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Show REPORT OF THE CONDITION OF I The First National Bank jl At Ogden, In the State of Utah, at the close of business on June 30 1922 H RESOURCES. Loans and discounts. Including rediscounts, accept-ances accept-ances cf other banks, and torelgn bilh of ex- change or drafts sold with indorsement of this H bank $1,490,764.44 I Total loans , $1,490.764. 4 Ocerdrafts. secured, none; unsecured $5,550.85 5550 8d I U. S. Government securities owned. I Deposited to secure circulation (U. S. bonds par H alue 150.000.00 I All other United Stales government securities (in- H eluding premiums, if any) 200,296.00 H L(. Tta ' " , 350.296,0ft H Other bonds, stocks, securities, etc: 171837 51 H Banking house, $195,514 98; furniture and fixtures, H $17,663.18 213 178 IS H Real estate owned other than banking house 55,438 97 H Lawful reserve with federal reserve bank 146J4o!57 H J Items with federal reserve bank in process of col- H lection 186.832.50 j Cash in vault and amount due from national banks 200 896 53 HI I Amount due from state bank?, bankers, trust com- B panies In the United Stales (other than in- H I eluded In Items 8, 9, and lo) 35,400 5o fl Exchanges lor clearing house 28563 ' 8 I Total of Items 9, 10, 11, 12. and 18 401.693.41 H Miscellaneous cash items 13 jog H Redemption fund with U. S. treasurer and lue H from U. S. treasurer " o00 00 H other asecls. If any 2 068 $ij H Total $2,358,197,115 I LIABILITIES. Capita stock paid in 5 150,000 O'l H Surplus fund 200,000.00 H Undivided profits 29,672.93 H Reserved for interest and taxes accrued 7,000.00 H Reserved for depreciation 141.362 06 17S.034.99- H Less current expenses, interest and taxes paid... 0 178,034.99 H Circulating notes outstanding . 148'397.5'i H Amount due to national banks 205,592. 96 H Amount due to state banks, hankers, and trust H companies in the United Stales and foreign H countries (other than included in Items 21 H or 22) 394.871,90 H Certified checks outstanding 200 9ft H Cashier's checks outstanding 19,940.71 I Total of Items 21. 22, 23, 21. and 25 620,606.56 Demand deposits (other than bank deposits) subject sub-ject to reserve (deposits payable within 3u days) : Individual deposits subject to check 992,079 ' Certificates of deposti due In less than 30 days (other than for money borrowed) 258,246,14 Dividends unpaid 54.00 Total of demand deposits (other than bank deposits) subject to reserve, Items 26, 27, 28, 29. 30, and 31 1 250.379.92 Time deposits subject to reserve (payable after j 30 days, or subject to 30 days or more notice, and postal savings): Certificates of deposit (other than for money bor towed) 158,708.83 Postal savings deposits .. 1,151.52 Total of time deposits subject to reserve, Items 32, 33, 34, and 35 159,860.35 United States deposits (other than postal savings), sav-ings), including war loan deposit account and deposit of United States disbursing officers.. 917. S4 Bills payable (including all obligations representing represent-ing money borrowed other than rediscounts) . . 150,000 00 Total $2,858,197.16 STATE OF UTAH. COUNTY OF WEBER, ss- I, O. W. Adams, vice president, of the above-named bank, do solemnly swear that the above statement is true to the best of mv knowledge and belief. be-lief. O. W ADAMS, Vice President. Subscribed and sworn to before me this 5th day of July, 1922. ALMA D. CHAMBERS, Notary Public, Residing at Ogden, Utah. 1 (Seal) My commission expires September 28. 1924. Correct Attest : M. S. ECCLES. JOHN WATSON, R. B. PORTER, ! Directors. |