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Show REPORT OF CONDITIONOF Commercial National Bank At Ogden, in the Slate of Utah, at the close of business on Juno 29, 1918. RESOURCES. Loans and .discounts $1,361,885.71 Tolal loans $1,361,885.77 Deduct: Notes and bills rediscountcd (other than bank acceptances ac-ceptances sold ' 209,792.65 Overdrafts, unsecured. $12,772.83 . .. 12,772.83 U. S. bonds deposited to secure circulation (par value) 100,000.00 Premium on U. S. bonds ' 100,000.00 Liberty loan bonds: " Liberty loan bonds, 3 'A per cent and 4 per cent,' unpledged '. S50.00 Liberty loan bonds, 3 per cent and 4 per cent, pledged to securo state or other deposits or bills payable 94,500.00 Payments actually made o nLiborty 4 VI per cent bonds (Third Liberty loan) 8,590.00 103,940.00 Bonds, securities, etc., (other than U. S.) : Securities other than U. S. bonds (not including , stocks) owned unpledged 41,846. 4S Tolal bonds, securities, etc., other than U. S. 4J..846.4S Stock of federal reserve bank (50 per cent of sub- 1 . scriplion) 1 7,500.00 Banking house 70,000. 00 Real estate owned other than banking house'. t I 28,372.94 Lawful reserve with federal reserve bank ' ; f' 93,693.32 Cash in vault and not amounts due from national ' v . banks , ' 191,495.37 Net amounts due- from banks, bankers, and trust, f companies other than Included in Horns 13, 14, V ' or 15 k : 22 095.68 Exchanges for clearing house ; 1459 99 Total of Items 14, 15, 16, 17, and IS 206,051:01 W Checks on banks located outside of city or town ' V ,; of reporting bank and other cash items .'. ' 60 06 Redemption fund with U. S. treasurer and duo ' - from U. S. treasurer i . 5 noo 00 War savings certificates and thrift stamps actual- x V-1 Iy owned : 345.56 Total $1,821,675.35 , LIABILITIES. ,-. 1 ISSitSSAv:::::;:: . jsas Undivided profits 7.7 .' '.'.'.'". . .is 90- 4G 150-000-00 Less current expenses, interest, and taxes paid..! ' 48 90" 46 Circulating notes outstanding lonnon'-nn Net amounts duo to national banks . , Net amounts due to banks, bankers, and trust com- ..o panies (other than included in Items 31 or 32) . -' , 40,242.72 Total of items 32 and 33 43,8SS.33 4 Demand deposits (other than bank deposits) sub- 'y ject to reserve (deposits payable within 30 days) : - . Individual deposits subject to check "" . '669,201.01 Certificates of deposit due in less than 30 days - ' . (other than for money borrowed) ' I ' . 21,701.33 Certified checks 515.58 Cashier's checks outstanding , 11,5S6!70 Dividend's unpaid 6ioOO.OO Total of demand deposits (other than bank de- ' posits) subject to reserve, items 34, 35, 36, 37, 3S, 39. 40 and 41 707,004; 63 Certificates of deposit (other than for money bor- nrTPd) W ' 135,814.11 Other time deposits 441 565. S3 Total of time deposits subject to reserve, items 42, 43, 44 and 45 577,379:94 United States deposits (other than postal savings): - - Bills payable, with federal rcscrvo bank V 94,500.00 Total 51.821.675.35 I Liabilities for rediscounts, including those with ' . federal reserve bank .. " ' $ 208,792.65 Total contingent liabilities '. 5 208,792.65 STATE OF UTAH, COUNTY OF WEBER, ss: I, R. A. Noyes, 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. NOYES, Cashier. Correct Attest; A. G. FELL, JOHN C. LYNCH. LEROY BUCHMILLER, Directors. Subscribed and sworn to before me this 5th dav of July, 191S. T. R. O'CONNOLLY, Notary Public. |