time_ certifica tes of d eposit .... 229,407.70
C ashier’ s ch ecks O utstanding3,973.70
D ep ositors’ gu aran tee fund ....
243.80

T otal ................................... $ 396,343.21

T otal ................................... $ 396,343.21

The Citizens Bank

O g a la lla
C harter N o. 947

G. F . C tf. N o. 488

Keith County
C. L. C ontrym an ............................ President
J . H . O rr ................ .............V ice-P resid en t

F. J. Sibal ...
H . J. Geisert

— ....................Cashier
.......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... _....$ 651,418.90
B on d s, secu rities, ju d gm en ts
3,196.25
and claim s .............
O ther assets .................................
728.93
O ther real estate ..................._...
22,964.52
B an king h ou se, furnitu re and
fixtures ................ .....:..............
24,973.00
B an k ers’ con serv a tion fund ....
1,602.43
Due from national and state
banks .....................................
52,871.05
Checks and item s of exchange
2.98
Cash in bank ....................
6,640.30
U . S. bonds in cash reserve....
1,750.00

Capital stock ............ ..................$ 50,000.00
Surplus fund .............
10, 000.00
Individual deposits su b ject to
ch eck ......................................... 222,625.03
Tim e certifica tes of d eposit .... 403,972.45
S avings d ep osits ......
19,185.07
C ashier’ s ch ecks outstanding..
9,640.51
Due to national and state
banks ....................
1,470.81
B ills payable .................................
48,800.00
D ep ositors’ guarantee fund ....
454.49

T otal


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

.$ 766,148.36

Total

.$ 766,148 „36

BU REAU O F BANKING

2 9 2

Farmers State Bank

O g a la lla

G. F . C tf. N o. 1059

C harter N o. 1537
Keith County
E . A . Sm ith .................
C. R . Sm ith ...............
Jens Sillasen ...............
F . J. Feltz ..................

..........President
.V ice-P resid en t
...V ice-President
..V ice-P resid en t

John M . Creamer .......................-......Cashier
E d. P roch a sk a ..............-........A ss t. Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 269,364.55
1,180.81
O verd rafts ....... ..........- ...................
B on d s, secu rities, ju d gm en ts
2,708.15
and claim s ............................
11,983.10
O ther real estate .......................
B an king hou se, furnitu re and
17,861.28
fixtures ............. -......................
671.42
B an kers’ con serv a tion fund ....
Due from national and state
49,623.91
34.44
C hecks and item s of exchange
11,369.03
Cash in ban k ...............................
T otal ................................. $ 364,796.69

Capital stock ......... - .......... ......... $
Surpius fund ......................-....
U ndivided p rofits (n et) ..........
Individual d eposits su b je ct to
ch eck ............. ..................;.......
T im e certifica tes of dep osit ....
S avings d ep osits ........................
C ertified ch eck s ....................v.......
Cashier’ s checks OutstandingDepositors’ guarantee fund ....

35,000.00
3,500.00
2,548.76
138,425.21
163,674.77
20,986.79
400.00
16.50
244.66

T otal ................................. $ 364,796.69

The Home Bank

O h io w a

G. F . C tf. N o. 494

Charter N o. 953
Fillmore County
...........President
.V ice-P resid en t

F . J. Sieber
M . Sieber ...

E . J. Lynn .......
J. E. Sieber .......
F . J. Sieher, Jr.

.............. Cashier
..Ass’ t. Cashier
.A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
Loans and d iscou n ts ............... i
O verd rafts .......- .........v...................
B onds, secu rities, ju d gm en ts
and claim s ..............................
O ther real estate ......... -..............
B an king h ou se, furniture and
fixtures ........................ ............
B an kers’ con serv a tion fund ....
Due from national and state
hanks .........................................
Cheeks and item s of exchange
Cash in bank ................................
U . S. bonds in cash reserve....

502,876.74
230.14
116,725.40
26,441.12
1 0 , 000.00

1,982.52

25,000.00
17,500.00
486.74
130,181.25
597,112.44
924.44
519.14

81,506.97
1,353.51
10,607.61
2 0 , 000.00

T otal .............- .................... $ 771,724.01


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

Capital s tock ............................... ‘
Surplus fund ................................
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
ch eck ................................;........
T im e certifica tes of dep osit ....
C ashier’ s ch ecks O utstandingD ep ositors’ guarantee fund —

Total

771,724.01

BU REAU O F BANKING

293

Nebraska State Bank

O h io w a
C harter N o. 1247

G. F . C tf. N o. 769

Fillmore County
John

F.

Steele

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

..President

C. H . B rinkm ann .............................Cashier
W . H . W eiss .......................... A s s ’t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 104,774.46
O verd rafts ......
921.02
O ther real estate ......
14,000.00
B an kin g hou se, furnitu re and
fixtures .................... _...............
5,000.00
B an kers’ con serv a tion fund __
362.34
Due from national and state
banks .........................................
7,523.48
C hecks and item s of exch a n ge
206.39
Cash in bank ..................................
5,881.49
U . S. bonds in cash reserve....
4,000.00

Capital stock ......_................... ....$
Surplus fund ......
U ndivided p rofits (n et) ......
Individual d eposits su b ject to
ch eck .............
Dem and certifica tes of dep osit
T im e certifica tes o f d eposit
_
S avings d eposits .........................
D ep ositors’ guarantee fund ....

T otal ................................$ 142,669.18

15,000.00
2,500.00
671.90
30,402.15
5.00
89,031.83
4,962.57
95.73

T otal ................................. $ 142,669.18

South Omaha Savings Bank

O m aha
C harter N o. 381

G. F . C tf. N o. 144

Douglas County
F.
F.

E . H o v e y .................................. P resid en t
A . C ressey ___________ V ice-P resid en t

F.

J.

K ocarn ik ____ _________ ______ Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts .............. $ 630,874.13
B on d s, secu rities, ju d gm en ts
and claim s ................................
330,325.38
O ther real estate ........................
11.361.40
B an kin g h ou se, furnitu re and
fixtures ......................... ..........
7,307.69
B an kers’ con serv a tion fund ....
2,410.83
Due from national and state
banks .......... .‘... ..........................
78.272.41
C ash in bank .................... ...........
9,269.02

Capital stock ............................... $ 25,000.00
Surplus fund .......
25,000.00
U ndivided profits (n et) ...........
14,030.12
Dem and certifica tes of deposit
270.00
T im e certifica tes o f deposit ....
25,084.52
S avings deposits ......................... 979,811.70
D ep ositors’ guarantee fund _
624.52

T otal


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

.$1,069,820.86

T otal

.$1,069,820.86

BU REAU O F BANKING

2 9 4

Bank of Benson

Om aha

G. F .

C harter N o. 803

C tf. N o. 374.

Douglas County
Operated by Guarantee Fund Commission
S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............ —$ 271,163.52
O verd rafts ........................
158.83
B on d s, secu rities, ju d gm en ts
and claim s ......
26,696.06
O ther assets ..................................
133,729.19
O ther real estate .........................
103,723.32
B an king hou se, furnitu re and
fixtures ......- ......-......................
43,856.45
B an kers’ con serv a tion fund ....
2,446.29
Due from national and state
banks .........................................
25,659.33
C hecks and item s of exchange
320.57
Cash in bank ............. - .................
13,647.27
O ther cash resou rces .......
900.00

Capital s tock ................................ $ 50,000.00
Surplus fund ......... - ....................
4,776.62:
Individual d ep osits s u b je ct to
ch eck ........................... - ....... 127,177.21
Dem and certifica tes of dep osit
67,498.79
T im e certifica tes of d eposit .... 363,281.02
C ashier’ s ch eck s outstanding..
8,894.36
Due to national and state
banks ........................... - .....
95.30.
D ep ositors’ guarantee fund ....
451.03
126.50
O ther liabilities ......- ............ —.....

T ota l ....... ...................- ......$ 622,300.83

T otal .................... - .............$ 622,300.83-

Bank of Florence

O m aha

G. F . C tf. N o . 380

Charter No. 812
Douglas County
T om R . R iley ................................. P resid ent
B . M . R iley .........................V ice-P resid en t

H.

T.

B risbin

............. - ....................C ash ier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $
O verd rafts ............. - ..... - .................
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
O ther assets ................. ................
O ther real estate ....................
B an k in g h ou se, furnitu re and
fixtures ...........................- ........
B an kers’ con serv a tion fund ....
Due from national and state
banks ....................- ............ - ....
C hecks and item s of exchange
Cash in bank ................................
U . S. bon d s in cash reserve....
O ther cash resou rces .................
T otal


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

388,155.61
712.45
49,293.00
5,197.27
4.400.00
3.780.00
1,349.51

Capital stock ....... ..... ..................$
Surplus fund ................................
Individual d ep osits s u b ject to
ch eck .................................
Tim e certifica tes of dep osit ....
S avings d ep osits ......- ...................
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund —

25,000.00'
5,000.00
244,520.43
202,184.69
42,122.40
3,344.74
334.63

51,757.89
741.44
7,079.72
10, 000.00

40.00
522,506.89

T otal ..................................$ 522,506.89*

BU REAU O F BANKING

O m aha

2 9 5

Farmers & Merchants Bank

C harter N o. 990

G. F . C tf. N o. 523

Douglas County
B ert C. R anz ......
C . F . R oe ....................

P r e s id e n t
V ice-P resid en t

Wm.

F.

H inz

...................................Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 929,656.59
O verdrafts ........................
2,528.31
O ther real estate ......_.................
16,930.11
B an king h ou se, furniture and
6 , 000.00
fixtures ......................................
B an kers’ con serv a tion fund ....
2,655.10
Due from national and s t a t e
banks ...............................
305,976.35
Checks and item s of exchange
1,287.20
37,790.51
Cash in bank ________

Capital stock ....... ........................$ 25,000.00
Surplus fund ......
25,000.00
U ndivided profits (n et) ..........
10,169.07
Individual d ep osits su b ject to
493,055.81
ch eck ......................
Tim e certifica tes of d eposit
.... 186,793.90
S avings d eposits .......................
556,357.66
Certified ch eck s ........
225.00
C ashier’ s ch eck s outstanding..
5,385.19
D ep ositors’ gu aran tee fund
....
837.54

T otal ..................................$1,302,824.17

T otal ................................. $1,302,824.17

State Bank of Omaha

O m aha
C harter N o . 1173

G. F . C tf. N o. 695

Douglas County
A lb ert L. Schantz .............
P resident
D . C. E ldredge ......
.V ice-P resid en t

STATEMENT C

A . A . N elson .—..............
„..C a sh ier
W . L . Idell ...............................A s s ’ t. Cashier
JU N E

30,

1927

RESOURCES

L IA B IL IT IE S

L oa n s and d iscou n ts ......
$4,478,892.10
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
865,983.93
•Other real estate ......................... 152,205.58
B an kin g h ou se, furniture and
fixtures ..............................._....
30,000.00
B an k ers’ con serv a tion fund _
14,015.99
Due from national and state
banks .........................................
682,623.74
C hecks and item s of exch a n ge
53,672.45
C ash in bank ......
59,133.34
U . S. bonds in cash reserv e_ 452,000.00

Capital stock .............. .................$ 300,000.00
Surplus fund ......
200,000.00
U ndivided profits (n et) ..........
23,719.90
Individual d eposits s u b je ct to
ch eck ......................................... 2,899,264.91
Tim e certifica tes of d ep osit .... 1,486,388.04
Certified ch eck s ............................
7,288.35
C ashier’ s ch ecks outstanding..
103,576.45
Due to national and state

T otal


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

.$6,788,527.13

banks

.................................................. 1 ,7 6 3 ,7 3 6 .0 9

D ep ositors’ guarantee fund ....
T otal

4,553.39

.$6,788,527.13

BU REAU OF BANKING

296

South Omaha State Bank

O m aha

G. F . Ctf. N o. 1116

C harter N o. 1216
Douglas County
John S. M cG urk ............................ President
F . L . V la ch .................... - ......V ice-P res id en t

..Cashier

F. L . V la ch .....

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ......- .......$1,088,845.57
B on d s, secu rities, ju d gm en ts
and claim s ................................
317,415.90
O ther real estate ........................
39,260.00
B an kin g h ou se, furniture and
fixtures .....
35,000.00
B an k ers’ con serv a tion fund ....
4,210.21
Due from national and state
banks ..................................... —- 133,032.71
Checks and item s o f exch a n ge
59,982.24
Cash in bank ..........
14,930.79
U . S. bonds in cash reserve....
38,550.00

Capital stock .......................... —•$ 100,000.00'
U ndivided p rofits (n et) ..........
14,731.39
Individual d eposits s u b je ct to
ch eck ................ - .....- ..... , 1,091,045.49
Tim e certifica tes of d eposit .... 95,412.87
2,055.01
C ertified ch eck s ..........................
C ashier’ s ch eck s outstanding..
28,660.62
Due to national and state
banks .........................................
298,409.63
B ills payable ......_............
100,000.00
D ep ositors’ guarantee fund ....
912.41

T otal ............

$1,731,227.42

.

R ESO U R CE S

T otal .................................. .$1,731,227.42

Union State Bank

Om aha

G. F . C tf. N o. 921

C harter N o. 1399
Douglas County

F . C. H ora cek ............._.................. P resid en t E m il K a v alec ........ ....................... --.....Cashier
Jacob H ora cek .....................V ice-P res id en t E. J. H ora cek ................... —-A ss t. Cashier
S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ................$1,514,993.72
B on d s, secu rities, ju d gm en ts
and claim s ......- ......................
550,263.77
O ther real estate .........................
3,992.97
B an kin g h ou se, furnitu re and
fixtures .....................................
118,000.00
B an kers’ con serv a tion fund ....
3,315.27
Due from national and state
banks .............- ................... - ....
269,682.36
Checks and item s of exch a n ge
3,414.81
Cash in bank ......- ........................
33,678.89
U . S. bonds in cash reserve....
132,638.63

Capital stock ................................$ 200,000.00
40,000.00'
Surplus fund ................................
U ndivided p rofits (net)_ ..........
30,494.19
Individual d ep osits su b ject to
ch eck .............- ....,.................... 1,490,034.43
Tim e certifica tes of d ep osit .... 344,869.44
Certified ch ecks ..........................
1,815.31
C ashier’ s ch ecks outstanding..
52,160.79
Due to national and state
banks ................. -......................
D ep ositors’ guarantee fund ....
1,434.83

T ota l ...................


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

$2,629,980.42

T otal ........................... „...$2,629,980.42

BU REAU O F BANKING

297

Nebraska State Bank

O ’ N e ill
C harter N o. 895

G. F . C tf. N o. 444

Holt County
S.
S. W elp ton .............................President
J . A . D on ohoe .................... .V ice-P resid en t

Jas. F. O ’D onnell ............ .............. Cashier
P. J. O’ Donnell .................... A s s ’ t. Cashier

S T A T E M E N T O F TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 361,269.94
•Overdrafts .......................................
863.86
B on d s, secu rities, ju d gm en ts
and claim s ...........................
9,433.95
O ther real estate .........................
23,692.02
B an king h ou se, furnitu re and
fixtures ....................
5,000.00
B an kers’ con serv a tion fund _
1,017.41
Due from national and state
banks ........................
58,257.64
•Checks and item s of exch a n ge
1,231.77
■Cash in bank ................................
12,316.04
U . S. bonds in cash reserv e_
17,650.00

Capital stock ................................$ 25,000.00
Surplus fund .................
5,000.00
U ndivided p rofits (n et) ..........
1,594.23
Individual d eposits su b ject to
125,890.02
ch eck .................... - ___
Dem and certifica tes of dep osit
12,744.84
T im e certifica tes o f d eposit .... 306,739.30
Due to national and state
banks .................
13,457.82
D ep ositors’ guarantee fund
306.42

T otal ................................... $ 490,732.63

T otal ................................... $ 490,732.63

Exchange Bank

Ong

G. F .

Charter N o. 787

C tf. No. 361

Clay County
M . B olton ______________________ P resid en t
A d olp h Luers ........................V ice-P resid en t

A d olp h

Luers

...... ................ .............Cashier

S T A T E M E N T O F TUNE 30, 1927
R E SO U R C E S
Loans and d iscou n ts ... ............$ 127,018.30
O verd rafts .........
189.97
B on d s, s ecu rities, ju d gm en ts
and claim s .....
6 , 000.00
O ther assets ..................................
1,346.50
•Other real estate ......- ..... - .........
26,467.11
B an king h ou se, furniture and
fixtures ............. ...... - ...............
6,465.00
B an kers’ con serv a tion fund _
539.17
Due from national and state
banks .............- .........................
18,222.74
C h e ck s and item s o f exch a n g e
5.66
Cash in bank ..................................
5,913.77
O ther cash resou rces ________
5.25
T ota l ....... .......................... .$ 192,173.47


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

L IA B IL IT IE S
Capital stock ....... ....................... $
Surplus fund ........
Individual deposits s u b je ct to
ch eck ........................
Dem and certifica tes of dep osit
Tim e certifica tes o f dep osit _
S avings d eposits .........................
C ashier’ s ch eck s outstanding..
B ills payable ......
D ep ositors’ guarantee fund _

25,000.00
4,100.00
36,438.17
258.68
118,585.61
2,620.80
1,060.31
4,000.00
109.90

T otal ....... ........................... $ 192,173.47

BU REAU O F BANK ING

298

Bank o f Commerce

Ong

G. F . C tf. N o. 646

C harter N o. 1124
Clay

County

Ed. W e ste rin g
....................President
A n ton Thu rin ........................V ice-P resid en t

-...Cashier
Joseph A n d erson .................... O. H . O lson ....................... ....Ass’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ......... .....$ 229,783.64
O verd rafts .......................................
437.37
B on d s, s ecu rities, ju d gm en ts
and claim s ......
5,500.00
O ther assets ...............................—
994.31
O ther real estate
...... ... ......
11,000.00
B an king h ou se, furniture and
fixtures .....................................
4,000.00
B an kers’ con serv a tion fund ....
688.48
Due from national and state
banks .................................. - ....
5,438.54
C hecks and item s of exchange
121.60
2,821.00
Cash in bank ............ ..........- ......
T otal .................................$ 260,784.94

Capital stock ................................$
Surplus fund ....................... .......
Individual d eposits s u b je ct to
ch eck ........................................
Dem and certifica tes of d ep osit
S avings d ep osits .........................
C ashier’ s ch ecks outstanding..
B ills payable ...........................—
D ep ositors’ guarantee fund ....

