South Bend News-Times, Volume 31, Number 195, South Bend, St. Joseph County, 7 July 1914 — Page 4
TITS DAY. .TVNT 7. 1911.
THE SOUTH BEND NEWS-TIMES.
Ml WELFARE WEEK M CITY'S BABIES Children's Dispensary Workers Arrange to Raise Funds to Enlarge Institution.
At nn oprn metir.ir of the Children's Dispensary association Monday afternoon in th Chamhr of Commerce rooms tli firt drfinite steps were taken toward arranin a children's welfare week to he hHj in -South Iiend sorr.t! time during September. The purpose of the undertaking will e to niise a sustaining fund for the association which has now srown beyond scope of private institution supported by desultory private subscriptions an it has been practically so far. An effort v. ill he made to rouse public sentiment through the churches. Iiy a general committee to be appoinced by the president of the association, committees will be appointed in each of the churches and thesecommitters will be asked to determine lipon some method by which they will pledr. themselves to raise a certain sum during the general welfare week. Hy this means interest in the scheme Will be broadened. As one member of tlie dispensary board said yesterday, "Babies are nonsectarian. They are just mites of humanity in whom we believe everyone 1m interested. We shall make a special effort to interest the children of the various churches as well as the older people. Of course the fact that wo are planning to take the churches as the basis for our work will not prevent our working outside as well, but we have to have a nucleus about which to begin." Just what the nauire of th welfare week will be is as yt indefinite, as much will be left to the discretion of th churches which participate in the undertaking. A permanent home for the dispensary which has long been desirable and is now a necessity will be purchased as soon as the corporation papers arrive from Indianapolis, the association havin;: incorporated only last week. The property selected is located at the corner of Huron and Harris sts., in a district where the services of the dispensary are most urgent. The property consists of a fair sized lot and a seven room house which will be converted into a dispensary by the installation of the necessary equipment. The present location will probably be retained until fall, however, as it will be impossible to get the new home entirely ready before that time.
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HUMANE SOCIETY REPORT
I-mxl by Ofliccr Moore .Shows o9 Cases in June.
The South Hend Humane society reports that Officer Moore attended to ..: cases during the month of June. Reporting three cass of cruelty and neprb i t of children, notified two parents to take better care of their children and family, one man was notified to take better care of his hors four cases of cross dogs were taken care of. tv o horses were taken to barm-, four Krawd pits were visited, nine animals were destroyed. 1 r cases of neighborhood troubles, with a number of other cases which were referred to the juvenile ollicer and reports concerning children. The secretary. H. A. Pershing, gave n b!rd talk n Sunday evening. July Oth. at the Epworth .Memorial church on Michigan av. and on July loth will give nn illustrated bird talk at Hope chapel on S. Leer st.
Report of the
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itizens
ank'
At the Close of Business, June 30, 1914. RESOURCES Loans and Discounts S6 19, 1 77.53 Stocks Securities, etc 22,250.00 Banking House 80,579.70 Overdrafts, Secured and Unsecured 16,529.07 U. S. Bonds to Secure Circulation ... 100,000.00 Other Bonds to Secure U. S. Deposits 30,000.00 Due from U. S. Treasurer 8,500.00 Due from Banks S84, 103.33 Cash 73,824.73 147,928.06
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Total . 1,034,964.36 LIABILITIES Capital Stock (paid in) s 100,000.00 Surplus Fund (earned) 100,000.00
Undivided Profits 34,593.31 P
National Bank Notes, outstanding. 99,350.00 Reserve for Taxes 5,000.00 Dividends Unpaid 2,500.00 Deposits $649,296.90 U. S. Deposits 34,747.89 Certified Checks 4,239.06 Certificates of Deposit 5,237.20 693,521.05
Total $1,034,964.36
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START AN ACCOUNT AT ONCE All Money Deposited in our Savings Department Prior to July 11th, Draws Interest from July 1 at 4Tr. Condition of the
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SOUTH BEND, INDIANA At the Close of business June 30, 1914. RESOURCES Loans and Discounts Si, 740,904. 19 Overdrafts 1,038.47 Bonds and Stocks 62,760.62 Company's Building 80,000.00 Furniture and Fixtures 13,554.02 Advance to Estates 609.83 Advance to Insurance Department 1,984.49 Cash on hand and due from banks 432,700.21
WANTS SECRECY REMOVED Senior Itorah A-ks Open Debate on Colombian Treaty.
