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Show H Statement ol the Condition of Ogden Banks WWi REPORT OF THE CONDITION OF THE II v UTAH NATIONAL BANK li At Ogden, in tho State of Utah, .it the Close of Business, September " 1915 if RESOURCES. "' ' Ira Loans and discounts G23,G39.12 IB Total loans 5 623 639 12 lv U S bonds deposited to secure circulation (par 111! vaG? ," ;; - 150,000.00 II Total U. S. bonds , 150,000.00 If Bonds other than U. S. bonds pledged to secure Iff U' S- (Ienosits 56,000.00 if Securities other than U. S. bonds (not Includ I n g If stocks) owned unpledged T. 11,1S0.07 If Total bonds, securities, etc 07 ISO 07 fl Subscription to stock of Federal Reserve I bank $10,800.00 1 LeBS amount unpaid 5.100.00 54inin , All other stocks, including premium on same... 10.250.0') 15.G50 00 l Value of banking house 55,985.32 5o9S5.32 X Furniture and fixtures .13.079 21 S Real estate owned other than banking house .... 3 032. IS I 'I "Net amount due from Federal Reserve Bank 12,50000 I Net amount due from approved reserve agents in ' T New York, Chicago and St. Louis " 14,G12.'CS I 'i Net amount due from approved reserve agents in f other reserve cities .... 32,813 59 -1742.1.07 J Net amount due from banks and bankers "' CO 840.2.1 y Exchanges for clearing house . . 10,220.43 I Outside checks and other cash items.. lit-S.' 4R4.39 I; Fractional currency, nickels, and cents 373.2G 837 65 l' Notes of other National banks w ' 1540.00 m : Federal Reserve notes .,. , . - ' 15.00 I ; ' Total coin and certificates ."' ... ' 42 7S4.70 I'; Legal-tender no'tes t 24500 I Redemption fund with U. S. Treasurer (Lot more W I J ! than o per cent on circulation) V 7,500,00 7 500.00 I' Customers' liability account of "Acceptances" ' 5,725.00 I II Total '. $1,12S,399.93 LIABILITIES?' . p'-Capital p'-Capital stock paid in ,.."..- $150,000.00 Surplus fund '. 30,000.00 Total Capital and Surplus 1S0.000.00 Undivided profits 8,540.03 Lrss current expenses, interest, and taxes paid 24.35 8,291.63 Circulating notes 150,000.00 Less amount on hand and in Treasury for redemption redemp-tion or In transit 5.200.00 144S00.0O Pup to bnnks and bankers J. 45,152.60 Demand deposits: Individual deposits subject to check , ' 357,936.79 Certificates of deposit due in less than 30 days. 66,860.69 CertifWl checks ' ... S.Of) ' . I I Cashier's checks outstanding 7.064 SO . United States deposits , 1S.SGI.I1 495.SS4.02 ' Time neposits (payab'e after 30 days, orsubject to 30 days or more notice): . J Cert'icates of deposit , ...: 75.783.04 . '. Other time deposits 223,64119 OO 424 3 I '" :' Total S1.12S.399.93 ; J State p.f Utah County of Wehcr ss: " I, A V. Mcintosh. Gnsh'er of the above-named bnnk. do solemnlv swrar ' that the above ohtement is tr'.ie to t le best of mv knowiodso and belief. A.V. MelNTOSH Cashier. i; ; Subscribed' and sworn to before me tivc Sth day of September. 1915. I Correct Attest: RALPH E IIOAG, I II J PT3FRY : W. J. PARKER ; R. C NYE. Notary Public Directors. REPORT OF THE CONDITION OF THE PINGREE NATIONAL BANK of Ogden, at Ogden, in the State of Utah, at the close of business, Sept. 2, 191C. RESOURCES. Loans and discounts $993,432.89 Totnlloans $ 993,432.89 U. S. bonds deposited to secure circulation (par value) 175,000.00 U. S. bonds pledged to secure U. S. deposits (par value) 15,000.00 Total U. S. Bonds ' 190,000.00 Bonds other than U. S. bonds to secure postal savings sav-ings deposits 20,000.00 Bonds loaned (other than U. S. bonds) 35,000.00 Securities other than U. S. bonds (not including stocks) owned unpledged) 353,056.56 Total bonds, securities, etc 408,056.56 Subscription to stock of Federal Reserve bank , ?15.000.00 Less nmount unpaid T. 7.500.00 7,500.00 All other stocks including premium on same... 24,550.00 32,050.00 Value of banking house (if unencumbered) 105.225.00 Furniture and fixtures ' 17,775 00 Real estate owned other than banking house .', 2,500.00 Net amount due from Feceral Reserve bank ' 28,000.00 Net amount duo from apDroved reserve agents in New York, Chicago and SL Louis 6,610.24 Net amount due from approved reserve agents in J other revive cities 171,149.05 177,759.29 Net amount due from banks and bankers (other " 0 than included m 9 or 10) . 