20 , 000.00
5,000.00
33,677.76
164,264.60
17,379.31
279.68
2 0 , 0 0 0 .00

183.59

T ota l ............................. 260,784.94

Citizens i ite Bank

O rch ard

G. F . C tf. N o. 411

C harter N o. 856
Antelope County
T . A . D ray ton ............. ..................P resid ent
John A um an ____________ V ice-P resid en t
STATEM ENT (

W . S. B ow en ....................... .............. Cashier
H . R . B row n in g ............... — A ss’ t. Cashier
J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 329,613.94
O verd rafts .............
809.59
O ther real estate ......
9,000.00
B an k in g h ou se, furnitu re and
fixtures ...........................
11,206.69
B an kers’ con serv a tion fund ....
748.22
Due from national and state
banks ........
117,688.49
C hecks and item s of exchange
1,068.65
Cash in bank ................................
9,983.31

Capital stock ...............................$ 30,000.00
Surplus fund .............
10,000.00
U ndivided profits (n et) ..........
8,751.80
Individual d eposits su b ject to
ch eck .............- ..........................
206,704.64
T im e certifica tes of dep osit .... 209,762.16
Due to national and state
banks ...............................- ........
14,604.58
D ep ositors’ gu aran tee fund —
295.71

T otal


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

.$ 480,118.89

T otal

.$ 480,118.89

BU REAU O F BANKING

Nebraska

O rd
C harter N o.

2 9 9

Bank

1169

G.

F.

C tf. N o. 691

Valley County
J. C.
•C. J.

R ogers ...........
President
M orten sen ............. —..V ice-P resid en t
STATEM ENT C

C. J. M orten sen .................
Cashier
E . R . F a fe it a ............. .............. A s s ’t. Cashier
JU N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ................$ 558,230.89
O verd ra fts ...................................
1,836.70
B on d s, s ecu rities, ju d gm en ts
and claim s ____________
3,000.00
O ther real estate ......
31,457.65
B an king hou se, furniture and
fixtures .....................................
17,500.00
1,237.47
B an k ers’ con serv a tion fund __
Due from national and state
banks ......................................
119,196.10
Checks and item s o f exchange
4,212.17
C a sh in bank ......
3,638.36
U . S. bonds in cash reserve....
3,200.00

Capital stock ............................... $ 35,000.00
Surplus fund ...............
15,000.00
U ndivided profits (n et) ..........
1,006.16
3,500.00
D ividen ds unpaid .........
Individual d ep osits s u b je ct to
ch eck ...................................
177,212.72
Dem and certifica tes of d eposit
15,146.54
T im e certifica tes o f d ep osit _
483,208.56
C ashier’ s ch ecks outstanding..
5,415.07
L etters of credit outstanding..
500.00
Due to national and state
banks .........................................
7,177.66
D ep ositors’ gu aran tee fund ....
342.63

T ota l ....... ............ .............. 4

O rd

743,509.34

Stai

T otal ................................... $ 743,509.34

Bank

C h a rter N o. 1593

G. F . C tf. N o. 1117

Valley County
J . C. M eese
F . J. Stara

......
P resident
______________ V ice-P resid en t
STATEM ENT C

John J. A llen ......
Cashier
J os. M . K okes ........................A s s ’ t. Cashier
Geo. Satterfield ....... .........-..A s s ’ t. Cashier
JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________.$ 340,781.50
Capital stock ................ .............. $ 40,000.00
•Overdrafts ..........
1,181.65
Surplus fund ......
3,000.00
O ther assets ............ - .................
443.00
868.10
U ndivided p rofits (n et) .......
O ther real estate .............- .........
29,147.15
D ividends unpaid ......- .....- ..........
2,000.00
Individual d eposits s u b je ct to
B an kin g hou se, furnitu re and
fixtures ....... .........- ................—
20 , 000.00
ch eck .........................................
139,729.21
B an k ers’ con serv a tion fund _
1,270.60
T im e certifica tes o f dep osit .... 252,938.84
Due from national and state
S avings d ep osits ..........................
8,774.38
banks ......_..............................
51,314.90
Cashier’ s ch eck s outstanding..
3,158.41
C h e ck s and item s o f exch a n ge
1,566.92
D ep ositors’ gu aran tee fund _
791.98
C a sh in bank ...........................
5,555.20
T otal


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

.$ 451,260.92

T otal

4

451,260.92

BU REA U O F BANKING

300

Bank of Orleans

O r le a n s
C harter N o. 311

G. F . Ctf. N o. 118

Harlan County
E.
S. K irtland ..............................P resid ent
Susan K . Sm ith ............. - ......V ice-P resid en t

Grant O. Q. Johnson ................. Cashier
M ildred H . Johnson .......... A s s ’t. Cashier
G race C. J ohnson ................. A s s ’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ................$ 232,869.75
2,504.52
O verd rafts ............ - ............ B on d s, secu rities, ju d gm en ts
1.500.00
and claim s
- ........... - ..........
1,099.58
T a x certifica tes ............. - .............
1,029.88
O ther assets .................................
23,634.49
O ther real estate
........ —
B an kin g h ou se, furniture and
8.249.00
fixtures ........................... - ........
806.88
B an kers’ con serv a tion fund ....
Due from national and state
19,488.21
banks .................................. - ....
500.91
C hecks and item s of exchange
5,078.41
Cash in bank .............- .........- ......
1 , 000.00
U . S. bonds in cash reserv e—

Capital s tock ....... ........................$
Surplus fund ................................
Individual d eposits s u b je ct to
ch eck ...............................- .......
T im e certifica tes of dep osit ....
S avings d ep osits ..........................
C ashier’ s ch eck s outstanding..
Due to national and state
ban ks ........................... - ...........
D ep ositors’ guarantee fund ....

104,906.42
153,240.08
6,293.19
317.08
2,663.05
341.81

.$ 297,761.63

T otal

T ota l .............- .................... $ 297,761.63

25,000.00
5,000.00

State Bank of Orleans

O r le a n s

G. F . Ctf. N o. 786

C harter N o. 1264
Harlan County
G.

E.

H all ___________ __________ P resid ent

Wm.

H.

M u rra y ............. - .................Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
Loans and d iscou n ts ............... $
O verd rafts ................. ............. -......
B on d s, s ecu rities, ju d gm en ts
and claim s ......- ............ — ....
O ther real estate .........................
B an king h ou se, furnitu re and
fixtures ......- .................. -.........
B an kers’ con serv a tion fund ....
Due from national and state
banks ......- ..........—............ - ....
C hecks and item s of exchange
Cash in bank ............. - ..... - .....—

195,186.04
89.52
299.72
23,112.05
8 , 000.00

671.49
40,512.99
1,426.58
2,575.34

T ota l ........... .......... ............. $ 271,873.73


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

Capital stock ...............................$
Surplus fund ........................... .
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........................................
T im e certifica tes of d ep osit ....
Due to national and state
banks ................... ......... .........—
D ep ositors’ guarantee fund ....
R eserv ed for d ep reciation .......

T otal

25,000.00
5,000.00
1,589.61
112,652.01
116,806.77
8,507.74
177.60
2,140.00

271,873.73

301

BU REAU O F BANKING

Osceola Bank

O s c e o la

G. F . C tf. N o. 312

C harter N o. 718
Polk County
Operated by Guarantee Fund Commission
S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 234,345.13
B on d s, s ecu rities, ju d gm en ts
818.00
and claim s .................... ...... .
19,894.79
O ther assets ......... — ....................
O ther real estate .........................
44,716.71
B an kin g hou se, furnitu re and
12, 0 00.00
fixtures ....... ............... .............
745.12
B an kers’ con serv a tion fund ....
D ue from national and state
6,076.53
banks .........................................
519.27
Cash in bank ...............................

Capital stock .................................$ 37,500.00
Individual d ep osits su b ject to
ch eck ....................
55,369.03
T im e certifica tes of d eposit
.... 201,607.93
Savings d ep osits .........................
9,894.70
C ashier’ s ch ecks outstanding..
434.00
Due to national and state
banks ......- ................................
2,500.00
B ills payable ................................
6,350.00
D ep ositors’ guarantee fund
....
209.89
O ther liabilities ............................
5,250.00

T ota l ................ .......... ...... 4

T otal .................................. .$ 319,115.55

319,115.55

Farmers State Bank

O s c e o la
C harter N o. 1393

G. F .

*

C tf. N o. 915

Polk County
F.
M.

E . M errick .................. - ......... P resid ent
H orst _______ _________ .V ice-P resid en t

P . W . H orst
L . M . M errick

......................... Cashier
..........A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
191,373.12
94.99
11.170.00
12.935.00
388.73
50,372.10
17.77
4,455.51
4.650.00

T otal ............. - __________ $ 275,457.22


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

Capital stock .............................. .$ 30,000.00
Surplus fund ..............................—
2,000.00
160.98
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck ......- ...........................- ....
129,546.89
T im e certifica tes o f dep osit
.... 104,888.59
S avings d ep osits — ........ 8,352.35
C ashier’ s ch ecks outstanding..
395.39
D ep ositors’ guarantee fund
—
113.02
.

L oans and d iscou n ts ......- ....... $
O verd rafts ......- ..... - ............ - .........
O ther real estate .........................
B an kin g h ou se, furnitu re and
fixtures ........................... - .......
B an k ers’ con serv a tion fund —
Due from national and state
banks ........................... - ...........
Checks and item s of exchange
Cash in bank ......... - ................—
U . S. bon d s in ca sh reserve....

T otal ......... ........................$ 275,457.22

302

BU REAU OF BANKING

O sh k osh

Nebraska State Bank

C harter N o. 1564
Garden

G. F . C tf. N o. 1086
County

G eo. H . M orris ................_...........P resid ent
C. M . D avis .........................V ice-P resid en t

F . L. Ferrell ............. ..................... Cashier
C. H . Sudm an ........................A s s ’ t. Cashier
J. A . Shields ........................A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............ —$ 365,240.36
1,708.24
O v e rd ra fts ...............................-......
B on d s, secu rities, ju d gm en ts
and claim s ..............................
4,550.00
■Other real estate .........................
16,050.61
B an kin g h ou se, furniture and
fixtures .....................................
16,000.00
B an kers’ con serv a tion fund ....
1,116.18
D ue from national and state
80,646.28
banks .................
C hecks and item s of exchange
89.39
■Cash in bank ...........................
6,053.77
O th er ca sh resou rces .........
420.00
T otal .............................. $ 491,874.83

Capital stock ................................$
Surplus fund .............
U ndivided p rofits (n et) .........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of dep osit
T im e certifica tes of dep osit ....
C ashier’ s ch ecks outstanding..
D ep ositors’ gu aran tee fund ....

25,000.00
10 , 000.00
1 , 221.02
252,551.09
2,000.00
199,968.16
843.20
291.36

T otal ..................................$ 491,874.83

Farmers State Bank

O sm on d
Charter N o. 470

G. F. C tf. N o. 174

Pierce County
Jam es F . T o y ................................P resid en t
A ndreas N issen .....................V ice -P re s id e n t

M . J. K uhl ......... ..............— ............. Cashier
J. W . Shinkle ..................... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts .—.......... $
O verdrafts ......- ..... - ..... - .................
B an kin g h ou se, furnitu re and
fixtures ----------- --------------- ---B an kers’ con serv a tion fund ....
Due from national and state
banks .......................—- .............
C hecks and item s of exchange
Cash in bank ......- ..........................
U . S. bonds in cash reserve....
O th e r bonds ....... ...........................

220,321.79
113.43
3,986.50
738.72
76,681.61
189.43
3,329.62
39,125.00
50,000.00

T o ta l ___________________ $ 394,486.10


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

Capital s tock ...............................$ 25,000.00
Surplus fund ..................................
30,000.00
U ndivided p rofits (n et) ___ .....
15,319.44
Individual d eposits s u b je ct to
ch eck ........................- ...............
87,135.88
Dem and certifica tes o f dep osit
250.00
T im e certifica tes of d ep osit .... 211,146.08
S avings d eposits ..........................
24,094.63
D ep ositors’ guarantee fund ....
216.22
R eserved for taxes and
1,159.45
depreciation ....................
C ontin gen t reserve .....................
164.40
T otal

394,486.10

303

BU REAU O F BANKING

Security

O sm on d

:ate Bank

Charter N o. 537

G. F. C tf. N o. 201

Pierce County
Joseph Cizek .............
President
Jam es Cizek ............................ V ice-P resid en t
STATEM ENT (

Edward

Cizek ................ ...........;......... C ashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 421,550.65
O verdrafts .......................................
136.29
O ther assets .............
3,135.00
O ther real estate .........................
29,656.96
B an king hou se, furnitu re and
fixtures .....................................
4,198.78
1,085.74
B an kers’ con serv a tion fund _
Due from national and state
banks .........................................
19,379.78
C hecks and item s of exchange
330.29
Cash in bank ....................
5,659.66
U . S. bonds in cash reserve....
500.00

Capital stock ......... ................... .$ 25,000.00
Surplus fund ......
25,000.00
U ndivided profits (n et) ..........
9,730.25
Individual deposits su b ject to
ch eck .........
174,366.01
Dem and certifica tes of d ep osit
3,147.89
Tim e certifica tes of d ep osit .... 201,182.17
S avings d ep osits ........................
10,358.13
C ashier’ s ch ecks outstanding..
4,734.98
R e-d iscou n ts ................... _...........
835.00
B ills payable ..........
30,385.30
D ep ositors’ guarantee fund _
893.42

T otal ......... ........... ............. $ 485,633.15

Bank <

O to e

T otal ......... ........................ $ 485,633.15

Otoe

C harter N o. 42

G. F .

C tf.

N o.

19

Otoe County

S. H. Buck ________

President
STATEMENT C

R ESO U R CE S
L oans and d iscou n ts ________ $ 195,364.53
O verd ra fts ...............
331.93
B on d s, secu rities, ju d gm en ts
and claim s .................- ........ -...
4,656.25
O ther real estate ...................
4,200.00
B an king h ou se, furniture and
fixtures ......- .............................
7,700.00
B an kers’ con serv a tion fund __
538.91
Due from national and state
banks ...............................- ........
25,489.46
C hecks and item s o f exch a n ge
565.19
Cash in bank .............
4,346.92
T ota l ______________ ____ .$ 243,193.19


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

A.

R.

B u ck ............. ............. ..........

JUNE 30, 1927
L IA B IL IT IE S
Capital stock ................................$
Surplus fund .................................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ........................................
Tim e certificates of deposit ....
Cashier’ s ch eck s outstanding..
Due to national and state
banks .......................... - ...........
B ills payable .................................
D ep ositors’ gu aran tee fund _

25,000.00
2 , 000.00
315.68
83,737.95
119,928.79
67.40
2 , 000.00
10 , 000.00

143.37

T ota l ..............................._...$ 243,193.19

304

BU REAU O F BANKING

Overton State Bank

O v e rto n
C harter N o. 876

G. F . C tf. N o. 428

Dawson County
T.
A.

H. B oyles ......- ..........................P resident
B oyles ............................... V ice-P resid en t

C.
T.

J.
G.

B oyles ............................ :......... Cashier
B oyles .........................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 713,951.77
O verd rafts .......................................
4,331.29
B on d s, s ecu rities, ju d gm en ts
and claim s .................... _.........
3,232.44
O ther real estate ........................
46,539.37
B an kin g h ou se, furniture and
fixtures .....................................
12,160.76
B an kers’ con serv a tion fund ....
1,657.84
Due from national and state
banks .........................................
21,565.05
C hecks and item s of exch a n ge
1,658.17
Cash in hank .............................._.
2,661.22
U . S. bonds in cash reserve....
800.00

Capital stock ................................$ 50,000.00
1 , 000.00
Surplus fund ...................... .........
2,957.18
U ndivided p rofits (net) ..........
Individual d ep osits s u b je ct to
217,417.63
ch eck .............. ............ - ........ .
524,815.52
T im e certifica tes of dep osit ....
4,332.07
C ashier’ s ch eck s outstanding..
7,500.00
B ills payable ................................
535.51
D ep ositors’ guarantee fund —

T ota l ................................... $ 808,557.91

T ota l ....... ............................$ 808,557.91

Farmers State Bank

O v e rto n

G. F. Ctf. No. 768

Charter N o. 1246

Dawson County
A . A . Forem an ............................ P resid ent
Joseph R . W ils on ............... .V ice-P resid en t

J.

F.

Grim ........................... .V ice-P resid en t

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $ 199,395.99
O verdrafts ...........................
467.80
10,492.03
O ther assets ........................- .........
O ther real estate .........................
55,600.00
B an king hou se, furniture and
fixtures .....................................
11,500.00
B an k ers’ con serv a tion fund ....
685.91
Due from national and state
banks .........................................
13,164.84
C hecks and item s of exch a n g e
236.67
Cash in bank .............
3,801.11
U . S. bon d s in cash reserve....
15,650.00

T o ta l __________ ________ $ 310,994.35


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

L IA B IL IT IE S
Capital stock ...............................$
Surplus fund ............................
U n divided profits (n et) _____
Individual d ep osits su b je ct to
ch eck .........................................
Dem and certifica tes of dep osit
T im e certifica tes of d ep osit _
B ills p ayable .................... ...... _...
D ep ositors’ guarantee fund ....

25,000.00
5,000.00
603.38
62,803.65
3,772.12
185,404.49
28,215.00
195.71

T ota l --------------- ---- --------$ 310,994.35

BU REAU O F BANKING

Oxford

305

Bank of Oxford

Charter N o. 792

G. F . C tf. N o. 365

Furnas County
J. M . M oh ney ................................... President
P eter N ielsen ........................V ice-P resid en t

F.

P.

N ielsen .....................................Cashier

S T A T E M E N T O] ’ J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 133,726.15
O verd rafts .......................................
11.29
B on d s, secu rities, ju d gm en ts
and claim s ........................
17,832.00
•O ther real estate .........................
9,435.46
B an king hou se, furnitu re and
fixtures .....................................
10 , 000.00
B an kers’ con serv a tion fund ....
461.75
Due from national and state
banks .........................................
34,449.89
' Checks and item s of exch a n ge
532.70
Cash in bank ....................
5,480.41
-U . S. bon d s in cash reserv e_
6 , 200.00

Capital stock ..............................$ 20,000.00
Surplus fund .............
4,000.00
U ndivided profits (n et) ..........
528.84
Individual d eposits s u b je ct to
ch eck ......................................
68,893.87
Dem and certifica tes o f dep osit
238.11
Tim e certifica tes o f d eposit .... 117,507.07
6,827.43
S avings d eposits .....
D ep ositors’ guarantee fund _
134.33

T otal .................................. .$ 218,129.65

T otal ................................... $ 218,129.65

Oxford

Security i ate Bank

Charter N o. 1225

G. F . C tf. N o. 747

Furnas County
A v o n A rn sb erger ....... ....................P resid ent
T . F . M a ck p ran g
........... .V ice-P resid en t
STATEM ENT (

H.

A.

