Hammond Times, Volume 7, Number 23, Hammond, Lake County, 12 July 1919 — Page 7

Oulv 12, 1919.

THE TOMES. Page Seven. Billilliiilll'lliliilil i em P ii WALTER J. RILEY, President FIRST -CALUMET j. s. walkowiak TRUST-AND e lsteck S AVIMCS RAMK Asst. Cashier THE FIRST NATIONAL BANK EAST CHICAGO INDIANA CHICAGO AND FORSYTH AVES. m m C. A. WESTBERG Vice-President SAMUEL W.OGDEN Vice-President SI H

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CHICAGO AND KENNEDY AVES. EAST CHICAGO, IND. Statement at the Close of Business, June 30, 1919 RESOURCES Loans and Discounts $ 793,489.55 Bonds and Securities 433,211.06 Furniture and Fixtures 3,500.00 Interest Earned, Not Collected 6,598.88 Cash on Hand and in Banks 85,100.85

TOTAL $1,321,900.34 LIABILITIES Capital ' $50,000.00 Surplus 50,000.00 $ 100,000.00 Earnings 11,474.21 Reserved for Interest and Taxes 11,100.53 Interest Collected, Not Earned 5,719.55 Bills Payable 180,000.00 Liberty Bond Department 120,282.24 Deposits 893,323.82

TOTAL $1,321,900.34

The Bank That Service Built

COMPARATIVE STATEMENT OF DEPOSITS June 30th. 1910. $77,582.37 June 3rtth. 1912. $266,359.57 Jun 3fkth. 1914. $314,006.01 June 3ftth. 191. $631,377.12 Jun 39th. 191. $831,496.41 Juno 36th. 1319. $893,323.82

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C.A. WESTBERG Vice-President

WALTER J. RILEY, President A. M. KELLY W. L. SPENCER a shier Asst. Cashier

E. J. HEAVEY Asst. Cashier

Statement at the Close of Business, June 30, 1919 RESOURCES Loans and Discounts $ .825.900.65 Bonds and Securities v 865,113.72 Rank Building 69,439.80 Interest Earned, Not Collected i 8,622.92 Cash on Hand and in Banks 217,787.68

TOTAL

$1,986,864.77

LIABILITIES

Capital $100,000.00 Surplus 25,000.00 $ .125,000.00 Undivided Profits . 8,129.88 Reserved for Taxes 5,094.76 Interest Collected. Not Earned 8,271.13 Circulation 48,700.00 Libertv Loan Department 30,170.00 Due Federal Reserve Bank 382,000.00 Deposits 1,379,499.00 TOTAL $1,986,864.77 COMPARATIVE STATEMENT OF DEPOSITS

$422,808.25 , $629,082.97 . $841,759.97 $1,026,767.84

June 30th, 1915 June 30th, 1916 June 30th, 1917 June 30th, 1918

June 30th, 1919

$1,379,499.00

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First Trust And Savings Bank EAST CHICAGO INDIANA CHICAGO AND FORSYTH AVES. WALTER J. RILEY, President

C.A. WESTBERG Vice-President A. M. KELLY Sec'y and Treas.

A. G. SLOCOMB Asst. Cashier M. A. DAVIS Asst. Cashier

Statement at the Close of Business, June 30, 1919

RESOURCES

Loans and Discounts 1135.679.78 Bends and Securities .. 19,917.0ft Furniture and Fixture? 3,250.00 Iue from Insurance Department..... ... 7,100.00 Cash on Hand and in Banks . 10,752.47

TOTAL

I17S.729.2S

LIABILITIES

Capital J50.00fl.00 Surplus 10.000.ffn $ 60,000.00 T'ndivided Profits 8.297 14 Reserved for Taxes 2.000.00 Deposit .. 105,432.11

TOTAL l $17,729.:3 COMPARATIVE STATEMENT OF DEPOSITS June 30th, 1917 $71,552.65 June 50th. 1918 $34,258.52 June 30tb. 1919 $106,432.11

AN INSURANCE DEPARTMENT OF SERVICE Our taff, made up of specialist;? in their lines, can give you the best advice and service in the way of fire, tornado, burglary and accident policies. Our auto combiaatlon policies pive COMPLETE protection. FIRST TRUST & SAVINGS BANK Insurance Department

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FIRST STATE TRUST & SAVINGS BANK 137th AND CEDAR STREETS INDIANA HARBOR, IND.

WALTER J. RILEY, President C. A. WESTBERG, Vice-President JOHN CARROLL, Cashier M. E. KOZACIK, Jr., Asst. Cashier GEORGE MARCH Asst. Cashier

Statement at the Close of Business, June 30, 1919 RESOURCES Loans and Discounts $1,249,353.02 Furniture and Fixtures 6,015.23 Real Estate 4,000.00 Interest Earned, Xot Collected 10,800.3(5 Cash on Hand and in Banks 254,815.12

TOTAL .$1,526,492.73 LIABILITIES Capital $50,000.00 Surplus 50,000.00 $ 100,000.00 Undivided Profits f'Ja9T Reserved for Taxes 5,343.54 Interest Collected, Not Earned 5,880.80 Bills Parable 100,000.00 Deposits' , 1,311,180.32 TOTAL .....$1,526,402.73 COMPARATIVE STATEMENT OF DEPOSITS May 11th, 1914, (Opening Day) $10,290.76 June 30th, 1915 $138,871.26 June 30th, 1916 . $325,899.17 June 30th. 1917 . $579,294.12 June 30th, 1918 $864,536.94 June 30th, 1919 $1,311,180.32

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