Evening Republican, Volume 23, Number 13, Rensselaer, Jasper County, 14 January 1920 — Page 4 Advertisements Column 3 [ADVERTISEMENT]
AaOraditiM of the ~ ~ - ’’ ,' _JI -~'~X& first national Bank / AT RENSSELAER, INDIANA, at the close of business on November 17th, 1919. — ; : — “ RESOURCES. > . Loans and discounts, including rediscounts, (ex- . cept those shown in b and x) -♦633,103.40 *« a *insan Total loans —1 — — - $683,103.40 U. S. Government securities owned. DepositOverdrafts, secured, $4,476.72 ——- — - , 4,476.72 - ed to secure circulation (U. S. bonds par ' ' - value) - 25.000.00 U. S. Government Securities pledged to secure postal savings deposits (par value)— J, 000.00 U. S, Government Securities owned, unpledged-- 61,586.25 Total U. S. Government securities ■ --- , ' ' 93,&86.Z8 Securities, other than U. S. bonds (not including t stocks), owned and unpledged — 23,000.00 nnn Total bonds, securities, etc., other than U. S. 23,(wv.W Stock of Federal Reserve Bank (50 per cent of " subscription) 2,400.00 Value of banking house, owned and umncum- nn bered - r— — 28,909.00 —— n Equity in banking house — , 28,000.0 V Furniture and fixtures 6,OolJ» Lawful reserve with Federal Reserve Bank-- 39,931.01 Cash in vault and net amounts due from national x / banks - - - 39,984.38 Checks on other banks in the same city or town ■ . . as reporting bank (other than item 16)__— . _ -v 6,640.89 Total of itenu 13, 14, 15, 16 and 17 46,629.77 , Checks on banks located outside of city or town of reporting bank and other cash items 1,691.10 Redemption fund with U. S. Treasurer and due from U. S. Treasurer - -—- 650.00 Interest earned but not collected —approximate on Notes and Bills Receivable not past due 11,106.62 Total $890,686.72 LIABILITIES. Capital paid in —— $ 60 000 06 Surplus fund 60,000.00 Undivided profits — n -—— 7 ’ 849,31 Less current expenses, interest, and taxes paid--Interest and discount collected or credited in advance of maturity and not earned —(approximate) - - 565.18 Circulating" notes outstanding —24,400.00 Net due to National banks 2U,VVU.UV Net due to banks, bankers, and trust companies (other than included in Items 29 or 30) — Certified checks outstanding -/O.zu Total of Items 30, 31, 32 and 38- $ 21,552.56 _ Individual deposits subject to check 488,687.02 Total of demand deposits (other than bank de- ’ posits) subject to Reserve, items 84, 85, 86, 37, 38, and 39 $488,687.02 Certificates of deposit (other than for-money \ M borrowed i 14 3.5T5.«2 Postal savings deposits Total of time deposits subject to Reserve, Items 40, 41, 42, and 48 -—- — $146,071.53 Bills payable with Federal R&erve Bank , 65,232.88 Liabilities other than those above stated 16,328.34 Total -- • $890,686.72 Liabilities for rediscounts, including those with Federal Reserve Bank (see Item Id) —-—- 65,232.88 Total contingent liabilities (55 a, b and c) t 65,282.88 State of Indiana, County of Jasper, ss: - - I, J. N. Leatherman, cashier of the above-named bank, do solemnly swear that, the above statement is true to the best of myknowledge and belief. ' J. N. LEATHERMAN, Cashier. Subscribed and sworn to before me this My commiMion expires December 18, 1922. “ Correct —Attest: w GEORGE E. MURRAY, D. 8. MAKEEVER, EDD J. RANDLE, a Directors.
AS2 IE TIME SPENT , in the buthersome-attempt to make repair*, aid in carinf for your machine yourself, could be much more enjoyably* employed Speeding the Landscape O’er We are especially well equipped for all kinds of repair work and cau save time and worry. [the MAIN GARACUri I THE BEST IN RENSSELAER fe* 1 - If J] LL *“*" s B A ““• I AT ALL TIMES.
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