A rn sb e rg e r ....... ....................Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 170,134.21
' O verdrafts .......................................
197.11
B on d s, secu rities, ju d gm en ts
and claim s ....................
75,624.29
O ther assets .................................
7,236.16
B an kin g hou se, furnitu re and
fixtures .............
10 , 000.00
B an kers’ con serv a tion fund ....
700.48
D u e from national and state
banks .........................................
40,660.60
Checks and item s o f exch a n ge
14.12
U . S. bon d s in cash reserve....
10,000.00
* Cash in bank __________
5,746.48

Capital stock ............................... $ 20,000.00
7,500.00
Surplus fund ...........................
U ndivided profits (net) ..........
1,539.93
Individual d eposits s u b je ct to
ch eck ......................
118,609.04
Dem and certifica tes of dep osit
81.30
T im e certifica tes o f dep osit .... 169,997.70
S avings d eposits .........................
1,361.35
Due to national and state
banks .............
1,029.41
D ep ositors’ guarantee fund ....
195.02

T ota l ------------------ ---------- $


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

320,313.75

T otal .................................. .$ 320,313.75

BU REAU O F BANK ING

306

Page State Bank

P age

G. F . C tf. N o. 451

Charter N o. 904
Holt County
R . L . D rayton
........................P resid ent
G eo. S. Parker ................... .V ice-P resid en t

E. C. M cE lhaney
H ilda Stou ffer

.............. Cashier
.A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R E SO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ................$ 197,013.83
O verd ra fts .............- .....- .................
324.32
O ther real estate ....... ............ - ....
13,500.00
B an kin g hou se, furnitu re and
fixtures .....................................
5 , 000.00
B an k ers’ con serv a tion fund ....
544.88
D ue from national and state
banks .............- .....- ...................
31,591.20
C hecks and item s of exch a n ge
1,275.99
Cash in bank ................... - .........
5,113.79

Capital stock ........................... _...$ 15,000.00
Surplus fund ............................ —
3,000.00
4,253.86
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ......- .........
114,398.78
T im e certifica tes of dep osit
.... 117,508.70
C ashier’ s ch eck s outstanding..
41.75
D ep ositors’ guarantee fund
—
160.92

T ota l ....... ........................... $ 254,364.01

T otal ................................... $ 254,364.01

Frenchman Valley Bank

P a lis a d e

G. F .

Charter N o. 661

C tf. N o. 283

Hitchcock County
L.
E.

C. C hurchill .............................P resid ent
A . W ig g e n h o rn , Jr.....V ice-P resid en t

F . A . S cheunem an ................- ..........Cashier
A . J. B axter ........................A s s ’ t. Cashier
L isc o Pearson ....................... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 318,095.50
1,890.19
O verd ra fts --------------------------- ----7 ,0 00.0 0
O ther real estate .........................
B an king h ou se, furnitu re and
7,500.00
fixtures ......- ..... - ............ - ........
865.00
B an kers’ con serv a tion fund ....
Due from national and state
43,773.82
ban ks ........................................
4,028.45
C hecks and item s of exchange
11,997.36
Cash in bank — ............- ..... - ....

Capital s tock ............. ..................$ 50,000.00
Surplus fund ........................... - ....
6,000.00
6,133.02
U ndivided profits (n et) ......—.
Individual d ep osits s u b je ct to
ch eck ............. - ..... - ..................
155,832.29
T im e certifica tes of d eposit .... 176,020.77
Due to national and state
banks ........................- ......... - ....
893.59
D ep ositors’ gu aran tee fund —
270.65

T otal


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

....$ 395,150.32

T otal

.$ 395,150.32

BU REAU O F BANKING

Palisade !

P a lis a d e

307

Bank

■Charter N o. 1348

G.

F . C tf. N o. 870

Hitchcock County
D.
A.

F. G ruver .......... ..................... P resident
R ossm iller ...................... V ice-P resid en t
STATEM ENT (

C. M . B osley ...............................
Cashier
V erna M. B osley ................ A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 149,749.90
Overdrafts .......................................
423.18
B on ds, secu rities, ju d gm en ts
and claim s ......
6,000.00
■Other real estate .........................
12,600.00
B an kin g h ou se, furnitu re and
fixtures ....................
7,500.00
B an kers’ con serv a tion fund _
312.34
Due from national and state
banks .........................................
14,832.58
C hecks and item s of exchange
438.44
<Cash in bank ....................
5,771.53
U . S. bonds in cash reserve....
3,000.00

Capital stock ...............................$
Surplus fund ......
U ndivided profits (n et) ..........
Individual d ep osits su b ject to
ch eck .......
T im e certifica tes of dep osit ....
S avings d eposits ......
C ashier’ s ch eck s outstanding..
B ills payable ...............
D ep ositors’ guarantee fund _

T otal .................................. .$ 200,627.97

Palmer

30,000.00
6,000.00
1,142.97
44,718.43
92,150.18
2,051.08
50.00
24,400.00
115.31

T otal .................................. .$ 200,627.97

Loup Valley State Bank

■ Charter N o. 978

G.

F . C tf. N o. 517

M errick C ounty
M . V . Lam bert
T . R . Lam bert

_............- ......... President
.V ice-P resid en t
STATEM ENT C

F.

O.

B inderup

....... ............... ....... Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts — ...........$ 247,571.77
• O verdrafts .............
632.94
B on d s, secu rities, ju d gm en ts
and claim s ......- .....- ...............
15,340.29
12,500.00
■ O ther real estate ......- .................
B an king h ou se, furniture and
fixtures ....... ...........................—
8 , 000.00
B an kers’ con serv a tion fund ....
818.50
Due from national and state
banks .............
95,884.56
- Checks and item s of
exch a n ge
1,475.72
- Cash in bank .............
8,631.76
, U . S. bonds in cash
reserve....
5,000.00

Capital s tock ............ ..................$ 25,000.00
Surplus fund ........
7,500.00
U ndivided profits (n et) -------3,598.91
Individual d eposits su b ject to
ch eck ......... ....................... - ....
95,354.06
Dem and certifica tes of dep osit
400.00
T im e certifica tes of dep osit .... 228,221.54
34,520.37
S avings d ep osits ................... _...
D ep ositors’ guarantee fund _
210.66
R eserv e for taxes ____
1,050.00

T otal


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

.$ 395,855.54

T otal

.$ 395,855.54

BU REAU O F BANKING

308

Palmer State Bank

P a lm e r

G. F . C tf. N o. 196

C harter N o. 521
Merrick County
..P resid en t
..V ice-P resid en t

John Clay
W . E. Reed

H . J. Tem plin
P erry H errin g .

...... .................Cashier
.......... Ass’t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 342,994.84
181.44
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
5,000.00
and claim s ........................- ......
6,104.92
O ther real estate .......................
B an kin g h ou se, furnitu re and
1.400.00
fixtures ......... — ..... - ......---......
950.35
B an k ers’ con serv a tion fund ....
Due from national and state
52,719.75
banks ........................- ...............
365.85
C hecks and item s of exchange
8,114.62
Cash in bank .................... — .......
2.575.00
U . S. bonds in cash reserve....
T ota l ......- ...........................-$ 420,406.77

25,000.00
13,500.00
3,390.69
100,007.55
1 , 020.20

269,607.27
5,386.29
760.00
1,300.00
434.77

T otal .............- ................... -$ 420,406.77

Bank of Palmyra

P a lm y r a
Charter N o.

Capital stock ............. ..................$
Surplus fund ..................................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ..................................... .
D em and certifica tes of d eposit
T im e certifica tes of dep osit ....
S avings d eposits .........................
R eserved for depreciation ......
R eserv ed for taxes ......- .............
D ep ositors’ guarantee fund —

G.

322

F.

C tf.

N o.

120

Otoe County
J.
T.

H.
W.

Catron ................................President
B ell ........................... V ice-P resid en t

C. A . Sweet ...........................................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ......- ........$
O verd rafts ................. - ...................
B on d s, secu rities, ju d gm en ts
and claim s ................................
B an kin g hou se, furnitu re and
fixtures
..
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank ........................... —

75,452.81
227.94
104,758.70
1 , 000.00

22,516.51
858.43
7,432.50

T ota l ......................... ..........$ 212,246.89


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

Capital stock ................................$
Surplus fund ............. ...................
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ................ - ....................—
Dem and certifica tes of dep osit
T im e certifica tes of d eposit ....
D ep ositors’ guarantee fund —

20,000.00
7,000.00
1,485.44
124,100.29
344.17
59,087.25
229.74

T ota l ........... ........................$ 212,246.89

BU REAU O F BANKING

P anam a

B ank of

309

Panama

C harter No. 323

G. F . C tf. N o. 121

Lancaster County
R.
P.

W . M arshall ........
P resident
D . M arshall ............... .V ice-P resid en t

R.

W.

M arshall

................................Cashier

S T A T E M E N T 0 F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$
O verd ra fts .................... - .................
B on d s, secu rities, ju d gm en ts
and claim s ..............................
O ther real estate ................
B an kin g h ou se, furnitu re and
fixtures ____
B an k ers’ con serv a tion fund _
Due from national and state
banks ......... ........................ - ....
Cash in bank _________________
O ther cash resou rces ................

96,809.68
331.09
3,597.SO
3,716.32
4,620.00
308.11

Capital stock .................................$
Surplus fund .................... ...... _...
U ndivided p rofits (n et) ...........
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes of dep osit
T im e certifica tes of dep osit
....
D ep ositors’ guarantee fund

10,000.00
1,600.00
420.87
45,159.77
21.70
75,863.86
77.59

20,975.27
2,781.56
4.26

T ota l __________ _________ $ 133,143.79

T otal .................. .................$ 133,143.79

Farmers State Bank

Panam a
C harter N o. 1434

G. F . C tf. N o. 956

Lancaster County
G.

J.

H.

F isch er

....... .................P resid en t

M.

H.

E g g e rt

— ............................... Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd ra fts .............
B on d s, secu rities, ju d gm en ts
and claim s .......
O ther assets ............. - ...................
O ther real estate
....................
B an k in g hou se, furnitu re and
fixtures _______- ............ ...... .
B an kers’ con serv a tion fund __
Due from national and state
banks .........................................
C hecks and item s of exchange
Cash in bank .............
T otal


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

.$

35,974.93
230.71
419.51
676.80
15,628.43

Capital s tock .................... ...... 15,000.00
Individual d ep osits s u b je ct to
ch eck .........................................
28,560.36
D em and certifica tes of dep osit
2 , 000.00
T im e certifica tes of dep osit
.... 19,662.67
B ills payable .............- ............ .....
3,500.00
D ep ositors’ guarantee fund
37.88

7,497.15
184.58
6,280.41
89.70
1,778.69
68,760.91

T otal

.$

68,760.91

310

BU REA U O F BANK ING

Banking House

P a p illio n
C harter N o.

f A . W . Clarke

1004

G. F . C tf. N o. 541

Sarpy County
M r s. I. D . Clarke ....... ................ P resid en t
K.
C. B row n ..................... V ice-P resid en t
STATEM EN T C

R.

F.

Clarke .............. .................... Cashier

J U N E 30, 1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 286,554.37
O v erd ra fts .............- .....- ............ —
170.15
B on d s, s ecu rities, ju d gm en ts
and claim s ......- ......................
263,262.90
O th er real estate ........................
10,000.00
B an kin g hou se, furnitu re and
9,000.00
fixtures ......- ................... - ........
B an kers’ con serv a tion fund —
1,282.48
Due from national and state
banks ................ ........................
183,764.53
C hecks and item s of exch a n ge
278.43
C ash in bank ....
—
10,290.98

Capital stock ............ ..................$ 30,000.00
6,000.00
Surplus fund ......- ..........................
U ndivided p rofits (n et) ..........
1,493.86
Individual d ep osits s u b je ct to
ch eck ........................................
310,909.24
T im e certifica tes o f dep osit _ 414,839.80
C ashier’ s ch eck s outstanding..
1,005.42
D ep ositors’ guarantee fund _
355.52

T ota l ....... ............ ..............4

764,603.84

T otal ................................... $ 764,603.84

Parks State Bank

P arks
C harter N o. 1356

G. F . C tf. N o . 873

Dundy County
J . W . M u rp hy ........... ....................P resid ent
R u th D oerr ...........................V ice -P re s id e n t

D eF orest J.

D oerr .................- ......... Cashier

S T A T E M E N T O F J U N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oa n s and d iscou n ts .............. $
O v erd ra fts ......- .........- ................—
B on d s, secu rities, ju d gm en ts
and claim s ......
O ther assets .—..............................
B an k in g hou se, furnitu re and
fixtures ........... .........- ...............
B an kers’ con serv a tion fund ....
Due from national and state
banks ...................
C hecks and item s of exch a n ge
Cash in bank ___________— ......
U . S. bon d s in ca sh reserv e—

47,633.51
239.41

T otal ....... ...........................4

57,734.20


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

248.54
2,035.67
3,843.00
138.07

Capital s tock .................................$
Surplus fund ................................
Individual d ep osits s u b je ct to
ch eck .........
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
R e-d iscou n ts .............................
D ep ositors’ guarantee fund —

18,982.57
23,393.07
429.81
2,885.00
43.75

T otal .................................. .$

57,734.20

10,000.00
2,000.00

1,629.10
336.74
730.16
900.00

BU REAU O F BANKING

Pauline

311

Pauline State Bank

C harter N o. 887

G. F . C tf. N o. 437

Adams County
R.

C.

Peters ......................... .......P resid ent

Geo. W .

Flesner

.V ice-P resid en t

S T A T E M E N T O F TUNE 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
O verd rafts ..........
B on d s, secu rities, ju d gm en ts
and claim s ................................
O ther assets ......
O ther real estate
........
B an king hou se, furnitu re and
fixtures ......
B an kers’ con serv a tion fund __
Due from national and state
banks ......
C hecks and item s of exch a n ge
Cash in bank ......

42,482.88
961.96

T otal ____ ____ __________ $

56,427.34

Pawnee City

3,617.90
3,122.17
705.34
3,235.00
153.65
1,020.54
573.33
554.57

Capital stock ...............................$
Surplus fund ...........................
Individual d eposits su b ject to
ch eck ...................................
T im e certifica tes o f dep osit ___
S avings d ep osits .........................
Due to national and state
banks .............
B ills payable .........
D ep ositors’ guarantee fund __

T otal ....... .......................... $

7,500.00
5,000.00
19,238.41
13,014.23
86.35
8,949.50
2,500.00
138.85

56,427.34

Farmers State Bank

C harter N o. 1268

G. F . C tf. N o. 790

P aw nee C ounty
H.
A.

C. V an H orn e _____________ P resid en t
B . A n d erson _________ V ice-P res id en t

H . W . B lum e ............. .................... ....Cashier
A . C. V an H orn e ............. _...Ass’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 421,065.16
O v erd ra fts .......................................
415.82
B on d s, s ecu rities, ju d gm en ts
206,410.61
and claim s ....... ........................
O ther real estate ........................
21,000.00
B an kin g h ou se, furniture and
fixtures .................... ............. .
15,500.00
B an kers’ con serv a tion fund ....
2,039.84
Due from national and state
banks .........................................
80,005.35
C hecks and item s of exch a n ge
3,501.54
Cash in bank _________________
20,336.02
U . S. bon d s in ca sh reserve....
7,300.00

Capital stock ................................$ 50,000.00
Surplus funrl
15,000.00
U ndivided p rofits (net) ..........
1,611.94
Individual d ep osits s u b je ct to
ch eck ......................................... 286,532.62
Dem and certifica tes of dep osit
210,598.24
S avings d ep osits ................... .
174,429.31
C ashier’ s ch eck s outstanding..
1,200.48
Due to national and state
banks .........................................
37,667.98
D ep ositors’ gu aran tee fund _
533.77

T ota l ____ ______ ________ .$ 777,574.34

T ota l ....... ........... ............... $ 777,574.34


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

BU REAU O F BANKING

312

Pawnee City

First State Bank
G. F . Ctf. No. 681

C harter N o. 1159
Pawnee

County
Operated by Guarantee Fund Commission
S T A T E M E N T OF TUNE 30, 1927
L IA B IL IT IE S

L oa n s and d iscou n ts ......- .......$ 103,249.62
O verdrafts ...............................- ......
57.83
B on d s, secu rities, ju d gm en ts
and claim s ......- ............ - ........
16,299.82
O th er assets ............ - .....- .........— 128,676.88
179,921.01
O th er real estate ......... - .............
B an king h ou se, furnitu re and
fixtures ............. - ......................
15,000.00
B an kers’ con serv a tion
fund ....
1,446.00
Due from national and state
32,703.86
banks ............................... C h eck s and item s of exchange
774.37
C ash in bank ................—
—
9,584.12

Capital s tock ............ - .................$ 30,000.00
5,614.06
Surplus fund .................... - .........
Individual d ep osits s u b je ct to
ch eck ......................................
136,865.34
Dem and certifica tes of dep osit
36,634.86
T im e certifica tes of dep osit .... 172,036.47
S avings d eposits .................... —104,856.68
C ertified ch eck s .................... - ......
6.00
C ashier’ s ch eck s outstanding..
686.26
D ue to national and state
banks ----680.25
D ep ositors’ guarantee fund —
333.59

T ota l ....... ........................... $ 487,713.51

T ota l .................... - .....- ..... •$ 487,713.51

.

R ESO U R C E S

Commercial State Bank

Paxton

. F . C tf. N o. 460

Charter N o. 915
Keith County
F . C. P ielstick er ...... ...
O . M . Gunnell ......- .......

...............P resid ent
.....V ice-P resid en t

J. W . P ielstick e r
I. S tafford ............ .
F . M . Farr ............

.................. Cashier
___A s s ’ t. Cashier
__ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $ 267,158.97
255.30
.O verd rafts .............- ........................
B on d s, secu rities, ju d gm en ts
2,743.68
and claim s ....... ..... ..................
18,919.55
O th er real estate ............ - ........
B an kin g hou se, furnitu re and
15,000.00
fixtures ......... — ......... - .........—
674.99
B an kers’ con serv a tion fund ....
Due from national and state
14,628.93
ban ks ............. - ....................... —
31.59
C hecks and item s of exchange
3,010.26
Cash in bank ............- --- ---------T o ta l __________________ $ 322,423.27


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

L IABILITIES
Capital s tock ............................... $
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck .............- .................... .
Dem and certifica tes of d eposit
T im e certifica tes of d ep osit ....
S avings d ep osits ................ ;-----C ashier’ s ch eck s outstanding..
B ills payable ............. - ............ —
D ep ositors’ gu aran tee fund —

40.000.
812.06
126,911.36
6 , 000.00
103,671.61
17,707.52
2,130.96
25.000.
189.76

T o ta l ________ _______ __ $ 322,423.27

00

00

B U R E A U

O F

31S

B A N K IN G

Farmers & Merchants State Bank

Pender
C h a rte r N o .

