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FEDERAL RESERVE BANK OF CHICAGO GOVERNMENT BOND DEPARTMENT ROOM 361·20SI SO. LA SALLE ST. 9, II, CRAMEN , A ■■ T . CASHIIIR D . A .JONES . ASST, CASHIUI A , H. VOGT, ACTING A ■ ST , CASHIER ADDRESS ALL COMMUNICATIONS RELATIVE TO GOVERNMENT IIONDS P. 0 . BOX 805 Circular No. 83 lla7 16 , 1918. THIRD LIBIRTY LOAN Pa ent due Ma.y 28, 1918. TO THJll BANK OR TRUST COMPANY ADDRESSED s We shall , in a few days, send to every bank nd trust company in the Seventh Federal Reserve District , which bas entered with us subsoriptions to the Third Liberty Loan , but has not yet completed full payment, Form 304 (with oopy for payinc bank's file) to b used in making the payment due 11a1 a. NO LIBERTY LOAN PAYMENTS WILL BE RECEIVED BY US UNTIL THIS FORU HAS BEENS TOUT. Banks will he expected to mail Form 304 together with payment at the close of business May 28 , 1918, thus enabllng them to include all payments received that day . Only one y 28 payment can be acceptea from each bank . After it has been mailed no further payments ca.n be made until July 18, 1918. Keep this circular before you until you receive Form 304. If form does not reach you by Saturday , May 25 , please telegraph us in order that we may forward an additional oopy . Banks which have pledged certificates of indebtedness maturing May 28, as collateral, War Loan Deposit Account, should immediately execute Forms "W" in triplicate, withdrawing such certificates, with instructions to apply on May 28 payment. Payments by credit can be made only to the extent that the bank cannot pay by certificates of indebtedness maturing May 28, 1918. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis FEDERAL RESERVE BANK OF CHICAGO Government Bond Department.