71,657.23 Fxchaiifres for clearing house t1SF'k 16,960.89 fractional cur-pncv, nickels and cent jfc 195.31 Notes or other Nitional banks '. : , ''vKf 7,860.00 Lawful money reserve in bank: ifc Total coin ;nd certificates '. k JaBf S2.449.70 Legal-tend"r notps !He 355.00 Redpmptlon fund with U S. Treasurer (not more wfc' than 5 per cent on circulation) .'. . Mgf S.750.00 Other assets, Internal Revenue Stamps f )'. flEk 1S3.39 Total , 2,143,210.31 LIABILITIES. onif.ni stock paid in $175 000.00 Surn'us fund ..: 75.000.00 Tot-) Capital and Surplus.....'" 250,000.00 Undiv' led profits 19.670.33 Lps current expenses. Interest, and taxes paid 9 327.18 10,343.15 Clreii'ntint; notes . 175,000.00 Less amount on hand and in Treasury for redemption re-demption or in transit 7.105.00 167,S95.00 Due o h"nks and bankers (other tnan included 'n 5 or 61 40S.799.13 Demand denosits: ' Individual deposits subject to check 920.S37.44 Certificates of deposit due in less than 30 days. l,30j op Certified checks 102.50 ,l Cashier's checks outstanding 7 924 59 1 United Statps denoslts lS.SS'J 96 ' - Postal savings deposits v. !!!!!".! 3,799.24' Total deposits. Items 4 5. 6 7andS .......... '. ' ' 1 36 659 S6 Time deposits (payable softer 30 days, or subject to ' "' 30 davs or more notice): . ., St 69S 01 Other time deposits .''.'. '.'.'..'!.'. 20rf,3SS:48 352 086.49 Liabilities other than those nbove stated 232 81 Total o i.j9 ri 0 11 State of Utah. County of Weber, ss. ' v"" '" '" I. J. H. Rley, cashier of the above-nampd bank, do solemnlv swear that the above statemeut is true to the best of my knowledge and belief Correct Attest- j. H RILEY. Cashier Subscribed and sworn to before me this Sth diy of Sentember. 1915. , E. F BRATZ, Notary Public. IIy commission expires August S, 1917. B. C, BLACKMAN. J. W. ABBOTT, Directors. REPORT OF THE CONDITION OF THE l COMMERCIAL NATIONAL BANK At Ogden, in the State of Utah, at the close of business. Sept. 2, 1915. Loans and discounts (except those shown on b).$666,117.9S Total loans 666,117.98 U. S. Bonds deposited to secure circulation (par value) 100,000.00 Total U. S. Bonds 100,000.00 Bonds, securities, etc.: Securities other than U. S. bonds (not including stocks) owned unpledged 113,049.80 Total bonds, securities, etc - 113.049.S0 Subscription to stock of Federal Reserve Bank: $12,000 Less amount unpaid 6,000 6,000.00 All other stocks including premium on same 6,000.00 Value of banking house (if unencumbered) 70,000.00 Real estate owned other than banking house 29,622!94 Net amount due from Federal Reserve Bank .... 15,949.'50 Net amount due from approved reserve agents in Now York, Chicago and St, Louis 3S.469.54 ' Net amount due from approved reserve agents in other reserve cities 268,192.43 306,661.97 Net amount due from banks and bankers (other than included in 9 or 10) v '. 30,304 74 Exchanges for clearing house ' 9701.06 Other checks on banks in the same city or town as reporting bank.... ,,, 343336 Outside checks and other cash items 1,954.71 ' Fractional currency, nickels, and cents 165.00 2,119 71 Notes of other national banks ... ' 2314100 Lawful money reserve in bank: -- "' Total coin and certificates 52.565.92 Legal tender notes 1575 00 Redemption fund with U. S. Treasurer (not "more than 5 per cent on circulation) 2,700.00 Due from U. S. Treasurer 2',30o!oO 5,000.00 TotaI $1,414,415 98 LIABILITIES. Capital stock paid in '.$100,000.00 Surplus fund 100,000,00 Total Capital and Surplus 5 200,000.00 Undivided profits 72,344.12 Less current expenses, interest, and taxes paid 3.4S3.65 68 S60.47 Circulating notes 100,000.00 ' Less amount on hand and in Tieasury for redemption re-demption or in transit 2,300.00- ,97,700.00 Due to banks and bankers (other than included in 5 or 6) 74,560.20 Demand deposits Individual deposits subject to check 549,938.62 Certificates of deposit due in less than 30 days. 65,605.84. Certified checks 2.476.3S Cashier's checks outstanding 7.S27.66. Total deposits, Items 4, 5, 6, 7 and 8 700,408.70 Time deposits (payable after 30 days, or subject to 30 days or more notice) : Certificates of deposit ? 47.26S.45 Other time deposits 300,17S.36 347,446.81 Total $1,414,415.9S State of Utah, County of Weber, ss.: I, R. A. Moyes. Cashier of the above named bank, do solemnly swear that the above statement is true to the best of my knowledge and belief. R. A. MOYES, Cashier. Subscribed and sworn to before me this Sth day of September, 1915. 1 T. R. O'CONNOLLY. x3 Notary Public. CORRECT Attest: 4 r l "f $X ' ;-.? . A. G. FELL, J. S. HOUTZ, LEROY BUCHMILLER, Directors. |