G. F . C tf. N o. 1047

1525

Thurston County
John H . H eyn e
.._
.............President
G. G. Griffin ........................ V ice-P resid en t

W . G. H eyn e ........................_......... C ashier
John W ollm er ............._......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ....... ........$ 195,248.94
O verdrafts ...........................
639.57
B on d s, secu rities, ju d gm en ts
and claim s ____
1,173.00
O ther real estate .................... _...
1,300.00
B an k in g hou se, f u r n i t u r e a n d
25,000.00
fixtures __
B an kers’ con serv a tion fund _
359.15
Due from national and state
banks ..........................
27,602.61
Checks and item s of exchange
5,033.44
Cash in bank .............
3,931.06
U . S. bonds in cash reserve....
3,300.00
T otal ................................... $ 263,587.77

Capital stock ................................$
U ndivided p rofits (n et) ..........
Individual deposits su b ject to
ch eck .........................................
Dem and certifica tes of dep osit
T im e certifica tes of dep osit ....
S avings d eposits .........................
C ashier’ s ch eck s outstanding..
R e-d iscou n ts ..................................
D ep ositors’ guarantee fund _

50 ,000. 00'
2 ,708.19
113 ,156.14
4. ,000.00
47 ,029.22
30 ,382.62
1 ,891.24
14 ,300.00
120. 3&

T otal ................................... $ 263,587.77

Pender State Bank

P ender

G. F . C tf. N o. 795

Charter N o. 1276
Thurston County
Gerhard S chutte
P . F . Sim onsen

............................ P resid ent
.................V ice-P resid en t

W . F . W en k e ................................... C ashier
P. A . P inion ........................ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

L oans and d iscou n ts ....... ....... $ 428,363.66
469.31
O verd rafts ......- ............ — .............
B on d s, s ecu rities, ju d gm en ts
and claim s ......... - ..... - ...........
246,081.87
O ther real estate ......
7,078.81
B an kin g h ou se, furnitu re and
fixtures .................................. —
25,000.00
B an kers’ con serv a tion fund ....
1,265.20
Due from national and state
banks .............- ................... - ....
113,960.38
C hecks and item s of exchange
296.39
Cash in bank ............. - ---- --------6,074.24
U . S. bonds in cash reserve....
15,000.00
O ther cash resou rces ................
1,033.46

Capital stock ............ ...... ...........$ 85,000.
17,000.
Surplus fund ........................... .
U ndivided p rofits (n et) ..........
17,061.
Individual d ep osits su b ject to
ch eck ...............................- ........
328,740.67
Dem and certifica tes of dep osit
3,115.00
T im e certifica tes of d ep osit .... 278,454.77
S avings d ep osits ........................
104,860.05
C ashier’ s ch eck s outstanding..
10,022.92
D ep ositors’ guarantee fund —
368. 8 2

T otal ......................... ......... $ 844,623.32


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

88S

RESOURCES

T otal

.$ 844,623,32

314

BU REA U O F BAN K IN G

Peru

Citizens State Bank

C harter N o. 328

G. F . C tf. N o . 122

Nemaha County
E llis E. G ood .............. ................„...President
J . W . M cA d a m s ....... .......... .V ice-P resid en t

O. M . G ood .............................. ...... „...Cashier
A nna F. F arley .................... A s s ’ t. Cashier
C arroll L ew is ......... ............. A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oa n s and d iscou n ts ............... $ 295,564.63
B on d s, s ecu rities, ju d gm en ts
and claim s ___________ ____
52,827.50
R eceivers certifica tes ..............
10,000.00
O ther real estate .............
25,891.08
B an k in g h ou se, furnitu re and
4,300.00
fixtures .................
B an k ers’ con serv a tion fund _
1,099.31
Due from national and state
banks .........................................
66,951.28
C hecks and item s of exch a n ge
358.11
Cash in bank .............
4,018.55
U . S. bonds in cash reserv e_
2,300.00

Capital stock ............ ..................$ 25,000.00
Surplus fund ..............................
5,000.00
U ndivided profits (n et) ......_...
1,568.59
Individual d ep osits s u b je ct to
ch eck ......... ................. ............
169,982.44
D em and certifica tes of d eposit
206,177.33
S avings d eposits .................. ......
55,084.80
C ashier’ s ch ecks outstanding..
215.57
281.73
D ep ositors’ guarantee fund _

T ota l ................................... $ 463,310.46

Petersburg

T otal

.$ 463,310.46

Citizens State Bank

C harter N o. 621

G. F . C tf. N o. 254

Boone County
Operated by Guarantee Fund Commission
S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 142,699.23
O v erd ra fts ......... - ...........................
154.43
B on d s, secu rities, ju d gm en ts
and claim s ........................... _...
1,756.72
O th er assets ..................................
2,753.93
O ther real estate .....................
5,000.00
B an k in g hou se, furnitu re and
fixtures ..................................
10 , 000.00
B an kers’ con serv a tion fund ....
509.67
Due from national and state
banks .........................................
39,883.59
C h eck s and item s of exch a n ge
390.25
Cash in bank ......
2,338.10
U . S. bonds in cash reserve....
1 , 000.00
T otal


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

.$ 206,485.92

Capital stock ...............................$
Surplus fund ......
Individual d ep osits su b ject to
ch eck ...............................
Tim e certifica tes of d ep osit ....
D ep ositors’ guarantee fund ....

T ota l

20 ,'(00.00

4,618.93
23,178.92
158,238.05
450.02

.$ 206,485.92

BU REAU O F BANKING

31&

Farmers State Bank

P e te rsb u rg
C harter N o. 631

G. F . C tf. N o. 263

Boone County
Operated by Guarantee Fund Commission
S T A T E M E N T OF TUNE 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 273,368.05
O verd rafts ....................
144.52
B on d s, secu rities, ju d gm en ts
and claim s ....................... -.......
11,141.77
6,204.26
O ther assets ___
O ther real estate .............- .........
61,365.65
B an kin g hou se, furnitu re and
5,521.50
fixtures ....................
B an kers’ con serv a tion fund ....
1,061.02
Due from national and state
banks .............................. - ........
53,668.76
Cash in bank ........................
2,368.31

Capital stock .................... .......... $ 50,000.00
Surplus fund ...........................
458.7+
Individual d eposits su b ject to
ch eck .............................
75,410.95
Dem and certifica tes of dep osit
750.55
Tim e certifica tes of d eposit (_ 243,085.36
S avings d eposits .........................
44,652.06
C ashier’ s ch eck s outstanding..
197.88
D ep ositors’ guarantee fund ....
288.30

T otal ........................- ......... $ 414,843.84

T otal ......................... ......... $ 414,843.84

Petersburg State Bank

P e te rsb u rg

G. F . C tf. N o. 1083

C harter N o. 1561
Boone County
D . L . J ou ven a t ................................P resid ent
E . E . Hall ............................ V ice-P res id en t

O. M . H ays .................- .................... Cashier
J. M ack .................... .............. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 156,558.35
O verdrafts .............- .....- .........- .... 237.62
B on d s, secu rities, ju d gm en ts
and claim s ........................... _...
92,822.21
B an kin g h ou se, furnitu re and
fixtures .................... - ...............
5,000.00
B an k ers’ con serv a tion fund __
375.23
Due from national and state
banks .......
115,690.31
C hecks and item s of exchange
101.72
Cash in bank ___
2,946.51

Capital stock ............ ..................$ 30,000.00
U ndivided profits (n et) ..........
315.65
Individual d eposits s u b je ct to
128,012.55ch eck ................... ............. .....
T im e certifica tes of dep osit .... 215,235.36
D ep ositors’ guarantee fund ....
168.39

T otal


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

4

373,731.95

T otal

.$ 373,731.95

316

BU REAU O F BANKING

Bank of Phillips

P h illip s
C harter N o. 593

G. F . C tf. N o. 234

Hamilton County
W.
E.

T.
C.

D earing ......... ............. ..... P resid ent
A rn ett ..........._......... V ice-P res id en t

E . C. H uxtable ............ ............. - ......Cashier

S T A T E M E N T O F J U N E 30, 1927

RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 108,018.37
O v erd ra fts ......- .....- ................- ......
255.36
B on d s, secu rities, ju d gm en ts
and claim s .........
27,179.89
O th er assets .................... - ..... ....
1,900.00
O th er real estate .........................
8,500.00
B an king hou se, furniture and
fixtures ......- ............ - ............ —
5,000.00
B an k ers’ con serv a tion fund ....
402.00
Due from national and state
13,643.96
banks .............
C hecks and item s of exch a n ge
488.88
Cash in bank .............
1,916.34
U . S. bonds in cash reserve....
3,300.00
T ota l .................................. $ 170,604.80

Capital s tock .................................$
Surplus fund .................... _......
U ndivided p rofits (n et) ..........
D ividen ds unpaid ......
Individual d ep osits s u b je ct to
ch eck ....
Dem and certifica tes of dep osit
T im e certifica tes of d eposit _
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund ....
C ontin gen cies reserv e ________

10,000.00
7,500.00
1,200.32
300.00
74,889.55
25.50
67,092.02
6,992.80
104.61
2,500.00

T otal .............. .......... ..........$ 170,604.80

Farmers State Bank

P ic k r e ll
C harter N o. 781

G. F. C tf. N o. 355

G age County
E d. Baum an . .
. . . ................ P resident
Joh n T . J urgens ........... ......V ice-P resid en t

................................ Cashier
F.
D. R eil .................... .................. A s s ’t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 239,012.27
107.30
O v e rd ra fts .......................................
546.33
O th er assets ..................................
B an kin g h ou se, furniture and
5,000.00
fixtures .................................. .
738.70
B an kers’ con serv a tion fund ....
Due from national and state
50,329.85
banks ......- .............................. .
4,402.53
Cash in bank ................................
4,250.00
U . S. bonds in cash reserve....
T otal


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

.$ 304,386.98

Capital stock ...................... .......$
Surplus fund ................................
Individual d eposits s u b je ct to
ch eck .........................................
Dem and certifica tes of d eposit
Tim e certifica tes of d eposit ....
S avings d eposits .................... _...
D e p ositors’ guarantee fund ....

T otal

20 , 000.00
5,000.00
114,776.38
2,046.73
158,933.80
3,450.87
179.20

.$ 304,386.98

317

BU REAU O F BANKING

|
Citizens State Bank

P ie r c e
C harter No. 1249

G. F . C tf. N o. 771

Pierce County
M.

Inhelder .......................................P resid ent

A . F. M agdanz .................... -■ Cashier
M . M . Inhelder ................ :...Ass t. Cashier
B.
A . Pow ers .....................A s s ’ t. Cashier
A . L . Brande ....... .................A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ....... ........$ 447,380.30
O verd ra fts .......................................
744.60
B on d s, secu rities, ju d gm en ts
and claim s .................... - .........
1,656.25
O ther assets ................................
12.60
39,282.55
O ther real estate .......................
B an kin g hou se, furnitu re and
fixtures ......- ................... - ........
4,500.00
B an k ers’ con serv a tion fund ....
1,436.41
D ue from national and state
banks ................ - ..
71,977.35
C hecks and item s of
exch a n ge
806.26
4,758.65
Cash in bank ......
U . S. bonds in ca sh
reserve.... 20,050.00

Capital stock ......_........................$ 30,000.00
20,000.00
Surplus fund .................... - ...........
U ndivided p rofits (n et) ..........
8,815.83
Individual d eposits su b ject to
ch eck ...............................- .....
196,056.60
Dem and certifica tes of d eposit
4,122.00
T im e certificates of dep osit .... 317,449.71
Certified ch ecks ............. - ...........
25.00
C ashier’ s ch eck s outstanding..
250.00
Due to national and state
banks .........................................
15,524.22
D ep ositors’ guarantee fund —
361.61

592,604.97

T otal ........ ...........................$ 592,604.97

Total

Cones State Bank

P ierce
C harter N o. 489

G. F .

C tf. N o. 180

Pierce County
W oods

Cones

........................- ........P resident

A.

J.

M astalir

...... - ............................Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts — ........... $ 359,506.89
O verdrafts ........................- .............
1,438.17
B onds, secu rities, ju d gm en ts
and claim s ........................
139,571.81
O th e r fcreal estate .........................
49,532.60
B an king h ou se, furnitu re and
fixtures .....................................
29,137.46
B an k ers’ con serv a tion fund ....
1,655.76
Due from national and state
banks .........................................
89,214.06
C hecks and item s of exchange
1,935.06
Cash in bank ................................
4,456.29
U . S. bonds in cash reserve....
11,500.00

Capital stock ................................$ 60,000.00
4,570.20
U ndivided p rofits (n et) ..........
Individual d eposits su b ject to
198,302.78
ch eck .............- ...................... —
1,286.56
Dem and certifica tes of d eposit
T im e certifica tes of dep osit .... 421,614.65
150.48
Certified ch eck s .................. ........
1,590.25
C ashier’ s ch eck s Outstanding433.18
D ep ositors’ guarantee fund ....

T otal ................................... $ 687,948.10


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

T otal

.$ 687,948.10

318

BU REAU O F BANKING

Pierce State Bank

P ie r c e
C harter N o. 331

G. F . C tf. N o. 123

P ierce County
Frank

P ilger

...................................P resident

D. C. D eibler .......................................Cashier
O.
B. B uckendahl ............A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 491,617.05
O verd rafts ................ .............. :......
523.43
O ther real estate .........................
31,115.12
B an kin g h ou se, furniture and

Capital stock ............. ..................$ 25,000.00
Surplus fund ...........................
25,000.00
321.96
U ndivided profits (net) ..........
Individual deposits su b ject to
ch eck .........................................
160,442.78
Dem and certifica tes of dep osit
7,500.00
T im e certifica tes o f d ep osit
.... 266,193.02
S av in gs' d eposits .........................
21,583.46
C ashier’ s ch eck s outstanding..
10,043.95
Due to national and state
banks .........................................
43,581.18
Bills payable ................................
17,000.00
D ep ositors’ guarantee fund
....
285.22

fixtures .....

B an k ers’ con serv a tion fund ....
Due from national and state
banks .........................................
Checks and item s of exch a n ge
Cash in bank ......
U . S. bonds in cash reserve....
O ther cash resou rces ..................

11,000.00
1,008.96

26,527.95
5,094.14
9,909.42
150.00
5.50

T otal ................................... $ 576,951.57

T otal ................................... $ 576,951.57

Farmers State Bank

P ilg e r
C harter N o. 1574

G. F . C tf. N o. 1096

Stanton County
W a lter R . Chace ............................ P resid ent
J. D oty ............. ...... .............V ice-P res id en t

R ob t. L arson ..................................... C ashier
L. E. Bare ........................... Ass’t. Cashier
D.
W . Carson .................. A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 292,163.18
614.07
O verdrafts ........................... _..........
B on d s, secu rities, ju d gm en ts
and claim s ....................
5,006.50
O ther real estate
.
25,505.46
B an kin g h ou se, furnitu re and
fixtures ....................
9,500.00
B an k ers’ con serv a tion fund ....
298.80
Due from national and state
banks .................
46,111.28
C hecks and item s o f exch a n ge
363.21
Cash in bank .............
5,615.08
T otal


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

.$ 385,177.58

Capital stock ................................$
Surplus fund ...............................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck ......_.....
T im e certifica tes of dep osit ....
S avings d eposits .........................
R e-d iscou n ts ..................................
D ep ositors’ guarantee fund ....

Total

50,000.00
5,000.00'
13,830.63
151,251.44
147,187.75
4,607.88
13,101.66
198.22

.$ 385,177.58

B U R E A U

O F

319

B A N K IN G

Pilger State Bank

P ilg e r

G. F . C tf. N o. 1095

C harter N o. 1573
Stanton

County

J am es Zou bek ...................... ...........President
R ichard K arel ......................V ice-P res id en t

Fred Jelinek .................................... ....Cashier
R . H . T itu s ............................ A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $
B o n d s, secu rities, ju d gm en ts
and claim s ............ - ..... - .........
B an king hou se, furnitu re and
fixtures ................... - ........ B an kers’ con serv a tion fund ....
D ue from national and state
banks .......................- ........ Cash in bank ..............................
U . S. bonds in cash reserve....
O th e r cash resou rces ......- ......

189,316.14
26,000.00
11,000.00
99.22
36,308.82
4,132.80
3,600.00
808.51

Capital stock ............ ..................$
Surplus fund .................... ...... ......
U ndivided p rofits (n et) — ......
Individual d eposits s u b je ct to
ch eck ......... .................... .........
Tim e certifica tes of dep osit —
C ashier’ s ch eck s O utstandingD ep ositors’ guarantee fund —

25,000.00
1,500.00
2,260.91
100,925.18
140,560.36
876.14
142.90

T otal ........................... ....... $ 271,265.49

T ota l ........................... ....... $ 271,265.49

Citizens State Bank

P la in v ie w
C harter N o. 467

G. F . C tf. N o. 173

Pierce County
W

L.

M ote .....................- ............. P resid ent

M.
R.
L.

Sorenson .................... ............. — Cashier
A . M ote .....................— A s s ’t. Cashier
L . M ote ....... - ................A s s ’ t. Cashier

S T A T E M E N T O F JU N E . 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 530,579.68
O v erd ra fts .............- ........................
2,580.81
B onds, secu rities, ju d gm en ts
and claim s .................... - .........
13,378.33
R evenue stam ps ......- ...................
62.11
O th e r real estate
........
83,983.39
B an kin g h ou se, furnitu re and
fixtures ......
17,500.00
B an k ers’ con serv a tion fund ....
1,467.29
Due from national and state
banks .........................................
48,704.79
C hecks and item s of exchange
367.56
C ash in bank .............
4,494.17
T otal


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

703,118.13

Capital stock .................... .......... $ 50,000.00
Surplus fund ..........................
10,000.00
U ndivided profits (n et) ..........
1,583.06
Individual d ep osits su b ject to
ch eck ...................................... — 153,975.50
T im e certifica tes of d eposit .... 385,932.93
C ashier’ s ch ecks outstanding..
3,217.02
Due to national and state
banks ...............................
32,000.00
R e-d iscou n ts .....................................
51,015.73
B ills payable .......................
15,000.00
D ep ositors’ guarantee fund —
393.89
T otal

703,118.13

320

B U R E A U

O F

B A N K IN G

Security State Bank

P la in v ie w
Charter N o. 801
Pierce

G. F . C tf. N o. 372
County

C.
R . C hristiansen ..._.................P resid ent
C. E . C hristiansen ..............V ice-P resid en t

C. T. N elson ............. ............... ...... ....Cashier
L . A . L arson ............................ A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 285,071.17
O verd rafts .............- ........................
1,136.98
B on d s, secu rities, ju d gm en ts
and claim s .................... - ......
5,113.98
O ther real estate ....................
41,837.50
B an kin g h ou se, furnitu re and
fixtures .....................................
4,000.00
B an kers’ con serv a tion fund ....
740.02
Due from national and state
banks .............
24,792.58
C hecks and item s of exchange
307.55
Cash in bank ......
2,884.03

Capital stock ........ ....................... $ 25,000.00
Surplus fund ................................
6,500.00
U ndivided p rofits (n et) ......
684.46
Individual d eposits su b ject to
ch eck ................................... ;....
102,839.71
Tim e certifica tes of d eposit .... 201,529.60
S avings d ep osits .........................
16,737.02
C ashier’ s ch eck s outstanding..
2,880.34
B ills payable ............................
9,500.00
D ep ositors’ gu aran tee fund ....
212.68

T otal ................................. $ 365,883.81

Total

365,883.81

Farmers State Bank

P la tte C e n te r
C harter N o. 1115

G. F . C tf. N o. 638

Platte County
J. A . H auser ................................... P resid ent

J. A . H auser ...
R. M. H auser ...
A gn es H auser ....

........................ Cashier
..........A s s ’ t . ' Cashier
......... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

Loans and d iscou n ts ...............$ 229,328.00
O verd rafts .......................................
290.59
B on d s, secu rities, ju d gm en ts
and claim s ................................
50,755.57
O ther real estate ....................
15,834.42
B an king h ou se, furnitu re and
fixtures ......
15,000.00
B an kers’ con serv a tion fund ....
843.40
Due from national and state
banks ..................................
65,534.79
C hecks and item s of exch a n ge
1,371.90
Cash in bank ....................
4,545.28
U . S. bonds in cash reserve....
10,800.00

Capital stock ........... ......... .......... $ 30,000.00'
Surplus fund ...........................
6,000.00
U ndivided profits (n et) ..........
1,293. 9 9
Individual d eposits su b ject to
ch eck .........................................
131,872.16
Tim e certifica tes of d eposit
.... 218,814.15
5,986.91
S avings d ep osits .........................
C ashier’ s ch ecks outstanding..
128.50
D ep ositors’ guarantee fund
....
208.24

T otal ........................... ........$ 394,303.95

T otal ................................... $ 394,303.95


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

B U R E A U

B A N K IN G

321

Platte County Bank

P la tte C e n te r
C h a rte r

O F

N o. 515

G.

