OCR Text |
Show Statements of Condition of Ogden Banks 1 1 1 . REPORT OF THE CONDITION OF THE FIRST NATIONAL BANK at Ogden. in the State of I'tah, at the close of business March 4. RESOURCES. Loans and discounts li406 J?jJ Overdrafts unsecured 571. -o 0 s bonds tiepoHited to socurc circulation (par value. 150.000.00 l" s bonds pldned to secure V. S. deposits I par val- u0) ioo.ooo.no Other bOUdfl pledged to secure postal savings 15,000.00 Other bonds, securities, etc, owned unpledged (other man Btooks), Including premiums on Bame 12l,0S0-29 BubS riilioii to stork of Federal Reserve bank $13,000.00 Less amount unpaid .. 10.000.00 5,000.00 All other stocks, including premium on same 10,100.00 15,100.00 I Banking house, furniture ami fixtures 100,000.00 I Other real estate owned " I One from Federal Reserve bank 10,908.81 l Due from approved resene agents Irj central reserve re-serve cities 277,201.27 Due from approved reserve agents in other reserve rjljeR 274 887 59 552.08S.86 Hue from banks and bankers (other than included in 12 or IS) 205,073.81 Outside checks and other cash items $10,576.42 Fractional currency, nickels and cents .. !l8.7f 11,486.81 1 Exchanges for clearing house 15,771,00 Notes of other national banks 58,880.00 Federal reserve notes 40 00 Lawful monev reserve In bank I Specie 165,788.00 l egal-tender notes 170 00 lf.5.909 00 Redemption fund with U. S Treasurer (not more I ban 5 per cent on circulation 7,800.00 TOTAL $2,988.(527.81 LIABILITIES. Capital stock paid In ,. $ 150 000 00 Surplus fund 100.000.00 Undivided profits $22,297.28 Reserved for taxes 9.995 35 Reserved for dividends fill. 000 no 02 292.6.'! Less current expenses, interest, and taxes paid. 15,346.60 76.946.13 Circulating notes 150,000 no I. ess amount on hand and in Treasury for redemption redemp-tion or in transit 2. .in 149 997.50 Due to banks and bankers (other than included in R -or 6) 649.872 70 Dividends unpaid 210 00 Demand deposits. Individual deposits subject to check 1.211.720 29 ( 'ertiflcates of deposit due in less than 30 days 101.520 2". Certified checks 537.90 Cashier's checks outstanding 28,488:69 Uniied States deposits 9R.?S3 66 Postal savings deposits 9,262.85 Deposits requiring notice of less than 30 days 1,444,913 43 Time deposits Certificates of deposit due on or after 30 days. 170.688 05 Notes and bills rsdiscountsd 246.000 00 TOTAL $2,988,627,81 State of Utah. Countv of Weber ss. I, JAMES F BURTON. Cashier of the above na.med bank, do sol-emnlv sol-emnlv swear that the above statement is true to the best of m knowledge and belief. JAMBS F. BURTON. Cashier. Cnrrort Attest ! M B, BROWNING, (Seal) JOHN SPIERS, R. B. PORTER. Directors Subscribed and sworn to before me this 9th day of March, 191o S. T JEPPESEN Notary Public. My commission expires September 21, 1918. REPORT OF THE CONDITION OF THE UTAH NATIONAL BANK of Ogden, at Ogden, in the State of Utah, at the close of bnsinoss, March 4, 1915. RESOURCES. Loans and discounts $ 658,891.43 U. S. boudB deposited to secure circulation (par value) 150.000.00 Other bonds pledged to secure U. S. deposits 66,000.00 Other bonds, securities, etc, owned, unpledged (other (oth-er than stocksi includinc premiums on same 11.556.23 Subscription to stock of Federal Reserve bank $10,800 Leas amount unpaid 7,200 3 600.00 All other stocks including premium on same 12 331 75 15,931 7 Ranking house, and furniture and fixtures 68.679.21 Other real estate owned 3,558 98 Due from Federal Reserve bank . 