WASHINGTON. July 7. Son. Horah Monday started the fiht to hae tho mjuru'tion of y-creey re-inov-,i from the proerp.lir.s of the eommittee on foreign relation in con tie. ttori with the Nicaramian treaty ami to order the delate on that and the Tolomhian treaty in the senate ondueted in ojn session. After an miniated discussion his resolution .vent over until tomorrow. .me members of the committee protested that it would be unfair to the Nioarai;uan minister to this country and the Niearaicuan minister of finance who had talked freely before the committee upon a pledge of secrecy, to make their statements public. Mr. Horah HPrreed to that and made an exception of such evidence as hail been taken under the promise of the committee that it should not be Uiulpcd.
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Statement of Condition of the Citizens Loanjrust & Savings Company at the Close of Business June 30, 1914.. RESOURCES Loans on Collateral Security S 10 1, 550.00 Loans on Mortgage Security $587,142.50 Real Estate 14, 144.20 Bonds and Stocks 145,660.00 Furniture and Fixtures 10,846.36 Company's Building 73,347.25 Due from Department 971.61 Cash and Due From Banks 121,725.57 Other Resources 32,531.17
Total $ 1,087,9 18.66 LIABILITIES Capital Stock .$ 100,000.00 Surplus and Undivided Profit 74,899.94 Deposits ' 890,058.65 Reserved for Taxes 3,176.74 Other Liabilities... 19,783.33
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Totals SI, 087,9 18.66
Combined Resources S2, 122,883.02 t
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Total $2,333,551.83 LIABILITIES Capital Stock Paid in $ 171 ,600.00 Surplus and Undivided Profits Less Expense and Taxes paid 1 34,048.20 Deposits 2,027,903.63
Total S2.333.55l.83 OFFICERS AND DIRECTORS Sam Leeper President J. C. Eberhart, Jr Vice President V. G. Muessel Vice President E. H. Miller Secretary and Treasurer F. A. Stover Assistant Treasurer C. J. Wenderoth H. S. Miller S. C Lontz J. B. Haberle A. A. Fulk W. F. Miller H. M. Sanders A BANK FOR ALL THE PEOPLE.
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St. Joseph County Savings Bank June 30, 1914. RESOURCES.
; Loans and Discounts $2,562,695.29 i Municipal Bonds 348,479.77
Cash on Hand and Due From Banks 602,086.55
Total $3,5 13,26 1.6 )H
! LIABILITIES. Due Depositors $3,134,1 17.17 ! Surplus 1M 5,000.00 i Interest Exchange, etc 64, 144.34
FISHERMANJRNDS BODY ilclictcil to lie That of Ilamcl, Milnsr KnclMi Aviator.
PATJIS. July 7. A body which is rjr.irdfnl as.iitnIt-:llMlIy that of Oustav Mamfl. th-" Knslish aviator who iisai'iu arod during a channel flight, v.-as found Monday by fishermen in thr sea off Hardelot. Hanoi vanished si weeUs a so and l fro bo.lv. it was reported, was in too advanced a state of drcomi -option to allow it to he lauded.
TRIES TO RIDE PIKES PEAK
Total S3, 5 13,261.5 I
t. Joseoii Loan & Trust Co.