F.

Ctf.

N o.

193

Platte County
W illiam S chelp .......................... .......P resid ent
H . A . Clarke .................... ....V ice-P resid en t

W . P . Schelp
A . G lodow ski .

—- ............—
Cashier
............A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B on d s, secu rities, ju d gm en ts
and claim s ................................
R eceivers certifica tes ..............
O ther real estate ......
B an king h ou se, furnitu re and
fixtures ............................. ,.......
B an kers’ con serv a tion fund ....
Due from national and state
hanks
.......................................
C hecks and item s of exchange
Cash in bank ................................
U . S. bonds in cash reserve....

L IA B IL IT IE S
185,446.54
254.86
69,337.50
5 , 000.00
11,050.00
7,600.00
640.35
61,814.17
732.87
5,217.47
3,200.00

Total .................................. .$ 350,293.76

T otal ................................... $ 350,293.76

Farmers State Bank

P la tts m o u th
C harter N o.

Capital stock ............._.................$ 25,000.00
Surplus fund ................................
5,000.00
U ndivided profits (n et) ..........
4,984.02
Individual d ep osits su b ject to
ch eck .............................................. 123,285.81
Tim e certifica tes of d eposit .... 186,287.62
S avings d eposits ........
5,494.65
60.00
Certified ch ecks ............................
D ep ositors’ guarantee fund ....
181.66

1430

G.

F.

Ctf.

N o.

952

Cass County
T . H . P ollock ................................. President
Chas. A . P a tterson ..............V ice-P resid en t

R. F. Patterson
J. K . P ollock .....

.................. .......Cashier
............A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 342,460.47
B on d s, secu rities, ju d gm en ts
and claim s ................................
68,992.72
O ther real estate .............
48,930.97
B an king h ou se, furniture and
fixtures .....................................
13,826.39
B an kers’ con serv a tion fund ....
971.45
D ue from national and state

Capital stork .............................. $
50,000.00
Surplus fund .................................
7,000.00
Undivided profits (net) ..........
2,827.84
Individual deposits su b ject to
ch eck .........................................
185,348.13
Tim e certificates of d eposit
.... 254,296.97
Savings deposits ..........................
61,294.34
C ashier’ s ch ecks outstanding..
1,606.03
Due to national and state
bnks
.......................................
16,949.62
D ep ositors’ guarantee fund
....
303.08

banks

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

C h e c k s a n d it e m s o fe x c h a n g e
Cash i n b a n k . . . . . . . . . . . . .

91,1 82 .27
154.80

13,106.94

T otal ................................. $ 579,626.01

12


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

Total ................................ $ 579,626.01

BU REAU O F BANKING

322

Plattsmouth State Bank

P la tts m o u th

G. F . C tf. N o. 360

Charter N o. 786
Cass C ounty
H . A . S chneider ......- ..... - ............. P resid ent
H enry H orn ............................V ice-P resid en t
Philip T h ierolf ............. ...... .V ice-P resid en t

Cashier

Frank A . Cloidt

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $
O verd rafts .......................................
B o n d s, secu rities, ju d gm en ts
and claim s .............- ..... - .....—
O ther real estate ....................
B an king h ou se, furniture and
fixtures .....................................
B an kers’ con serv a tion fund ....
Due from national and state
banks .................... - ............ - ....
Cash in bank ................................

661,741.76
228.28
240,248.89
35,012.48
25,000.00
2,299.58

Lanital stock ......... ......................$
Surplus fund ............. - .................
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck ...............................- .....—
T im e certifica tes of d ep osit ....
C ashier’ s ch eck s OutstandingD ep ositors’ guarantee fund ....

50.000.
10. 000. 00
32,424.08
447.506.35
666.438.36
3,674.93
670.20

221,453.85
24,729.08
.$1,210,713.92

T otal

T ota l ................................... $1,210,713.92

First State Bank

P le a s a n t D a le

G. F . C tf. N o . 280

Charter N o. 655
Seward C ounty
L. J. S egrist ....... ........................... P resid ent
W m . Cham berlin ......... .......V ice-P resid en t

Wm.

.Cashier

Cham berlin

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S

T otal


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

..$ 253,110.96

Capital stock ...............
-$
Surplus fund .................................
U ndivided profits (n et) ..........
Individual d ep osits s u b je ct to
ch eck ............................... -—....
Tim e certifica tes of d eposit ....
S avings d eposits .................. ;.......
C ashier’ s ch ecks outstanding..
Due to national and state
banks .........................................
D ep ositors’ guarantee fund ....

20 , 000.00

.

T.^ans and d iscou n ts ............... $ 158,196.21
B on d s, secu rities, ju d gm en ts
and claim s ................................
14,642.42
O ther real estate .........................
2,290.00
B an king h ou se, furnitu re and
fixtures .....................................
7,225.00
B an kers’ con serv a tion fund ....
472.11
Due from national and state
banks .........................................
63,180.81
C hecks and item s of exch a n ge
3.90
Cash in bank ................................
3,100.51
U . S. bonds in cash reserve....
4,000.00

T otal

4,000.00
2,795.07
82,319.77
114,706.42
26,830.38
198.50
2,120.82
140.00

.$ 253,110.96

00

BUREAU OF BANKING

Pleasanton

323

Pleasanton State Bank

C harter N o. 336

g

. p

Ctf

N o_

124

Buffalo County
M.

C ram m er .—........ ...............P resident
G ram m er ...................... .V ice-P resid en t

Frank Gram m er ..................................Cashier
C. A . Gram m er .....................A s s ’t. Cashier
W alter W . R eese ................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 425,964.27
O verd ra fts ......... .........._.................
1,194.09
B on d s, secu rities, ju d gm en ts
and claim s ....................
7,003.45
O ther real estate ............._.........
8 , 0 0 0 .0 0
B an king h ou se, furnitu re and
fixtures .....................................
6,700.00
B an k ers’ con serv a tion fund ....
1,198.83
Due from national and state
banks .........................................
65,080.77
Checks and item s of exchange
1,161.34
7,778.30
Cash in bank .............
U. S. bonds in cash reserve....
37,950.00

Capital stock ...............................$ 25,000.00
Surplus fund .................... ............
25,000.00
572.92
U ndivided p rofits (n et) ..........
Individual d ep osits su b ject to
ch eck _............._............ ...... _....
151,514.76
T im e certifica tes o f d eposit _
359,301.39
D ep ositors’ guarantee fund ....
641.98

T otal

.$ 562,031.05

T otal .................................. $ 562,031.05

Bank o f Plymouth

P ly m o u th
C harter N o. 337

G. F . C tf. N o. 125

Jefferson County
H enry H eiliger ................................PresidentH . P. H eiliger ................................ Cashier
H enry Diekm ann .............-...V ice-P resid en t Bertha W ie tin g .....................A s s ’ t. Cashier
S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ...............$ 191,726.73
O ther real estate
....................
14,500.00
B an king hou se, furnitu re and
fixtures .............................
7,500.00
B an kers’ con serv a tion fund ....
580.82
Due from national and state
banks ...............
38,013.73
C hecks and item s of exchange
380.92
Cash in bank .............
4,624.71
T otal ................................... $ 257,326.91


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

L IA B IL IT IE S
Capital stock ................................. $
Surplus fund ................................
U ndivided profits (net) ..........
Individual d eposits su b ject to
ch eck .........................................
Tim e certifica tes of dep osit ....
S avings d eposits ..........................
D ep ositors’ guarantee fund ....

25,000.00
5,000.00
2,599.01
87,935.71
123,136.29
13,524.60
131.30

T otal ................................... $ 257,326.91

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

BUREAU OF BANKING

P oik

Citizens

325

ate Bank

C harter N o. 1514

G. F . C tf. N o. 1036

Polk County
Joh n H . A n d erson ....................... P resident
J. L . S tou ffer .................—......V ice-President
I.
T . Sam uelson ............... V ice-P res id en t
STATEM ENT (

H.

A.

Johnson ............................... ....Cashier

J U N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ________ $ 222,899.46
O verd rafts ....................
104.97
O th er real estate ......
11,164.11
B an king h ou se, furniture and
fixtures ..........................
12,500.00
B an kers’ con serv a tion fund __
399.70
D ue from national and state
banks ........................................
36,368.74
Checks and item s of exchange
464.68
C ash in bank ......
2,961.41
U . S. bonds in cash reserve....
4,980.00

Capital stock ..................................$ 25,000.00
Surplus fund ......
1 , 0 0 0 .0 0
U ndivided p rofits (n et) _____
4,399.85
Individual d eposits su b ject to
ch eck .........................................
77,177.42
Dem and certifica tes o f dep osit
427.74
Tim e certifica tes of dep osit ....
176,687.61
6,993.46
S avings d ep osits .........................
D ep ositors’ gu aran tee fund _
156.99

T otal ....... ............ ...........$ 291,843.07

T otal ............ ........ ........... $ 291,843.07

Polk

Farmers State Bank

C harter N o. 1236

G. F . C tf. N o. 758

Polk County
F rank A . A d elson ......
President
P.
E. S h ostrom ...................V ice-P resid en t
L.
S. L oom er .......................V ice-P resid en t
A.
H . W o o le v e r ................... V ice-P resid en t

Jno. A . Falk ...................................... Cashier
Orlie A d elson ............. .......... A s s ’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 206,126.75
O v e rd ra fts ........................
208.88
B on d s, s ecu rities, ju d gm en ts
and claim s ....................
1,907.81
O ther assets ............._......... ........
7,907.65
O ther real estate ....
64,090.03
B an kin g hou se, furnitu re and
fixtures .............
12,625.00
B an k ers’ con serv a tion fund ....
• 871.81
Due from national and state
banks ...................................
24,188.84
Checks and item s o f exch a n ge
69.98
C ash in bank .................
2,136.45

Capital stock ................................$ 30,000.00
Surplus fund .............
4,500.00
Individual d eposits su b ject to
ch eck .........................................
70,452.32
Dem and certifica tes of dep osit
450.00
Tim e certificates o f d eposit .... 144,034.00
S avings d ep osits .............
21,770.69
C ashier’ s ch ecks outstanding..
1,401.68
Due to national and state
banks .............
15,589.37
R e-d iscou n ts ....................
4,539.00
B ills payable ........
27,200.00
D ep ositors’ guarantee fund ....
196.14

T otal


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

..$ 320,133.20

T otal

....$ 320,133.20

BUREAU OF BANKING

326

Ponca

Bank of Dixon County

C harter N o. 1133

G. F . C tf. N o. 655-

Dixon County
C. A . K in g sb u ry ..............................P resid ent
H enry H arney .............- ..... .V ice-P resid en t

F. R .

K in g sb u ry ................ ...............C ash ier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts ............... $ 270,011.72
1,663.29
O verd rafts ......
B on d s, secu rities, ju d gm en ts
and claim s .................
37,194.20
O ther real estate .............
18,343.25
B an kin g hou se, furniture and
fixtures ......- ............ - ..... - ........
10,181.14
B an kers’ con serv a tion fund ....
750.92
Due from national and state
banks ....................- .....- .........-.
122,735.06
C hecks and item s o f exch a n ge
1,645.00
Cash in bank ................... ...........
6,067.54
T otal ........................- .....4

468,592.12

Capital stock ................................$
Surplus fund ......
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........................................
D em and certifica tes of dep osit
T im e certifica tes o f d ep osit ....
Due to national and state
banks ........................... - ..... - ....
D ep ositors’ guarantee fund ....

T otal ............................... .$

50,000.00
25,000.00'
4,276.42
75,091.47
2,715.00
291,615.95
19,641.97
251.31

468,592.12

Farmers State Bank

Ponca

G. F . C tf. N o. 923'

C harter N o. 1401
Dixon County
G eorge M a ttison ......... ............... „..P resid en t
W . S. Gilm an ............ - .....„..V ice -P re s id e n t

Owen M cQ uillen ...................... - ..... „..C a sh ier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S

.

.

L oans and d iscou n ts ..... - ...... $ 179,835.41
O verdrafts ........................... 2,296.09
B on d s, secu rities, ju d gm en ts
and claim s .............- .................
3,345.59
O ther real estate .............. .........
5,925.87
B an king h ou se, furnitu re and
fixtures ........................... 6,601.15
B an kers’ con serv a tion fund —
501.97
Due from
national and state
ban ks ......- ................................
64,595.92
C hecks and item s of exch a n ge
1,087.75
Cash in bank -------- ------------------11,132.62
T otal


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

........ $ 275,322.37

Capital s tock
........ ................... $
Surplus fund .................. ............4
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck .......................... - ..... - ....
Dem and certifica tes of dep osit
T im e certifica tes of d ep osit ....
D ep ositors’ guarantee fund ....

T otal

25,000.00’
5,000.00
3,228.72
73,686.64
150.00
168,093.59'
163.42

.$ 275,322.37

BUREAU OF BANKING

Ponca

327

Security Bank

C harter N o. 339

G. «F. C tf. N o. 126

Dixon County
G . L . W o o d ..................... .................. President
J.
M . O’ Connell ........... ... .V ice-P resid en t

I. A . M ellon ............. ...... ............. ....C ashier
L loyd L yn de ......................... .A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927

RESOURCES

L IA B IL IT IE S

Capital stock ....... ................... _...$ 65,000.00
L oans and d iscou n ts ________.$ 403,636.69
Surplus fund .............- .................
50,000.00
O v erd ra fts ............- .....- ............ .
48.72
B on d s, s ecu rities, ju d gm en ts
Individual d ep osits s u b je ct to
130,173.31
and claim s ......................
8,774.69ch eck ......................................
3,970.36
Dem and certifica tes of dep osit
384.86
O ther assets ........................
O th er real estate _____
99,594.53
T im e certifica tes of d eposit .... 326,196.73
C ashier’ s ch ecks outstanding..
1,032.57
B an king hou se, furniture and
fixtures ...............................
7,038.00
Due to national and state
banks ......... .................- ..........
16,420.34
B a n k ers’ con serv a tion fund ....
1,419.61
B ills payable ......
_...
20,000.00
Due from national and state
banks .............................................
57,157.95 D ep ositors’ guarantee fund _
347.14
C hecks and item s of exchange
10,754.99
Cash in bank .................................
9,039.41
U . S. bonds in cash reserve....
8,100.00
T otal ................................... $ 609,554.95

Poole

T otal ..................................$ 609,554.95

State Bank of Poole

C harter N o. 858

G. F . C tf. N o. 412

Buffalo County
C. E. Clark ............. ...... ............. ..P resid en t
H orace J. Cary .....................V ice-P resid en t

Edna A .

Clark ....................................Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ..................... 107,293.04
O v erd ra fts .............
254.11
B on d s, secu rities, ju d gm en ts
and claim s ....................
1,812.98
O ther assets ................ ..............879.05
B an king hou se, furnitu re and
fixtures .....................................
3,000.04
B an kers’ con serv a tion fund ....
297.20
D u e from national and state
banks .........................................
39,380.79
C hecks and item s o f exchange
121.85
Cash in bank ................................
3,508.53
U . S. bonds in cash reserv e...
300.00
T otal


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

__ $ 156,847.55

Capital stock ........................... _...$
Surplus fund .........
Individual d eposits s u b je ct to
ch eck ......
Tim e certifica tes of d eposit ....
S avings d eposits
...
D ep ositors’ guarantee fund ___

T otal

15,000.00
9,000.00
61,869.65
65,625.90
5,263.34
8 8 .6 6

.....$ 156,847.55

BUREAU OF BANKING

328

Potter State Bank

P o tte r
C harter N o. 999

G. F .

C tf. N o. 536

Cheyenne County
C. A . L arsen ................................... P resid en t
C. W . Johnson .............- ......V ice-P resid en t

F . C. H arris ...........
W . E . Cunningham

............. ..C ashier
.A s s ’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ......- ........$ 292,953.29
O verd rafts ......- ..... - ........................
148.50
B on d s, secu rities, ju d gm en ts
and claim s .............- .....- ........
1 , 2 0 0 .0 0
O ther assets ......- ................... - ....
1,219.55
O ther real estate .............- .....—
4,691.25
B an kin g h ou se, furnitu re and
fixtures ................ - ..................
8 , 0 0 0 .0 0
B an kers’ con serv a tion fund ....
453.39
Due from national and state
13,990.86
banks ..................................- ....
Checks and item s of exchange
80.00
Cash in bank ...........................
2,456.59

Capital stock ......... ...... ............. -$ 20,000.00'
Surplus fund ------ ---- - ..... - ...........
5,750.00
Set aside for taxes .....................
457.61
Individual d ep osits s u b je ct to
ch eck ...................................
122,995.65
T im e certifica tes of d ep osit .... 125,932.33
B ills payable ......
49,850.00
D ep ositors’ guarantee
fund ....
207.84

T otal ................................. $ 325,193.43

T otal .................... - ........... $ 325,193.43:

Prague
Charter

Bank o f Prague
G. F . C tf. N o. 47?

