Hammond Times, Volume 8, Number 33, Hammond, Lake County, 20 September 1919 — Page 3

September 20. 1919.

the Tnosa Pare Three SISillilBSI! V V THE FIRST NATIONAL BANK EAST CHICAGO INDIANA CHICAGO AND FORSYTH AVES. g5

i.ii ii ii ii 'h iirjL-iLJL rr JnJ ii V ii' 'ii mm1 mi i"i ir n '1111' ii' ii'ini im'1!!11!! n 1; n-Tin-n trti n't'ii ti'-ij ii'u 11 'h'u rr ii a'lng

- -,5t.

K ' I -if" .''- j ' O w i 1 . 4k . ' . ".ff

WALTER J. RILEY. President 1 CA.We.tbe FIRST CALUMET J. S. Walkowiak 1 cVicTwsS TRUSTAND Elk I Vice-President SAVINGS-BANK. Asst. Cashier I CHICAGO AND KENNEDY AVES. EAST CHICAGO, IND. Statement at the Close of Business, Sept 12, 1919 RESOURCES jj Loans and Discounts $ .770,746.36 p Bonds and Securities 506,377.66 H Furniture and Fixtures 3,500.00 1 Interest Earned, Not Collected 8,831.47 p Cash on Hand and in Banks 136,204.80

TOTAL ,

.$1,434,660.29

LIABILITIES "Capital - . -. $50,000.00

Surplus ... . .... . . ............. .......

Earnings

Reserved for Interest and Taxes. Interest Collected, Not Earned. . Bills Payable ...... .... .......... Liberty Bond Department....... Deposits .c. .....

50,000.00 $ 100,000.00 16,413.16 . 12,861.58 2,962.50 165,000.00

182,550.23 954,872.82

TOTAL

$1,434,660.29

The Bank That Service Built

s'ism 3 mn eai on j

S Bra M gl lifl" 1 o lolra'JilQjLllk LI

COMPARATIVE STATEMENT OF DEPOSITS September 12, 19 JO $74,794.05 September IS. 1312 $257,384.78 September 12, 1314 $283,906.50 September 12. 116 $534,698.83 September 12. 1918 $861,165.93 September 12, 1319 , $954,872.82

Bii;?!!

C.A. WESTBERG ' Vice-President

WALTER J. RILEY, President A. M. KELLY W. L. SPENCER E. J. HEAVEY Cashier Asst. Cashier Asst. Cashier

Statement at the Close of Business, Sept. 12, 1919 ' RESOURCES Loans and Discounts . . . $1,044,091.16 Bonds and Securities 472,375.00 Bank Building 69,439.80 Interest Earned, Not Collected 11,356.54 Cash on Hand and in Banks 173,724.21

TOTAL . $1,770,986.71 LIABILITIES Capital $100,000.00 Surplus 25,000.00 $ .125,000.00 Earnings 19,394.59 Reserved for Interest and Taxes 8,944.76 Interest Collected, Not Earned 5,075.27 Circulation 58,540.00 Libert v Loan Department 22,862.80 ' Due Federal Reserve Bank 89,000.00 Deposits 1,442,169.29 TOTAL $1,770,986.71 COMPARATIVE STATEMENT OF DEPOSITS

. . . ... . . $435,649.90 . . ; : i . . . $648,034.57 $879,656.44 ....... $1,185,224.30 ...... $1,442,169.29

September 12th, 1915 September 12th, 1916 September 12th, 1917 September 12th, 1918 September 12th, 1919

).'.','V.KVV.K'V.'.

Pi ii n :i n oinnnnrTn ii n if inr im .mpm n n n v. n n ;i n y n n n n n. II il II, " tf H 1,1 II" II II i n i"

Every Qreai Fortune Had Its Beginning Because Somebody Saved

nc

DTK.

Dae

DSC

33

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

a

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

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

U

Statement at the Close of Business, Sept 12, 1919 RESOURCES

Loans and Discounts Bonds and Securities , Furniture and Fixtures Due from Insurance Department.. Cash on Hand and in Banks

TOTAL

$1:9,645-00 24.892.00 3.250.00 10,600.00 9,913.99

$178,300.99

LIABILITIES

Capital Surplus Earnings Reserved for Tazes., Bills Payable Deposits .

..$50,000.00 . ... 10.000.00 $ 60,000.00 9,419.74 2,250.00 - 5,000.00 101,631 25

8

a

TOTAL

$178,300.99

COMPARATIVE STATEMENT OF DEPOSITS September 12,1917 $61,285.11 September 12. 1918 $89,936.53 Setemberl2. S101.631.25

n

EXPERT ADVICE ON ALL INSURANCE PROBLEMS The Service Bureau of our Insurance Department daily gives advice to people inquiring about fire. auto, accident, tornado, burglary and other lines of insurance. FIRST TRUST & SAVINGS BANK Insurance Department JOHN J. BLOCK. Mgr.

3HC

DEC

a

nc

see

3HC

FIRST STATE

TRUST & SAVINGS

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, Sept. 12, 1919 RESOURCES Loans and Discounts .$1,257,800.78 Furniture and Fixtures 6,915.23 Interest Earned, Not Collected 9,277.29 Cash on Hand and in Banks 142,373.45

TOTAL $1,416,366.75 LIABILITIES Capital $50,000.00. Surplus .. 50,000.00 $ 100,000.00 Earnings... 15,641.18 Reserved for Taxes ; 10,593.54 Interest Collected, Not Earned 3,328.31 Bills Pavable 50,000.00 Deposits' 1,236,803.72 TOTAL ..$1,416,356.75 COMPARATIVE STATEMENT OF DEPOSITS May 11th, 1914, (Opening Day) . . . . i i . $10,290.76 September 12th, 1915 . . . . . ; : . . . $150,475.87 September 12th, 1916 . . $368,782.11 September 12th, 1917 . . $671,722.53 September 12th, 1918 . $942,095.23 September 12th, 1919 . $1 ,236,803.72