South Bend, Indiana, June 30, 1914. RESOURCES. Loans and Discounts S2, 055,796.71 Overdrafts 5,229.87 Municipal and Other Bonds 188,862.99 Cash in Hand and Due From Bands 403,763.19 Trust Securities 843,261.78
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R No. 101.
rrank mayr br rresiaent. j. t. ien, secretary. A. J. Hammond, Vice Pres.J. E. Neff, Treasurer. Condensed statement of the condition of the UNION THUS! COMPANY at South Bend, in the State of Indiana, at the close of its business on June 30th, 1914. RESOURCES. Loans and Discounts $243,573.88 Overdrafts 1,605.66 Land Contracts.... 5,347.93 Furniture and Fixtures 12,311.32 Other Real Estate 34,000.00 Due from Departments 329.09 Due from Banks and Trust Companies. . . 1 1,536.72
Cash on Hand 6,126.08 9
Cash Items: 4,169.91 Taxes and Interest Paid 3,228.53 Expenses 951.29 Total Resources S323, 1 80.4 1 LIABILITIES. Capital Stock paid in -..S 50,000.00 Surplus 12,500.00 Undivided Profits Net 2,113.54 Interest, Discount and Other Earnings 3,850.48 Demand Deposits, Except Banks 121,560.91 Time Deposits, Except Banks 121,560.91 Trust Deposits, Except Banks 501.67 Certitied Checks 386.01 Due to Banks and Trust Companies 10,347.56 Total Liabilities S323, 180.41 State of Indiana. County off St. Joseph, ss: I, Joseph K. Neff, secretary of the Union Trust Co., of South Bend, do solemnly swear that the above statement Is true. JOSKPH E. NEFF. Subscribed and sworn to before ine tthis 3 day of July, 1914. W. A. S?IICK. Notary Public. My commission expires May 2 3, 1013.
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1,500.00
8S,S21.05
48,000.00
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No. 6334. Report of the condition of Merchants National Bank South Bend, Ind., at the close of business, June 30th, 1914. RESOURCES Loans and Discounts s656,2 16.45 Overdrafts, secured and unsecured 1,254.45 U. S. Bonds to secure circulation 100,000.00 Other bonds to secure U. S. Deposits;
to secure Postal Savings 10,000.00
Premiums on U. S. Bonds Bonds, Securities, etc. (other than Stocks) Banking House, Furniture, and Fixtures..
Other Real Estate owned 1,213.54
Due from National Banks (not reserve agents) Due from State and Private Banks and
Bankers, Trust Companies and Savings Banks 13,542.91 Due from approved Reserve Agents 86,568.46 Checks and other Cash Items 315.08
Exchanges for Clearing House 6,444.39 U Notes from other National Banks 7,250.00 f
Fractional Paper Currency, Nickels, and Cents Lawful Money Reserve in Bank, viz: Specie S36.635.oo Legal-tender notes 5,500.00 v Redemption fund with U. S. Treasurer
(5'a of circulation) 5,000.00
208.62
42,135.00
Total S 1,069,475.08 LIABILITIES. Capital stock paid in S 100,000.00 Surplus fund. 30,000.00 Undivided Profits, less Expenses and Taxes paid 4,41 1.35 National Bank Notes outstanding 100,000.00 Due to State and Private Banks and Bankers 12,484.53 Due to Trust Companies & Savings Banks 675.88 Individual deposits subject to check 719,477.40 Demand certificates of deposit 93,014.86 Certified checks 5,328.80 Postal Savings deposits 4,082.17
Total S 1,069,475.08 State of Indiana, County of St.. Joseph. I, C. V. Coen. Cashier of the above-named bank, do solemnly swear that the above statement is true to the best of mv knowledge and belief. C. W. COEX, Cashier. Subscribed and sworn to before me this 3rd day of Julv. 1914. CHESTER I.. DU COMB. Notary Public. Correct Attest: J. C. Paxion, C. L. Warner, J. E. McEndarfer, Directors.