No. 932
Saunders County

E . E . P lacek ....... ........................... P resid ent
Joseph V la sak .........................V ice-P resid en t

J. J. V la sak ------M ax V la sak .........

..............Cashier
A s s ’ t. C ashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IABILITIES

L oans and d iscou n ts ....... ........$ 195,092.15
O verdrafts .............- ........................
467.86
B on d s, secu rities, ju d gm en ts
and claim s ................................
83,960.41
B an kin g h ou se, furnitu re and
fixtures .................... - ...............
2,800.00
B an kers’ con serv a tion fund ....
913.50
Due from national and state
banks .................... - ..... - .........—
84,301.21
C hecks and item s of exchange
1,190.07
Cash in bank ................................
4,849.28

Capital stock .................................$ 10,000.00
Surplus fund .............
15,000.00*
U ndivided p rofits (n et) ..........
1,410.12
Individual d eposits s u b je ct to
ch eck ..............................- ........
70,418.93
Dem and certifica tes of dep osit
490.00
T im e certifica tes of dep osit .... 271,971.97
S avings d eposits ....... ..... _..........
4,030.55
D ep ositors’ guarantee fund ....
252.91

T otal ........................... - ....$ 373,574.48


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

Total

373,574.48

BUREAU OF BANKING

Prague

329

Farmers & Merchants Bank

■Charter N o. 340

G. F . C tf. N o. 127

Saunders County
F . J. K irchm an ..............................P resident
G. F .
Sim anek _________ .V ice-P resid en t

G.
H ohl .......— ............................ Cashier
G. H ohl ...— ........ ...... _......A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ...... .........$ 273 438.12
O verd ra fts .....................................
217.55
B on d s, secu rities, ju d gm en ts
and claim s ............. ...... ...........
33,861.89
B an king h ou se, furnitu re and
fixtures ................... _...............
790.00
B an kers’ con serv a tion fund _
978.38
D ue from national and state
banks ................... ...... _........ .
,240.07
C hecks and item s of exchange
265.86
C a sh in bank __________________
636.82

Capital stock ..................................$ 25,000.00
Surplus fund ................................
5,000.00
U ndivided profits (n et) ......
3,033.66
Individual d eposits s u b je ct to
ch eck ......
72,733.45
Tim e certifica tes of dep osit .... 290,519.46
Savings d ep osits ___
6,471.87
Certified ch eck s ..........
24.00
C ashier’ s ch eck s outstanding..
1,396.00
D ep ositors’ guarantee fund
250.25

T otal

--------- $ 404,428.69

Prairie Home

T otal ................................$ 404,428.69

Farmers Bank

C h a rter N o. 844

G. F . C tf. N o. 402

Lancaster County
H en ry P oth a st ------------ ------- -----P resid ent
G uy F . W elsh .....................V ice -P re s id e n t

H en ry P oth a st ................... ................Cashier
A . L . A . W estlan d ____ __ ..A ss’t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S
L oans and d iscou n ts ________ $
O verdrafts _____________________
B an kin g hou se, furnitu re and
fixtures ........................... ...... .
B an k ers’ con serv a tion fund ....
D ue from national and state
banks ___ ___________ ________
C a s h in bank ................. ..... .......
>U. S. bonds in cash reserve....

Total

----------- -------- $


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

81,107.03
138.19
3.500.00
195.58
8,312.55
842.05
2.500.00
96,595.40

L IA B IL IT IE S
Capital s tock _______ _________ _$
Surplus fund ___
U ndivided profits (n et) ...........
Individual d eposits s u b je ct to
ch eck _______
Dem and certifica tes o f d ep osit
T im e certifica tes o f dep osit __
S avings d eposits .........................

County deposits _______ -......

B ills payable .............
D ep ositors’ gu aran tee fund _
T otal ................................$

7,000.00
700.00
74.75
24,060.88
252.83
50,173.30
9,776.33

2,000.00
2,500.00
57.31

96,595.40

BUREAU OF BANKING

330

Farmers State Bank

Primrose

G. F . C tf. N o. 1028

Charter N o. 1506
Boone County
A . J. Sullivan
N ellie D obson ..

R achel G. K inn ier ............. - ..........President
N . J. W h ite ......- .....-_______ .V ice-P resid en t

...............Cashier
.À ss’ t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ......- ..... —$
O verdrafts .............. ............ ...........
O ther real estate .....................
E an k in g h ou se, furnitu re and
fixtures ......... ...........................
B an k ers’ con serv a tion fund ....
D ue from national and state
C hecks and item s of exchange
Cash in bank ....... ............ ...........
U . S. bonds in cash reserve....

124,658.59
298.65
644.00
8,750.00
263.45
41,865.31
375.17
3,029.51
3,374.20

j
1

Capital stock .................... - .........■$
U ndivided p rofits (n et) ..........
Individual d ep osits s u b je ct to
ch eck —...-.....- .......................
Dem and certifica tes of d ep osit
Tim e certifica tes of dep osit ....
S avings d ep osits ............. - ..........
C ounty D eposits ..........................
C ashier’ s ch eck s O utstandingD ep ositors’ guarantee fund ....

17,500.00
1,002.67
63,820.46
1 , 000.00

94,957.19
4,555.20
2 , 000.00

327.63
95.73

T otal ....... .................. - .....$ 183,258.88

T otal ....... ..... - .................. $ 183,258.88

Primrose State Bank

Primrose

G. F . C tf. N o. 335

C harter N o. 752
Boone County
J os. D avis ------------—
W . C. W ick s ......- .....—

.............. P resid en t
..V ice-P resid en t

W.

........„C a sh ie r

E . W ick s

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R C E S
L oans and d iscou n ts --------- --- j
O verd ra fts ....... ......... .................—
B on d s, secu rities, ju d gm en ts
and claim s ......... - ...............
B an kin g h ou se, furnitu re and
fixtures ......- ............ - ..............
B an k ers’ con serv a tion fund ....
D ue from national and state
C hecks and item s of exchange
Cash in bank ....... ............ ...........

188,078.89
710.40
100, 000.00
6,750.00
728.32
57,005.97
282.34
4,859.66

T ota l ................................. $ 358,415.58


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

Capital stock ...............................$
Surplus fund ......
U ndivided p rofits (n et) -------R eserve for con tin g en cies .......
Individual d eposits s u b je ct to
ch eck ..................................... •—
Demand certifica tes of dep osit
Tim e certifica tes of dep osit —
C ashier’ s ch eck s ou tsta n d in g U . S. govern m en t bonds .......
D e p ositors’ gu aran tee fund —

13,500.00
21,500.00
5,368.25
1,708.00
100,631.46
2,485.94
201,801.65
225.00
11,000.00
195.28

T otal ................................ $ 358,415.58

BUREAU OF BANKING

Princeton

331

Princeton State Bank

•Charter N o. 1316

G. F> Ctf> No>

838

Lancaster County
C hrist B ettenhausen ............. — .... P resid ent
John E tm un d, J r .......... ....... V ice-P res id en t

H enry L . R iley ............. ............... .....Cashier
B. L. B alderson ............. .......A s s ’ t. Cashier

STATEMENT O F JUNE 30, 1927
RESOURCES
.

L oans and d iscou n ts
■Overdrafts ...............................
B on d s, s ecu rities, ju d gm en ts
and claim s ................................
B an king h ou se, furnitu re and
fixtures ........
B an kers’ con serv a tion fund ....
Due from national and state
banks .............
C hecks and item s of exchange
C a s h in bank ..........

LIABILITIES
93,097.75
590.47
12,260.62
3,452.50
259.51
34,181.85
1,106.00
1,342.47

T otal ........... ........................$ 146,291.17

Prosser

Capital stock ---------------------------- $
Surplus fund ...............
U ndivided p rofits (net) ______
Individual d eposits s u b je ct to
ch eck ....
Dem and certifica tes o f d ep osit
Tim e certifica tes o f dep osit
D ep ositors’ guarantee fund
.._

10,000.00
1,350.00
565.98
46,904.58
2 , 0 0 0 .0 0
85,374.23
96.38

T otal ------------------------ -----$ 146,291.17

Prosser State Bank

'C harter N o. 783
Adams

G. F . Gtf. No>

357

County

Chas. K . H art .............. .................P resid ent
‘C. J. H a rt --------- --------------V ice -P re s id e n t

Lauren ce W illia m s ............................Cashier
L ou is K a tzb erg ____________ A.ss’ t. Cashier

STATEMENT OF J U N E 30, 1927
RESOURCES

L IA B IL IT IE S

L oans and d iscou n ts ...............$ 124,542.43
O verd rafts ................... ...... ..........
33.38
B on d s, s ecu rities, ju d gm en ts
and claim s ......
21,071.91
B an k in g h ou se, furnitu re and
fixtures ....................
5,949.92
B an kers’ con serv a tion fund _
403.16

Due from national and state
banks .............
C a s h in bank ___
‘U . S. bonds in ca sh reserve....

Total


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

9,880.75
2,025.02
2,000.00

---------$ 165,906.57

Capital stock _________________ .$
Surplus fund ........................
U ndivided p rofits (n et) _____
Individual d ep osits su b je ct to
ch eck .........
Dem and certifica tes of dep osit
Tim e certifica tes of dep osit ....
D ep ositors’ guarantee fund _
R eserv e for interest and taxes

T otal

20,000.00
400.00
1,046.26
44,442.01
1,172.77
97,186.54
108.99
1,550.00

..$ 165,906.57

BUREAU OF BANKING

332

Purdum State Bank

Purdum

G. F. Ctf. No. 7S6

Charter No. 1234
Blaine County
R.

R.

Greenland .— ..................... President

G. H. Cox ------------- _____ .V ice-P resid en t

G. H . C ox .......................................... ..Cashier
B essie C ox .............................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts .............. $
O verd rafts ......... - ............. .........—
O ther real estate ......- ..... - .....—■
B an kin g h ou se, furniture and
fixtures .............- .........— ........
B an kers’ con serv a tion fund ....
D ue from national and state
banks ......C hecks and item s of exch a n ge
Cash in bank ......... .:— U . S. bonds in cash reserve....

68,090.71
171.39
14,414.90

T otal ..................................4

94,557.30

Raeville
C harter N o.

1,145.20
231.67
7,809.94
430.86
1,412.63
850.00

Capital stock .................................$
Surplus fund .—....... - ...........
U n divided profits (n et) ........—
Individual d eposits s u b je ct to
ch eck ......- ............................. ■—
Dem and certifica tes of dep osit
Tim e certifica tes of d ep osit ....
C ashier’ s ch ecks outstanding..
R e-d iscou n ts ................... - ...........
D ep ositors’ gu arantee fund ....

10,000.00
1,560.01
1,043.71

T otal ................... .............. 4

94,557.30

31,893.56
1,000.00
44,300.59
444.71
4,250.00
64.72

Farmers State Bank
1425

G. F .

C tf. N o.

947

Boone County
L ou is B ueltel ..................................P resident
John A . R eicks .....................V ice -P re s id e n t

E.

H.

M ack ...... — ................... - .....-C a s h ie r

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R E SO U R C E S
L oans and d iscou n ts ............... $
O verd rafts ......- ............ - ..... - .........
O ther real estate ................ - ......
B an kin g h ou se, furnitu re and
fixtures ......... —- ......................
B an k ers’ con serv a tion fund ....
Due from national and state

banks ---- --------------------- --Cash in bank ......- .........- .........

Total


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

126,087.84
448.90
25,167.97
7,000.00
397.80

Capital stock .................... —.......... $
Surplus fund .................... - ..... —
U ndivided p rofits (n et) — ......
Individual d ep osits s u b je ct to
ch eck ......- ............ - ......... ;-----T im e certifica tes of dep osit ....
D e p ositors’ guarantee fund ....

15,000.00
1,500.00
577.93
53,875.51
118,756.74
115.72

29,216.73
1,506.66

.$ 189,825.90

T otal

.$ 189,825.90

333

BU REAU O F BANKING

Ragan

Bank of Ragan

C harter N o. 1051

G. F . C tf. N o. 580

Harlan County
E.
M . C ox ...................................P resid ent
Janet Cox ...............................V ice-P resid en t

T h o s . C. R o ge rs ................................ Cashier
Paul A llerh eiligen ............... A s s ’ t. C ash ier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ......... ..... $ 178,379.89
O verd ra fts ......_.....- ......................
467.39
O ther assets ......- ................... ......
683.50
O ther real estate .....................
16,089.03
B an kin g hou se, furniture and
fixtures .....................................
6,528.18
B an kers’ con serv a tion fund ....
464.30
Due from national and state
ban ks .........................................
11,764.95
C hecks and item s of exchange
377.17
Cash in bank ........
3,887.60

Capital stock .......................-.........$
Surplus fund ..........
Individual d eposits su b ject to
ch eck ....................
Dem and certifica tes of dep osit
T im e certifica tes of d eposit
....
S avings d eposits ......
B ills payable .................................
D ep ositors’ guarantee fund
....

T ota l .................... ..............$ 218,642.01

Ralston

20,000.00
4,000.00
60,576.85
4,525.00
79,587.32
25,835.38
24,000.00
117.46

T otal ..............................._...$ 218,642.01

Ralston State Bank

C harter N o. 1210

G. F . C tf. N o. 732

Douglas County
O. J. M ilius

-

.................. President
STATEM ENT C

J.

T.

H arnett ............. - .......- ..... .......Cashier

JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 155,325.67
2,089.36
O verdrafts ............. - ............ - ..........
B on d s, secu rities, ju d gm en ts
and claim s ................. - ............
16,210.00
O ther assets ............. ....................
2,042.50
O ther real estate .......... —..........
50,136.87
B an king h ou se, furniture and
fixtures .................... - ............ —
10,518.12
B an kers’ con serv a tion fund ....
1,004.22
Due from national and state
banks ....................- ..... - .....- ....
38,716.39
C hecks and item s of exch a n ge
413.97
Cash in bank ............. ...... ...........
5,617.74
U . S. bonds in cash reserve....
4,500.00

Capital stock ................................. $ 15,000.00
Surplus fund ................................
5,000.00
929.31
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ......
140,336.96
T im e certifica tes of d ep osit
.... 72,840.08
S avings d ep osits .............- .........
50,948.71
C ashier’ s ch ecks outstanding..
1,311.00
D ep ositors’ guarantee fund
....
208.78

T otal


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

.$ 286,574.84

T otal

.$ 286,574.84

334

BU REAU O F BANKING

Randolph
C harter N o.

Farmers & Merchants State Bank
1588

G.

F.

C tf.

N o.

1111

Cedar County
Stephen

F.

B row n e

___________ P resid en tP eter M . B erm el ............. ....V ice -P re sid e n t
S T A T E M E N T O F JU N E 30, 1927

R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts .............. $ 152,026.62
O verd rafts ...................................—.
238.87
B on d s, secu rities, ju d gm en ts
and claim s ......
78,583.73
O ther assets ................................
900.54
O ther real estate ......
15,664.07
B an king hou se, furnitu re and
fixtures .............
7,561.95
B an kers’ con serv a tion fund ....
605.82
Due from national and state
banks ......... - ........ - ...................
53,280.12
4,044.74
Cash in bank ....................
T otal ......... ........................$ 312,906.46

Ravenna

Capital stock ................................. $
U ndivided profits (n et) ..........
Individual d eposits su b ject to
ch eck ....
Dem and certifica tes of d ep osit
Tim e certifica tes of dep osit ....
Savings d ep osits ......
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund ....

25,000.00
3,534.66
103,817.61
150.80
169,559.76
10,412.93
281.45
149.25

T ota l ................................... $ 312,906.46

Citizens State Bank
G. F . C tf. N o. 272

C harter N o. 645
Buffalo County
M.

L.

President
B on son -H la v a .... ..... V ic e -P re s id e n t

A . E. E razim .......................................C ashier
H . J. K la tt ............................ A s s ’t. Cashier

S T A T E M E N T O F J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ................$ 468,249. lli
O verd ra fts .............- .....- .....- .........
1,640.30
B o n d s, s ecu rities, ju d gm en ts
and claim s ................ - ...........
2,907.03
B an kin g h ou se, furnitu re and
fixtures ........................... - .....—
3,500.00
B an kers’ con serv a tion fund ....
1,276.74
Due from national and state
banks ....................................
39,754.74
Cash in bank ................................
15,886.42
U . S. bonds in cash reserve....
5,243.43
O ther cash resou rces ......- ......
3,529.84

Capital stock ................................ $ 25,000.00
Surplus fund ............ - .................
15,000.00
U ndivided p rofits (n et) ..........
1,573.59
Individual d eposits s u b je ct to
ch eck .................................. - ....
170,356.02
Dem and certifica tes o f d ep osit
682.00
T im e certifica tes of dep osit .... 304,984.89
S avings d eposits .... ....................
6,054.76
Certified ch eck s ....................
5.00
L etter of Credit ......- .................
1 , 0 0 0 .0 0
B ills payable ......
17,000.00
D ep ositors’ guarantee fund
331.35

T otal


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

.$ 541,987.61

T otal

.$ 541,987.61

BU REAU O F BANKING

Ravenna

335

Security State Bank

C harter N o ; 1490
Buffalo

G. F. C tf. N o.

1012

County

F . J. W ilk ie ................................... President
E th el R . H ow ard .............—.V ice-P resid en t

E m il H olub .......
W . E. G eohring

.................... Cashier
__ A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 100,978.11
176.08
O verd rafts .............
B on d s, s ecu rities, ju d gm en ts
and claim s .............
276.40
O ther assets ......- ..... - .........- ........
763.76
O ther real estate .........................
1,600.00
B an kin g hou se, furniture and
15,000.00
fixtures ......
B an k ers’ con serv a tion fund ....
242.89
Due from national and state
banks ......................
13,760.32
C hecks and item s of exchange
1,407.56
5,142.31
Cash in bank ................
U . S. bonds in cash reserve....
3,500.00

Total

Capital stock .............................. .$
Individual d eposits su b ject to
ch eck ...................................
Dem and certifica tes of d ep osit
Time certifica tes of dep osit
D ep ositors’ guarantee fund ....

53,416.29
350.00
59,006.13
75.01

T otal ................................. $ 142,847.43

__________________ $ 142,847.43

Ravenna

30,000.00

State Bank of Ravenna
G. F . C tf. N o. 128

C harter N o. 344
Buffalo

County

C. N . D a ven p ort ........................... President
A . R . K inn ey ....................V ice-P resid en t

R.

M.

T h om son

................ ............'...Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ...............$ 432,386.44
O v erd ra fts .......................................
728.37
B on d s, secu rities, ju d gm en ts
2,350.00
and claim s .................... - ........
B an kin g hou se, furniture and
fixtures ....................- .....- ........
3,692.00
B an kers’ con serv a tion fund ....
1,268.17
D ue from national and state
banks ......... ................. - ...........
57,252.60
C hecks and item s of exch a n ge
2,071.20
Cash in bank .................
9,154.33
U . S. bonds in ca sh reserv e...
6,900.00
T otal


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

.$ 515,803.11

Capital stock ..............................-.$
Surplus fund ......- .........- .............
U ndivided p rofits (n et) .......
In dividual d ep osits s u b je ct to
ch eck ........ .— .........- ...........—Dem and certifica tes of d eposit
Tim e certifica tes of dep osit ....
S avings d ep osits .............- ........
D ep ositors’ guarantee fund ....

T otal

25.000.
16.000.
1,250.00
212,812.18
6,941.80
250,320.85
3,152.86
325.42

.$ 515,803.11

00
00

336

BU REAU O F BANKING

Raymond

Bank of Raym ond

C harter N o. 613

G. F. C tf. N o. 247

Lancaster County
J . C. D eu ser, J r ............................. P resid ent
E m ile B erlet .........................V ice-P resid en t

J.

