Hammond Times, Volume 8, Number 41, Hammond, Lake County, 22 November 1919 — Page 3
PlOllllill
lu,i. j-iumjLJ'. "JUm-iUULqEUUi ! !' UJOCJi (IJL'it.n J'"'l'" '"'ii ir-r-it-TT--TrnF fr TT !! '1 iJ it" i! M .11 V U !'" iM WALTER J. RILEY, President THE FIRST NATIONAL BANK EAST CHICAGO INDIANA CHICAGO AND FORSYTH AVES. 3x3 C. A. Westberg Vice-P resident Samuel W. Ogden Vice-President FIRST CALUMET J. S. Walkowiak Cashier EL L. Steck Asst. Cashier
253
S5
CHICAGO AND KENNEDY AVES. EAST CHICAGO, IND. Statement at the Close of Business, Nov. 17, 1919 RESOURCES Loans and Discounts. . . . $ 826,572.03 Bonds and Securities 462,845.39 Furniture and Fixtures 3,500.00 Interest Earned. Not Collected 7,120.21 Cash on Hand and in Banks 139,746.8?
TOTAL
V4.VY . . ,
.$1,439,784.46
LIABILITIES Capital .,...:..... $50,000.00 """ . Surplus .. 50,000.00 $ 100,000.00 Earnings 21,972.77 Reserved for Interest and Taxes 12,596.29 Interest Collected, Not Earned 4,976.35 Bills Payable .... 150,000.00 Liberty Bond Department. . ,:. , . 141,369.78 Deposits .. 1,008,869.27
; TOTAL
$1,439,784.46
The Bank That Service COMPARATIVE
STATEMENT OF DEPOSITS NOVETtfBEJR IT. ItMO
Built
m se im is,1
my
J
$76,762.58 -NOVEMBER 17, ltU $319,504.49 XOVBMBER 17. ll $670,763.07 .NOVRMBETR IT. ltl $1,008,869.27
si Pi
'11 fit
H
3f a a 53 ft m CSS IS IS if Hi HI fig
IP
3 5
S-Rut,, ''7"l ti'l " i -SI' , T;r!";f:iT''rrU;,!i!'"''TTii!rrlI';i"rT",l,rt"1,i Hr1t!j1i,i, I w h "Ij im mptmfn, w,m,r .. ,ni"l'Vi"'!m,;i!im-'flM''r"1'ri",iimi,'H"rf-il tj.iiMiriii;.!-
S5
JED ERAL R ES ERV
WALTER J. RILEY, President C.A. WESTBERG A. M. KELLY W. L. SPENCER E. J. HEAVEY Vice-President Cashier Asst. Cashier Asst. Cashier Statement at the Close of Business, Nov. 17, 1919 RESOURCES Loans and Discounts. $ 912,579.37 Bonds and Securities 552,309.80 Bank Building 69,439.80 Interest Earned, Not Collected 10,506.69 Cash on Hand and in Banks 230,325.41
TOTAL $1,775,161.07 LIABILITIES
Capital $100,000.00
Surplus 25,000.00
Earnings Reserved for Interest and Taxes Interest Collected, Not Earned Circulation
Liberty Loan Department.
$ .125,000.00 25,237.18 10,854.72 6,443.74 96,800.00 1,142.80
Due Federal Reserve Bank 180,000.00 Deposits 1,329,682.63
TOTAL $1,775,161.07 COMPARATIVE STATEMENT OF DEPOSITS November 17th, 1915 $511,827.55 November 17th, 1916 $771,215.11 November 17th, 1917 . ; $1,012,347.92 November 17th, 1918 ; $1,030,578.79 November 17th, 1919 $1,329,682.63
IN
iHt.ii.ll ii ir tl u li, n ii ij ii, n ,ii ii ,n ii I, ii u ii n ii ii iLtrTT'innr-rrTr-T
Put Your Money To Work For You: In the Bank Money Works 24 Hours a Day
3nc
DEC
First TIrustAnd Savings Bank EAST CHICAGO INDIANA CHICAGO AND FORSYTH AVES. WALTER J. RILEY, President
C.A. WESTBERG Vice-President A. M. KELLY Sec'y aRd Treas.
A. G. SLOCOMB Cashier M. A. DAVIS Asst. Cashier
Statement at the Close of Business, Nov. 17, 1919
RESOURCES
Loans and Discounts 1118921 Si Bonds and Securities . 29.256-00 Furniture and Fixtures 3 2&".po Due from Insurance Department . 14,165-79 Ca.eh on Hand and In Banks 6.01092
TOTAL
1171.605-55
LIABILITIES
Capita! - J50.000.00 Sur;.!as 10,OiU'0 $ 60.000.00 Earnings . .. 1 i.KS.M 1 Reserved for Interest and Taxes. 1 .300-00 Deposits - 9S.J42-HS
TOTAL
.1171. 605. :
COMPARATIVE STATEMENT OF DEPOSITS
November 17- H'17 November 17. 101S November 17. 1019
?7i, 4 ii,.;.' $98,442.38
EXPERT ADVICE ON ALL INSURANCE PROBLEMS Have enough insurance, not too much, not too Utile- but ENOUGH. llae your insurance -written by men who know how. Fire, tornado, burglary and accident policiesFIRST TRUST & SAVINGS BANK Insurance Department JOHN J. BLOCK. Mgr.
EC
DSC
Dnc
nc
:mc
34
FIRS
HP Hr?
TRUST S SAVINGS
T I
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, Nov. 17, 1919 RESOURCES Loans and Discount s $ 1 ,066,005.25 Furniture and Fixtures 6,915.21 Interest Earned," Not Collected 10,899.12 Cash on Hand and in Banks 116,229.52
TOTAL $1,200,049.12 LIABILITIES Capital $50,000.00 Surplus 50.000.00 $ 100,000.00 Karninjys ' 16,076.51 Reserved for Interest and Taxes 13,347.48 Interest Collreted, Not Earned 4,216.15 1 iil Is Parable 50,000.00 Deposits 1,016,408.98 TOTAL , !f 1,200.049.12
COMPARATIVE STATEMENT OF DEPOSITS
May 11th, 1914 (Opening Day) . Noember 17th, 1915 November 17th, 1916 . .
November 17th, 1917 November 17th, 1918 November 17th, 1919
. . . $10,290.76 . . $192,925.35 $436,131.37 . $697,877.06 . $959,201.11
$1,016,408.98
n
q N n M n M 'i