18,846.33 Due from approved reserve agents In central reserve re-serve cities 13,432.19 Due from approved reserve agents In other reserve re-serve cities 33,144 20 46,576.39 Due from banks and bankers (other than included in 12 or 13) 45,400.46 Outside checks and other cash items. $187.00. fractional frac-tional currency, nickels and cents, $149.78 336 78 Exchanges for clearing house 6.853.46 Notes of other national banks 3,175 00 Federal Reserve notes , , 10.00 Lawful money reserve in bank Specie 40 243.60 Legal-tender notes 120 on 40,363 50 Redemption fund with U S. Treasurer (not more than 5 per cent on circulation) , 7,600.00 U. S Internal Revenue stamps 65 75 TOTAL $1,127,843.30 LIABILITIES t'apital stock paid in $ 180,006.00 Surplus fund 30,000.00 Undivided profits $ 20,545.r,2 Less current expenses. Interest, and taxes paid .. 147.46 20 393 06 Circulating notes 150,000.00 Due to banks aud bankers (other than Included In 6 or 6) , 40,438.51 Demand deposits: Individual deposits subject to chock ... 330. 031. 60 Certificates of deposit due In less than 30 days. 62,749.72 certified checks 28.20 Cashier's checks outstanding ... J 10,212.65 United States deposits 4 1 ,222.90 444,244 97 Time deposits: Certificates of deposit due on or after 30 days ... 49,216,36 Deposits subject to 30 or more days' notice 201.646.40 250,761.76 Notes and bills redlscounted 42,000.00 TOTAL $1,127.843 30 State, of Utah, County of Weber ss I. A. V. Mcintosh, cashier of the above-named bank. do solemnlv swear that the above statement is true to the best of rav knowledge and belief. A V McINTOSH. Cashier. Correct Attest; RALPH E. HOAG, H. J. PEERY. Wi J PARKER. Directors. Subscribed and sworn to before rae this ninth day of March, 1915. R. C. NYE, Notary Public. REPORT OF THE CONDITION OF THE COMMERCIAL NATIONAL BANK I At Ogden, in tho State of Utah, at the close of business, March 4. 1915. RESOURCES. 700,703.88 Loans and dlsconnts r'," '.' U S. bonds deposited to secure circulation, par val- on Other securities deposited to secure circulation (book BO.OOO.OO value) r" Other bonds securities, etc . owned unpledged (other 69,726.35 than Btocks), Including premiums on same '11 4 Subscription to stock or Federal Reserve bank, W'0(j? 000 w 3,000.00 Less amount paid 9'000 ' 70 000-00 Banking house, furniture and fixtures......- .....--' 29'622 91 Other real estate owned , . n - ,M 12 988.44 Dae from Federal Reserve bank a-' ' pm ' Due from approved reserve agents in central reserve cities 26.J1-3 Dup from approved reserve agents in other reserve cities 54,o29.83 vi- Due from banks and bankers (other than included in teieSJB 12 or 13) Outside checks and other cash Items, $2,809 78; frao ' ficmal currency, nickels and cents, 852,03 .. iWt8 Checks on banks In the same city or town as re-bank 7 088 76 Exchanges for clearing house. ISJloioO Notes of other national banks .....-.- .. ---- lawful monev reserve In bank: -.i.- Specie - . 44,643.20 Lelal-te'ndenot '.":.':.'.'.'.".'.':;::. 615.00 46,268.20 Redemption fund with U. S. Treasurer (not more than 5 percent on circulation) . ... " uo.u TOTAL ; r 11.110.153 37 LIABILITIES. Capital stock paid Iru. - , JJI'SSaZ! Surplus fund , . 100,000.00 Undivided profits $ 66,856.0" Less current expenses, Interest and taxes paid.... 4,021 86 6284.1f Circulating notes 60,000.00 Due to banks aJid bankers (other than included in 5 or 6) 32t78.06 Due to approved reserve agents in other reserve cities cit-ies 34.31 " 34.31 Demand deposits Individual deposits subject to check ... 373,010.18 Certified checks . 773 52 Cashier's checks outstanding 2,860 54 Deposits requiring notice of less than 30 days ...... 98,366 89 475,011 15 Time deposits Certificates of deposit due on or after 30 days..- l,5Of.0O Deposits subject to 30 or more days' notice 273,295.58 274.795.5 Note and bills rcdiscounted. 15,000.00 15,000 00 TOTAL t -.....$1,110,153.27 Statp 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. PATRICK HEAL-Y, Correst Attests A. G. FELL. J. S. HOUTZ, Subscribed and sworn to before me this 9th dav of March, 1915. (SEAL.) T R. O'CONNOLLY, Notary Public. |