Charles D eu ser ..............................Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 105,142.94
O v erd ra fts .................... - .................
987.40
B on d s, secu rities, ju d gm en ts
and claim s ..............................
4,451.47
19,343.12
O th er real estate .............
B an kin g hou se, furnitu re and
fixtures ........................... - ........
6 , 0 0 0 .0 0
B an k ers’ con serv a tion fund ....
377.18
Due from national and state
banks .........................................
5,334.45
Checks and item s of
exch a n ge
2 1 1 .6 6
Cash in bank ................................
1,649.23
U . S. bonds in cash
reserve....
4,000.00
147,497.45

T otal

Red Cloud

Capital stock .................... - .........$
U ndivided profits (n et) ......
Individual d ep osits s u b je ct to
ch eck .................. .........- ...........
Dem and certifica tes of dep osit
T im e certifica tes of dep osit ....
S avings d eposits ......... - .............
B ills payable ................................
D ep ositors’ guarantee fund —

12,000.00
980.19
66,854.07
465.00
55,172.89
3,326.09
8,616.00
83.21

147,497.45

T otal

Peoples Bank of R ed Cloud

C harter N o. 346

G. F .

C tf. N o . 130

W ebster County
Geo

E

Coon

...................... - ......P resid en t

W . A . S herw ood ................................ C ashier
C. M . S herw ood .................. ...A ss’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and discou n ts ....... ........S 240,648.93
2,548.20
O verdrafts ................. ..—.................
B on d s, secu rities, ju d gm en ts
27,225.06
and claim s .............- .....- ........
B an king hou se, furnitu re and
17,500.00
fixtures ......- ......-.........— ..... —
865.68
B an kers’ con serv a tion fund ....
Due from national a n d s t a t e
65,841.51
banks .............- ..... - .........—■—
613.73
C hecks and item s of exchange
7,206.34
Cash in bank ........................- ....

Capital s tock ........................... _...$ 50,000.00
Surplus fund .............
10,000.00
U ndivided p rofits (net)_ ......
3,680.78
Individual d eposits s u b je ct to
ch eck .................... ............. - ....
131,648.97
D em and certifica tes of dep osit
1,927.25
T im e certifica tes of dep osit
.... 146,938.19
S avings d ep osits -------5,546.97
Due to national and state
ban ks ______________________
6,989.98
D ep ositors’ guarantee fund
....
232.81
R eserv es ----5,484.50

T otal


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

__ $ 362,449.45

T otal

.....$ 362,449.45

!

BU REAU O F BANKING

Red Cloud

337

The State Bank

•Charter N o. 345

G. F . C tf. N o. 129

Webster County
J.

W.

A u ld

..................................... President

H.

C. L etson ..................................

S T A T E M E N T OF JU N E 30, 1927
R ESO U R CE S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 334,601.42
■Overdrafts ....................
707.66
B on d s, secu rities, ju d gm en ts
and claim s .............................
71,000.00
30,000.00
•Other real estate ....................
B an king h ou se, furnitu re and
fixtures ...................................
15,000.00
B an kers’ con serv a tion fund ....
1,132.03
Due from national and state
banks ......................
96,492.23
•C hecks and item s of exchange
575.98
.C ash in bank ....................
11,579.53

Capital stock .............................. $ 50,000.00
Surplus fund ...........................
1 0 , 0 0 0 .0 0
U ndivided orofits ('net')
8,875.17
Individual d eposits su b ject to
ch eck .................... ............. .....
202,237.95
Dem and and tim e certifica tes
of d eposit ................................
238,363.63
S avings d eposits .........................
44,738.40
Due to national and state
banks .... .........
6,530.96
D ep ositors’ guarantee fund ....
342.74

T otal ........................... .....$ 561,088.85

Red Cloud

T otal ...............................$

561,088.85

Webster County Bank

•Charter N o. 1049

G. F. C tf. N o. 578

W ebster County
E dw ard F iora n ce

........ ........ ......P resident
STATEM ENT

S.

R.

F lorance ____

R ESO U R CE S

L IABILITIES

L oans and d iscou n ts ................$ 136,277.62
O verdrafts ......
209.44
B on d s, s ecu rities, ju d gm en ts
and claim s .............
62,640.00
O ther real estate .................
10,000.00
B an kin g hou se, furnitu re and
fixtures ......
1,900.00
B an kers’ con serv a tion fund ....
543.94
Due from national and state
banks ...........................
34,104.62
■C hecks and item s o f exchange
116.45
« Cash in bank ________
5,540.80
T otal


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

Cashier

J U N E 30, 1927

.$ 251,332.87

Capital stock ---------------------------- $
Surplus fund ..........
U ndivided p rofits (n et) .....
Individual d ep osits su b ject to
ch eck ............................
Dem and certifica tes of d ep osit
T im e certifica tes o f dep osit _
S avings d ep osits ____
D ep ositors’ guarantee fund _

Total

25,000.00
10,000.00
7,616.31
107,027.48
633.33
89,680.48
11,217.55
157.72

.$ 251,332.87

BU REAU O F BANK ING

338

Republican City

Commercial State Bank

C harter N o. 749

G. F .

C tf. N o. 333

Harlan County
M . H . H askins ......- ........................P resid ent
C hristina M offett ................. V ice-P resid en t

C. H . W ald o ....................... - ................ Cashier
O. D. H anson .........................A ss t. Cashier

S T A T E M E N T OF JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ............... $ 138,521.19
O verd rafts .............- ........................
152.79
O ther real estate ......- .................
8,450.00
B an king hou se, furnitu re and
fixtures .....................................
1 0 , 0 0 0 .0 0
B an kers’ con serv a tion fund ....
571.32
Due from national and state
banks ......- ........ - .........- ...........
19,891.49
C hecks and item s of exchange
1,844.90
Cash in bank ............................
2,528.38
T ota l ..................................$ 181,960.07

Capital stock ............................... $
Surplus fund ......- ..... - ............ —U ndivided p rofits (n et) -------Individual d ep osits s u b je ct to
ch eck ......... - ............ - ...............
Dem and certifica tes o f dep osit
Tim e certifica tes of d ep osit
....
D ep ositors’ guarantee fund
....

20,000.00
4,000.00
773.10
73,698.32
27.40
83,331.80
129.45

T otal ............................. ....$ 181,960.07

The Nebraska State Bank

Republican City

G. F . C tf. N o. 1014

C harter N o. 1492
Harlan County
B row n Gifford ................................... P resid ent
Jam es T hom as .................... V ice-P resid en t

J. S. Z d y ch n e c ............................ ..... ..Cashier
V era G ifford ...... ..................... A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

R ESO U R CE S
L oans and d iscou n ts ................$ 52,925.91
O verd rafts .............- ........................
29.16
B on d s, secu rities, ju d gm en ts
and claim s ......... - ................—
755.00
O ther assets ...................................
2,090.97
O ther real estate
............
6,707.98
B an king hou se, furnitu re and
fixtures ......- ................
6,593.53
B an kers’ con serv a tion fund ....
142.20
Due from national and state
ban ks .............- ..........................
518.60
C hecks and item s o f exch a n g e
840.21
Cash in bank ......- ............ —1,025.50
T otal .............- ....................$


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

71,629.06

Capital stock ................._............ .$
Individual d ep osits s u b je ct to
ch eck .................................. - ....
Tim e certifica tes of dep osit ....
C ashier’ s ch eck s outstanding..
Bills payable .............- .................
D ep ositors’ gu aran tee fund ....

20,000.00

T otal .............- .................... $

71,629.06

24,617.81
17,751.93
2,317.85
6,900.00
41.47

t

BU REAU O F BANKING

Reynolds

339

The Farmers Bank

■Charter N o. 772

G. F . C tf. N o. 348

Jefferson County
H.
H . Johnson ............................. President
Jam es Sim m ons .................... V ice-P resid en t
STATEM ENT (

R . H. V an ce ..........................
Cashier
Beulah S. V an ce .....................A s s ’ t. Cashier
J U N E 30, 1927

R ESO U R CE S
L oans and d iscou n ts ............... $
-O verd ra fts ....................
O ther real estate .................... _...
B an king h ou se, furniture and
fixtures ......
B an k ers’ con serv a tion fund _
Due from national and state
banks .........................................
•Checks and item s of exchange
■Cash in bank ...........................
*U. S. bonds in cash reserve....
T otal ........................... _...$

Richfield

L IA B IL IT IE S
96,6S0.09
542.29
5,972.97
3,330.00
429.70
7,423.77
1,974.26
2,294.71
750.00
119,367.79

Capital stock ............................... $
Surplus fund ...............................
U ndivided profits (n et) ______
Individual d eposits s u b je ct to
ch eck ................................... 1....
Dem and certifica tes of dep osit
Tim e certifica tes of dep osit _
S avings d ep osits ....................
C ashier’ s ch ecks outstanding..
D ep ositors’ guarantee fund _
T otal ---------------------------$

10,000.00
2,000.00
2 1 .3 9

45,849.32
2,000.00
57,587.64
1,813.09
20.35
76.00
119,367.79

Richfield State Bank

Charter N o. 1592

G. F . C tf. N o. 1115

Sarpy County
T hom as H am ilton
................ P resident
. J . C. B ecker ......... ............. .V ice-P resid en t
STATEM ENT (
R ESO U R CE S
L oans and d iscou n ts ............... $ 130,835.31
• O verd rafts ........................... ...........
1,457.08
B on d s, secu rities, ju d gm en ts
and claim s ......
27,662.50
B an king h ou se, furniture and
fixtures .....................................
1,353.79
B an k ers’ con serv a tion fund ....
182.01
Due from national and state
banks ....................
53,752.17
C hecks and item s o f exch a n ge
764.69
►Cash in bank ..........
1,108.22
T ota l ................................... $ 217,115.77


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

Paul H .

Graham ___ ______________ C ashier

J U N E 30, 1927
L IA B IL IT IE S
Capital stock ................................. $
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck ........
T im e certifica tes o f dep osit ....
S avings d eposits ................._......
C ashier’ s ch eck s outstanding..
D ep ositors’ guarantee fund _

25,000.00
315.12
57,574.43
125,299.95
7,943.87
185.47
796.93

T otal ........................... .......$ 217,115.77

340

B U R E A U

B A N K IN G

Richland State Bank

Richland
C h a rter N o .

O F

G.

946

F.

C tf.

N o.

487

Colfax County
F.
W . S h o n k a ......... ............ - ...... . . .. P r e s i d e n t
F r e d K l u c k ______ ____________ V i c e - P r e s i d e n t
STATEM EN T

G e o . A . S h o n k a ------ ---------------------------- C a s h i e r
H e l e n S h o n k a ......................— A s s ’ t . C a s h i e r
O F JU N E

30,

L oans and d iscou n ts ....... ........$
O verd ra fts — ..................................
B on d s, secu rities, ju d gm en ts
and claim s ............. - ---- --------B an kin g h ou se, furnitu re and
fixtures .............. ..... - .........-....
B an kers’ con serv a tion fund ....
Due from national and state
banks
— ,— - ........ —
Cash in bank ......... .................- ....

152,717.49
785.18

T o t a l ........................................... $

302,964.77

N o.

C a p i t a l s t o c k ......................................... $
S u r p l u s f u n d ....... - ...... —.....- ..............
U n d i v i d e d p r o f i t s ( n e t ) ---------In d iv id u a l d e p o s its s u b je c t to
ch eck
.........................- ............... — —
D e m a n d c e r tific a te s o f d e p o s it
T i m e c e r t i f i c a t e s o f d e p o s i t ....
C a s h i e r ’ s c h e c k s o u t s t a n d i n g ..
D e p o s i t o r s ’ g u a r a n t e e f u n d ....

5 1,7 65 .00
4 ,0 8 8 .0 0
590.78
8 8,238.61
4 ,7 7 9.7 1

T o t a l ........................................... $

1 5,0 00 .00
6 ,0 0 0 .0 0
6 ,5 3 9 .4 8
106 ,50 8.0 0
149.45
168,299.81
294.75
173.28

302,964.77

Farmers State Bank

Rising City
C h a rter

1927
L IA B IL IT IE S

R ESO U R C E S

G.

776

F.

C tf.

N o.

351

Butler County
D . J . S m i t h .........................
W . A . N o d d i n g s ...........

...............P r e s i d e n t
..V ic e - P r e s i d e n t

STATEM EN T

L . O . S tok er
J . F . K u b i k ....
E . L . S e l d e n ...
O F JU N E

1927
L IA B IL IT IE S

RESOU RCES
L o a n s a n d d i s c o u n t s ......... ......... $
O v e r d r a f t s ................— ........................
B on d s,
s e c u r itie s , ju d g m e n t s
a n d c l a i m s .........................- ..........
B a n k in g h o u s e , fu r n it u r e a n d
f i x t u r e s ........................ ................. —
B a n k e r s c o n s e r v a t i o n f u n d ....
D u e fr o m n a t io n a l a n d s ta te
b a n k s ............................. —-------------C a s h in b a n k ....... - ............... - ..............

355 ,28 4.0 0
767.21

T o t a l ........................................... $

449,909.51


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

30,

.................... C a s h i e r
. A s s ’ t . C a s h ie r
..A s s ’ t . C a s h ie r

180.00
6 ,5 0 0 .0 0
905 .70
8 3 ,9 0 8 .4 8
2 ,3 6 4 .1 2

2 5 ,0 0 0 .0 0
7 ,5 0 0 .0 0
1 ,9 8 1 .1 9

C a p i t a l s t o c k ................ - .................... $
S u r p l u s f u n d ................- ................. —
U n d i v i d e d p r o f i t s ( n e t ) ............
In d iv id u a l d e p o s its s u b je c t to
.........................- ...............
ch eck
D e m a n d c e r tific a te s o f d e p o s it
T i m e c e r t i f i c a t e s o f d e p o s i t ....
S a v i n g s d e p o s i t s ................ - ...........
C a s h i e r ’ s c h e c k s OutstandingD e p o s i t o r s ’ guarantee f u n d ....

155 ,75 5.3 4
198.33
205 ,28 9.2 3
5 0,9 26 .44
2 ,9 9 6 .4 9
262.49

T o t a l ........................................... $

449,909.51

B U R E A U

Rising City
C h a rter

N o.

O F

341

B A N K IN G

Rising City Bank

702

G.

F.

C tf.

N o.

303

Butler County
Edw.

K a lle n b a c h

______________ ____P r e s i d e n t

STATEM EN T

J . F . B a t e s ____ ________________________ C a s h i e r
W . O . L a r s o n ............................ A s s ’ t . C a s h i e r
W . H . D r a w b a u g h ........... ............B o o k k e e p e r
OF

JU N E

30, 1927

RESOU RCES

L IA B IL IT IE S

L o a n s a n d d i s c o u n t s ...................$
O v e r d r a f t s ..................................
B on d s,
s e c u r it ie s , ju d g m e n t s
a n d c la im s
......... ............... _.......
O t h e r r e a l e s t a t e ....... ................. _...
B a n k in g h o u s e , fu r n it u r e a n d
f i x t u r e s .......
B a n k e r s ’ c o n s e r v a t i o n f u n d ___
D u e fr o m n a t io n a l a n d s t a t e
b a n k s ________ _____ ___ _________
C h e c k s a n d it e m s
o fe x ch a n g e
C a s h in b a n k ................ _.....................

227 ,95 5.5 6
476.67

T o t a l ...........................................$

357 ,20 9.2 0

Riverdale
C h a rter N o .

2 6,3 97 .50
12,190.09
9 ,0 0 0 .0 0
734.34
78,0 34 .80
7 .05
2 ,4 1 3 .1 9

C a p i t a l s t o c k .................... .................. $
S u r p l u s f u n d ................_.....................
U n d i v i d e d p r o f i t s ( n e t ) .......
I n d iv id u a l d e p o s its s u b je c t to
ch eck
..............................................
D e m a n d c e r tific a te s o f d e p o s it
T i m e c e r t i f i c a t e s o f d e p o s i t __
S a v i n g s d e p o s i t s .........................
C a s h i e r ’ s c h e c k s o u t s t a n d i n g ..
D e p o s i t o r s ’ g u a r a n t e e f u n d __

93,0 99 .87
298.45
2 1 3 ,80 8.7 2
13,795.81
2 ,9 3 5 .0 2
191.61

._...$

357 ,20 9.2 0

T ota l

State Bax

2 0 ,0 0 0 .0 0
1 3,0 00 .00
7 9.7 2

of Riverdale

984

G.

F.

C tf.

N o.

523

Buffalo County
F red
B a rgm an n
......... ....................- . . . P r e s i d e n t
L . K i n g ............................ — V i c e - P r e s i d e n t

C.
C.

E.

STATEM EN T

(

RESOU RCES


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

JU N E

30,

..................... A s s ’ t .

C a s h ie r
C a s h ie r

1927
L IA B IL IT IE S

L oans and d iscou n ts ............... $ 172,356.02
O verd rafts ............................ - ........
302.61
B on d s, secu rities, ju d gm en ts
and claim s ................................
29,713.17
B an kin g h ou se, furnitu re and
fixtures ......- ...
1 , 1 0 0 .0 0
B an k ers’ con serv a tion fund ....
478.53
Due from national and state
banks ................... ...... - .....- ....
49,138.92
C hecks and item s of
exch a n ge
41.36
Cash in bank .......................—
5,100.58
U . S. bonds in cash
reserve....
3,000.00
T o t a l ........................................... $

H . P r a t t .......
M . C u d ab ock

2 6 1 ,23 1.1 9

C a p i t a l s t o c k ................................. ....... $
S u r p l u s f u n d .......................................
U n d i v i d e d p r o f i t s ( n e t ) .............
In d iv id u a l d e p o s its s u b je c t to
ch eck
.............
D e m a n d c e r tific a te s o f d e p o s it
T i m e c e r t i f i c a t e s o f d e p o s i t __
S t o c k h o l d e r s ’ a c c o u n t .................
D e p o s i t o r s ’ g u a r a n t e e f u n d ....

9 3 ,4 6 4 .5 9
268.95
128,126.55
2 ,4 0 6 .0 6
145.72

T o t a l ......... ................... ............ .$

2 6 1 ,23 1.1 9

1 5,0 00 .00
1 2,0 00 .00
9 ,8 1 9 .3 2

/

342

B U R E A U

Riverton
C h a rter

N o.

O F

B A N K IN G

Riverton State Bank
546

G.

F.

C tf.

N o.

207

Franklin County
E . S. P etersen ..........
Cashier
V . R . T uers ............. ..............A s s ’ t. C a s h i e r

P . P . E a stw ood
.......... .......P r e s i d e n t
W . H . H o b a r t _______ ___ „ . . V i c e - P r e s i d e n t
STATEM EN T

O:

JU N E 30, 1927

LIABILITIES

RESOU RCES
L o a n s a n d d i s c o u n t s ......... ..........$
O v e r d r a f t s .................... ............ ........ _...
O t h e r r e a l e s t a t e ........................ ..
B a n k in g h o u s e , fu r n it u r e a n d
fix tu r e s
.....................
B a n k e r s ’ c o n s e r v a t i o n f u n d ___
D u e fr o m n a t io n a l a n d s ta te
b a n k s ..........................................
C h e c k s a n d ite m s o fe x c h a n g e
C a s h in b a n k .......

230,976.63
188.60
6 ,6 9 5 .0 0

T o t a l .................. ......... ...............$

2 7 0 ,36 8.5 6

Roca

Capital stock ............. ........ ......... $
Surplus fund ......
U ndivided profits (n et) ......
Individual d ep osits s u b je ct to
ch eck .........................................
Dem and certifica tes o f dep osit
Tim e certifica tes of d ep osit _
S avings d ep osits ....................
R e-d iscou n ts .................... - ...........
B ills payable ......... - ............... .....
D ep ositors’ guarantee fund _

6 ,2 5 0 .0 0
812.02
20,4 24 .21
477.72
4 ,5 4 4 .3 6

T o t a l .......................................... .$

Bank

C h a rte r N o .