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Man Ijinz From Attempt to slide Mountain Side.
di:nvi:i:. 'oU.. jui t l. f. Kunstt of 'hiac i dyins in a hospital lirrc Kursor atu-mi'trd t slid down ViVc" i";ik on an improved sbd. H wc.'t oer the sid- of the mountain into a ravinr anil fr.iotured his -UuI!. K uns.-r rame to this rity to jpmd hit vacation.
Total S3,496,9 14.54 LIABILITIES.
Capital Stock S 200,000.00 ; Surplus 100,000.00 Undivided Profits 120,000.00
want to iu:si;n. WASHINGTON'. July T. George I'red William!". 1'nited States minister to GreerM and Mor.tenorro. lias roufted S- y. of Statr Hrv.tn to to: ir his r' - i t: r t i . ri to th pr'.id-nt. That Mr. Williams would resign was foreshadowed in the statement r?i'n v:t while Pre- WiKon was in Philadelphia, iln- president had requested the resignation by cable.
i Interest and Other Earnings ; Deposits ! Due Banks and Trust Companies ! Due Trust Department : Trust Investments Reserve tor Taxes ; Dividends Unpaid
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South Bend National.
Report to the Comptroller of Currency, June 30, 1914. RESOURCES. Loans, Discounts and Bonds 31,099,648.79 Overdrafts 4,009.30 U. S. Bonds to Secure Circulation 1 00.000.00 Other Bonds to Secure U. S. Deposits 39,000.00 Cash and Due from National Banks 195,582.78 U. S. Treas., 5 per cent Red. Fund 1,950.00
Total S 1,440, 190.87 LIABILITIES.
2,1 17,483.24 Capital Stock paid in S 100,000.00 28,000.00 Surplus and Undivided Protits 116,921.90 45,91 1.45 .Circulation 100.000.00 843,261.78 iDeposits 1,073,346.38 4,6 1 2.50 j u. S. Deposits 29,922.59 60.00 Reserved for Taxes and Interest 20,000.00
Report of Condition FIRST NATIONAL
SOUTH BEND, INDIANA. At Close of Business, June 30th, 1914. RESOURCES Loans and Discounts $924,530.20 Overdrafts 1,651.65 U. S. Bonds to secure Circulation 100,000.00 Other Bonds, Securities, etc 112,942.50 Other Real Estate owned 1,593.51 Furniture and Fixtures 8,460.00 Redemption Fund.... 5,000.00 CASH: With Banks S5 16,939.41 In Vaults. . 171,931.80 688,871.21
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Total SI, 843,049.07 LIABILITIES Capital Stock S lo5.ooo.oo Surplus and Profits (earned) 140,767.94 Circulation 95,800.ou Dividends unpaid 201.00 DEPOSITS: Individual S 1,439,523.06 Bank 61,757.07 1,501,280.13
Total S1,S43,049.07
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Report of the Condition of
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Total ?3,496,9 14.54 Combined Resources S7,oio, 176.05
WILSON" HAS COLD. WASHINGTON'. July 7. Pn WilP'jti i." Miffrlrn from :i slight rM n result of hi trip to PhiUulHphhi n Saturday. Hi voire is a 1-if husky, but h XVCtx tu ft TUi of thr colli ia a day cr two.
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June 30, 1914. RESOURCES. Loans and Discounts S27,73o.5Furniture and Fixtures 741.10 Due from Banks and Trust Companies ,. 7.46S.65 Cash on Hand 1,095.41 Current Expenses 949. ?o Interest Paid 290.33
Total Resources S38.275.33 LIABILITIES.
Total .Sl,440,l90.87'Capital Stock-Paid In. S1?So
DIRECTORS :-Lucius Hubbard, Myron Campbell, Haven f hiK . '. 278.32
Hubbard, Arthur L. Hubbard, Marvin. Campbell, Fred H. Ti p rvnosits 20,173.52
n 4 4 n ua c ,11 x
FOUR PER CENT ON SAVINGS DEPOSITS.
Total Liabilities S38.2o.jj