12,500.00
2,500.00
828.24
107,869.77
50.00
115,193.07
7,406.30
12,470.81
11,450.00
100.37
2 7 0 ,3 6 8 .5 6

f R oca

974

G.

F.

C tf.

N o.

514

Lancaster County
C h as.
D a m r o w __________
W m . H . M e y e r ____

P r e s id e n t
V ic e -P r e s id e n t
STATEM EN T

(

RESOU RCES

A.

K eel

JU N E

30,

1927

....... .............. ................. „ . C a s h i e r

L IA B IL IT IE S

L o a n s a n d d i s c o u n t s ................... $
O v e r d r a f t s ........................ _...... - ............
B onds,
s e c u r itie s , ju d g m e n t s
a n d c l a i m s .................................._...
B a n k in g h o u s e , fu r n it u r e a n d
f i x t u r e s ........... ........ ........................
D u e fr o m n a t io n a l a n d s t a t e
b a n k s ................ ............._...... ............
C h e c k s a n d it e m s o f e x c h a n g e
C a s h in b a n k ....... ........ ...... ....... .......

4 7 ,7 7 6 .6 3
119.82

T o t a l ......... ...... ................... ....... $

1 01,008.77


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

C h as.

1 5,8 0 9 .1 6
1 ,2 0 0 .0 0

C a p i t a l s t o c k ....... ..................... ......... $
S u r p l u s f u n d .......................................
In d iv id u a l d e p o s its s u b je c t to
ch eck
....................
D e m a n d c e r tific a te s o fd e p o s it
T im e c e r t ific a t e s o f d e p o s it _
D e p o s i t o r s ’ g u a r a n t e e f u n d ___

6 1 ,7 9 1 .8 7
6 .0 0
3 2,6 61 .97
48.93

T o t a l ........................................... $

101,008.77

5 ,0 0 0 .0 0
1 ,5 0 0 .0 0

32,8 61 .01
89.71
3 ,1 5 2 .4 4

B U R E A U

343

B A N K IN G

R ockford State Bank

Rockford
C h a rter N o .

O F

G.

1509

F.

C tf.

N o.

1031

Gage County
J.
C.
D e l l ....... - ................... - .......... .....P r e s i d e n t
P ope
F r e r ic h s
....... _...........- . . . V i c e - P r e s i d e n t
STATEM EN T

O.

C.

O F JU N E

F ra n tz

30,

1927

L IA B IL IT IE S

R ESO U R CE S

.

L oans and d iscou n ts ................$ 86,192.74
O verdrafts ......- .................... 69.84
B an king h ou se, furniture and
fixtures .—........... ...................
5,850.00
B an kers’ con serv a tion fund
....
186.16
Due from national and state
banks .............- .....- ---- ----------7,729.77
2,943.55
Cash in bank ......... - ........ - .... ......
T ota l

..............- ...................... $

Rockville
C h a rter

N o.

....... ........................................C a s h i e r

C a p i t a l s t o c k ........... — ...... ..............$
S u r p l u s f u n d -----U n d i v i d e d p r o f i t s ( n e t ) ......._...
I n d iv id u a l d e p o s its s u b je c t to
ch eck
................
D em a n d c e r tific a te s o f d e p o s it
B i l l s p a y a b l e ......................................
D e p o s it o r s ’ g u a r a n te e fu n d

3 8 ,3 4 3 .5 9
3 6,1 18 .37
10,0 00 .00
55.8 0

T o t a l .................. .......................$

102,972.06

102,972.06

1 5,0 00 .00
1 ,8 0 0 .0 0
1 ,6 5 4 .3 0

Farmers State Bank
G.

1538

F.

C tf.

N o.

1060

Sherman County
S.
E.
A r n o ld

John
H e il
............................. - ...........- .....P r e s i d e n t
V i c t o r S o r e n s e n _____________ . V i c e - P r e s i d e n t
STATEM EN T

O:

JU N E

S o r e n s e n .......................... ........ — C a s h i e r
H a n s e n ________ - ....... A s s ’ t . C a s h i e r
30,

1927
L IA B IL IT IE S

RESOU RCES

L oans and d iscou n ts ............ —$ 120,227.05
O verd ra fts ......- ........ — .....- ........
77.80
B on d s, secu rities, ju d gm en ts
and claim s
— ................
1 0 , 0 0 0 .0 0
B an kin g h ou se, furnitu re and
fixtures ....................- .....- .....—
1 0 , 0 0 0 .0 0
B an kers’ con serv a tion fund ....
279.58
Due from national and state
banks ....................
22,090.07
C hecks and item s of exchange
2,550.43
2,435.48
Cash in bank .............- .................
U . S. bonds in cash reserve....
4,750.00
T otal


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

.$

172,410.41

C a p i t a l s t o c k ...................... ............... .$
S u r p l u s f u n d ..._.......... - .......... .........
U n d i v i d e d p r o f i t s ( n e t ) .............
I n d iv id u a l d e p o s its s u b je c t to
ch eck
....... ........ ........ ........ - ..............
T im e c e r t if ic a t e s o f d e p o s it
—
D e p o s ito rs ’ g u a r a n t e e fu n d
....

3 1,7 53 .56
120,018.98
96.7 7

.$

172,410.41

T o ta l

2 0 ,0 0 0 .0 0
330.00
211.10

344

BU REAU O F BANK ING

Rockville

Rockville

State Bank

C harter N o. 851

G.

F.

C tf.

N o.

408

Sherman County
E . D w ehus ........
President
P . Jensen .................. .......... V ice-P resid en t
STATEM EN T (

Ray

E.

JU N E

Isa acson

30,

C a s h ie r

1927

R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts
....... $ 187,235.31
O verd rafts ............. ...... ...... ...... .
93.82
B on d s, s ecu rities, ju d gm en ts
and claim s ........................
20,450.00
B a n k in g h ou se, furnitu re and
4,751.50
fixtures .............
B an kers’ con serv a tion fund ....
533.11
Due from national and state
banks ............. ........ ..... .............
50,806.62
C h eck s and item s of exch a n ge
417.98
Cash in bank ................... ...........
2,668.76
U . S. bonds in cash reserve....
600.00
T o t a l ........................................... $

Rogers
C h a rte r N o .

_________ __ A s s ’ t .

C a p i t a l s t o c k ______________________ $
S u r p l u s f u n d .......
U n d i v i d e d p r o f i t s ( n e t ) .............
In d iv id u a l

d e p o s its

s u b je c t

to

ch eck
................
D e m a n d c e r tific a te s o f d e p o s it
T i m e c e r t i f i c a t e s o f d e p o s i t __
S a v i n g s d e p o s i t s ______
D e p o s i t o r s ’ g u a r a n t e e f u n d __

2 6 7 ,55 7.1 0

1 0,0 00 .00
7 ,5 0 0 .0 0
166.20

T o t a l ........................ .................. $

4 8 ,9 4 8 .7 5
554.10
1 97,852.99
2 ,3 6 7 .5 9
167.47

267 ,55 7.1 0

Bank of Rogers
809

G.

F.

C tf.

N o.

377

Colfax County
E.
F.
J a r o s la v

F o l d a ..............- ...................— P r e s i d e n t
F o l d a --------- ---------------V i c e - P r e s i d e n t
STATEM EN T

F r a n k D u d e k , J r .........................................C a s h i e r
C . R e b e c c a P e r r i n ________ A s s ’ t . C a s h i e r
OF JU N E

30,

1927

RESOU RCES

L IA B IL IT IE S

.Loans and d iscou n ts ______ __ $ 100,913.22
O verd rafts .....................................
1,013.73
B on d s, s ecu rities, ju d gm en ts
and claim s ......
22,126.75
O ther real estate ......
3,378.85
B an king h ou se, furnitu re and
fixtures _______- ......................
3,650.00
B an kers’ con serv a tion fund ....
360.92
Due from national and state
banks ...............
31,368.07
C ash in bank ____
2,009.84
U . S. bonds in ca sh reserv e_
3,600.00
O th er cash resou rces _________
28.15
T ota l


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

.$

168 ,44 9.5 3

C a p i t a l s t o c k ______________________ $
S u r p l u s f u n d .......
U n d i v i d e d p r o f i t s ( n e t ) .............
In d iv id u a l d e p o s its s u b je c t to
ch eck
.......
D e m a n d c e r tific a te s o f d e p o s it
T i m e c e r t i f i c a t e s o f d e p o s i t __
D e p o s i t o r s ’ g u a r a n t e e f u n d ....
D e p r e c ia t io n
reserve
accou n t

T ota l

.$

1 0,0 00 .00
5 ,0 0 0 .0 0
63.1 8
6 9,8 72 .93
500.00
8 0,6 33 .77
89.65
2 ,2 9 0 .0 0

168 ,44 9.5 3

BUREAU OF BANKING

Rohrs

I

34&

Farmers Security State Bank

C harter N o. 1412

G. F. C tf. N o. 93+

Nemaha County
H en ry R oh rs ........... ........................P resid ent
A lb ert E. Oestm ann _______ V ice-P resid en t

J. A . J ohnson ..................................... C ashier

S T A T E M E N T O F J U N E 30, 1927
RESOURCES

L IABILITIES

L oans and d iscou n ts ......... ......$
O verdrafts ........................... ...........
B on d s, s ecu rities, ju d gm en ts
and claim s ........................ .......
B an kin g hou se, furnitu re and
fixtures ..................... ...............
B an kers’ con serv a tion fund _
Due from national and state
banks ......... _............................
C hecks and item s o f exchange
Cash in bank _____ ____________
U . S. bonds in cash reserv e_

79,533.88
117 68
2,256.98
6,290.00
243.47

10,000.00;
3,000.0(1
87.92
39,710.33
55,961.67
64.60

12,011.15
525.37
5,845.99
2,000.00

T otal .................................. .$ 108,824.52

Rosalie

Capital stock .................................$
Surplus fund ....................
U ndivided p rofits (net) ..........
Individual d ep osits s u b je ct to
ch eck ......................................
T im e certificates of dep osit ....
D ep ositors’ guarantee fund _

T otal .............- .................... $ 108,824.52'

Rosalie State Bank

C harter N o. 952

G. F . Ctf. N o. 493

Thurston County
John

G.

Gannon ............................ P resident

..Cashier
O. D . A ld rich .......
C. L. A ld rich ...... ..................A s s ’ t. Cashier
H . N . A ld rich ...... ................. A s s ’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans arid d iscou n ts ................$ 136,296.80
O verdrafts .... ......................._..........
128.37
B on d s, secu rities, ju d gm en ts
and claim s .............
9,848.33
O ther assets ......
25.24
O ther real estate .................... _...
4,525.00
B an kin g h ou se, furniture and
fixtures ......
9,000.00
B an kers’ con serv a tion fund __
389.43
Due from national and state
banks .........................
25,742.46
C hecks and item s of exch a n ge
8.37
Cash in bank _________________
2,997.00
T otal


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

.$ 188,961.00

Capital stock ............................... $
Surplus fund ........
Individual d eposits s u b je ct to
ch eck ........................... - .....
Tim e certifica tes of d eposit _
Cashier’ s ch ecks outstanding..
Due to national and state
banks ....................- ..................
D ep ositors’ guarantee fund —
R eserved for taxes ....... —..... —

T otal

20,000.00
6,000.00
69,873.75
90,484.78
341.96
2 ,0 0 0 00

117.25
143.26

.$ 188,961.00

BUREAU OF BANKING

346

Roseland

Roseland State Bank

C harter N o. 778

G. F .

C tf. N o . 353

Adams County
E d. Hall ....... .............. ........ ............. P resid ent
E rick Johnson ....................... .V ice-P resid en t

Leland H all ....... ............... - .....—..-----Cashier
L oretto S eyler ............... - ......A s s ’ t. Cashier

S T A T E M E N T O F J U N E 30, 1927
L IABILITIES

RESOURCES

Capital stock ................................ $ 25,000.00
L oans and d iscou n ts ...............$ 166,145.42
Surplus fund .................... - .....—
2,500.00
290.87
O v erd ra fts ......- ..... .........................
U ndivided p rofits (n et) ..........
676.16
B on d s, s ecu rities, ju d gm en ts
Individual d ep osits s u b je ct to
and claim s ................................
4,703.58
ch eck ....................
70,422.59
O ther assets ......
3,705.08
D em and certifica tes of dep osit
126,891.72
O ther real estate .............- .....—11,375.00
S avings d eposits .........................
9,908.81
B an kin g hou se, furnitu re and
6.00
fixtures .........................................
12,500.00 Certified ch eck s ......
D ep ositors’ guarantee fund
—
147.94
B an k ers’ con serv a tion fund ....
643.94
Due from national and state
banks .............- ..... - .....- .....- ....
28,613.62
t
C hecks and item s of exch a n ge
396.22
Cash in bank .............
—
4,129.49
U . S. bon d s in ca sh reserve....
3,050.00
T ota l ................................... $ 235.553 22

Rosemont

T ota l ......... - ............. v.........$ 235.553 22

Bank of Rosemont

C harter N o. 933

G. F . C tf. N o. 474

W ebster County
F red B u ck ........................................ President
C . F. Gund ............................V ice-P resid en t

H . M . Sheppard ...... .......................... Cashier

S T A T E M E N T O F JU N E 30, 1927
L IA B IL IT IE S

RESOURCES
L oans and d iscou n ts ............... $
O v erd ra fts .......................................
O ther real estate .........................
B an kin g h ou se, furnitu re and
fixtures ......... - ..........................
B an k ers’ con serv a tion fund ....
D ue from national and state
banks ....................
C h eck s and item s of exch a n ge
Cash in bank .............
U . S. bonds in cash reserve....
T otal


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

98,564.51
287.96
13,636.36
3,300.00
279.30
15,285.52
233 87
1,405.53
1,450.00

.$ 134,443.05

Capital stock .................................$
Surplus fund ....................
U ndivided p rofits (n et) ..........
Individual d eposits s u b je ct to
ch eck ..........
Dem and certifica tes o f dep osit
T im e certifica tes of d eposit
....
D ep ositors’ guarantee fund
....

T otal

10,000.00
10,000.00
1,900.12
28,583.48
1,211.86
82,666.29
81.30

.$ 134,443.05

BUREAU OF BANKING

Rulo

347

Bank of Rulo

Charter N o. 354

G. F . C tf. N o. 131

Richardson County
J. H . M iles .................... .............. P resid ent
A bb ie A . Cunningham .......V ice-P resid en t

W . Ji C unningham
J. T . H inkle ..........

................Cashier
.A ss’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
RESOURCES

LIABILITIES

L oans and d iscou n ts ...............$ 106,930 72
O verdrafts .................... ...... ..........
334.48
B on d s, secu rities, ju d gm en ts
and claim s ...........................
2,900.00
Due from national and state
banks ................ .......... .......... .
57,012.16
Cash in bank ..............................
5,648.00
T otal ...................................$ 172,825.36

Rushville
C harter N o.

Capital stock ................................$
Surplus fund ................................
U ndivided profits (n et) ..........
Individual d eposits s u b je ct to
ch eck .........
Dem and certifica tes of dep osit
D ep ositors’ guarantee fund _

2 0 , 0 0 0 .0 0

5,000.00
1,274.22
83,671.98
62,794.70
84.46-

T otal ................................... $ 172,825.36

Union Bank
G. F .

1013

C tf.

N o. 548

Sheridan County
L . O berw etter ............,..................P resid ent
Guy E. E llsw orth .................V ice-P resid en t

Guy E. E llsw orth ........................ ....C ashier
M . M . W oh lford .................A .ss’ t. C ashier

S T A T E M E N T O F J U N E 30, 1927

________

RESOURCES

L IABILITIES

L oans and d iscou n ts ............... $ 324,622.02
O verdrafts ................. ....................
1,231.79
B on d s, secu rities, ju d gm en ts
and claim s _____ __________
72,322 72
20,661.25
O ther real estate ................... ..
B an kin g h ou se, furnitu re and
fixtures ......- ................... - ........
5,600.00
B an kers’ con serv a tion fund ....
959.67
Due from national and state
banks ........................... - ...........
53,973.79
Checks and item s of exch a n ge
2,755.92
Cash in bank .......................... ....
15,562.84
U . S. bon d s in cash reserve....
5,655.00

35,000.00
Capital stock .................... .........$
Surplus fund ......
20,000.00
U ndivided p rofits, (net) ..........
4,988.36
Individual d ep osits su b ject to
ch eck ........................................
205,721.02
Tim e certifica tes of d eposit .... 223,124.80
S avings d eposits ......
8,108.94
C ashier’ s ch ecks outstanding..
6,097.21
D ep ositors’ guarantee fund ....
304.67

Total


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

.$ 503,345.00

Total

..$ 503,345.00

348

BUREAU OF BANKING

Ruskin

Farmers State Bank

C harter N o. 819

G .F . C tf. N o . 386

Nuckolls County
J. R . P arsons ......... ..........................P resid ent
F. D . W a g n er .................... V ice-P resid en t

B . C. W ehrm an .............. ............... ..Cashier
J. P . Jensby .................... _...Ass’ t. Cashier

S T A T E M E N T O F JU N E 30, 1927
RESOURCES
L oans and d iscou n ts ...............$
O v erd ra fts .................
B on d s, s ecu rities, ju d gm en ts
and claim s ..............................
O ther assets .......................... _....
O ther real estate .........................
B an king h ou se, furniture and
fixtures ...........................
B an k ers’ con serv a tion fund _
Due from national and state
banks .................... - ..... - ...........
C hecks and item s of exch a n ge
Cash in bank ......
U . S bonds in cash reserv e_

L IA B IL IT IE S
84,197.19
205.82
472.01
1,780.63
6,083.34
4,621.01
263.43

Capital s tock ............. .................$ 15,000.00
Surplus fund .............
8,000.00
.20.00
D ividends unpaid .............
Individual d eposits s u b je ct to
ch eck ...................................................
27,736.28
59,364.58
T im e certifica tes of d ep osit ___
S avings d ep osits .......
1,877.43
121.65
D ep ositors’ guarantee fund __

9,599.82
15.04
1,681.65
3,200.00

T otal ....... ........................$ 112,119.94

T ota l ................................$ 112,119.94

i I '.ii ii

Ruskin

.1

Ruskin State Bank

C harter N o. 587

G. F . C tf. N o. 232

Nuckolls County
F red W ern er ......... .................... ..... P resid ent
A . C. A nd ersen .................V ice-P res id en t

N . H . Jenssen ...................._............. Cashier
R . L . M ickelsen
.......... A s s ’ t. Cashier

S T A T E M E N T OF J U N E 30, 1927
R ESO U R C E S

L IA B IL IT IE S

L oans and d iscou n ts ............... $ 130,003.93
390.75
O verd rafts ....... ................... - ..........
O ther real estate ........