South Bend News-Times, Volume 39, Number 10, South Bend, St. Joseph County, 10 January 1922 — Page 10
10
THE SOUTH BEND NEWS-TIMES TUESDAY MORNING, JANUARY 10. 1922
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Report of Condition National
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South B.nd, Indiana At cl ose of business December 31, 1921 RESOURCES Loans and Discounts $2,484,749.94
DICK JOHNSON -LOUIS C. KREIDLER -F. W. VAN ANTWERP
President Vice-President Cashier
Overdrafts U. S. Bonds to secure circulation Other bonds, securities, etc
Stock in Federal Reserve Bank
Furniture and fixtures Redemption fund and due from U. S. Treas Other assets CASH With Bank $304,194.82 In Vaults 306.117.91
1.421.84; 500.000.00;
698.284.69 21.600.00 8.819.67 25.000.00 11,991.96
610,312.73
$4.362.180.83
LIABILITIES
Capital Stock $ 600,000.00
Surplus and profits (earned) . . ... Circulation -
DEPOSITS Individual .$2,942,551.41 Bank 1.138.171.76 3.080.723.17
194,457.66
487,000.00
$4,362,180.83
4 Per Cent Paid On Savings Deposits Condensed Statement of the Condition of the American Trust Company at South Bend, in the State of Indiana, at the close of its business on Dec. 31 , 1 921 RESOURCES Loans and Discounts $3,560,138.77
555.46 251,428.52 111,577.47 9,850.00 174,231.46 76,000.00 49,625.23 20.499.27 456,329.62
Overdrsfts Bonds and Stocks -. U. S. Bonds and Certificates of Indebtedness Federal Reserve Bank Stock Trust Securities Company's Building . . Other Real Estate Furniture and Fixtures Cash on Hand and Due from Banks
Total Resources $4.710,235.80 LIABILITIES Capital Stock, Paid In $ 200,000.00 Surplus and Undivided Profits Less Expenses and Taxes Paid 200,000.00 Trust Investments 174,231.46 Deposits 4,064,004.34 Bills Payable 62,000.00 Notes Rediscountcd 10,000.00
Report of the condition of the South Bend State Bank at South Bend, in the State of Indiana, at the close of its business on December 31, 1921 RESOURCES Loans and Discounts .v.:. $3,541,1 1 7.88
Overdrafts Other Bonds and Securities Banking House . Furniture and Fixtures r. Due from Banks and Trust Companies. . . Cash on Hand : Cash Items Current Expenses ...... .t. Taxes Paid ...... .- Interest Paid :
Total Resources $ LIABILITIES Capital Stock paid in $ Surplus . . . . Undivided Profits and Reserves . Exchange, Discounts and Interest Dividends Unpaid ' Demand Deposits $199,190.28 Demand Certificates .... 1 7,098.86 Savings Deposits 257,865.13 Trust Deposits 357.75 Certified Checks Cashier's Checks . . . .
219.37 77.660.70 36,856.04 12.423.96 28,358.60 28,723.31 6,339.03 7,388.51 623.16 3,874.49 556,585.05 50,000.00 12,500.00 5,025.37 14,458.52 14.00
CLEMENT S. SMOGOR President JOHN T. NIEZGODZKI Vice-President STANLEY J. CHELMINIAK Cashier L. STANLEY BECZKIEWICZ Assistant Cashier Report of the Condition of the
Condensed Statement of the Condition of the
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A State bank at South Bend, in the State of Indiana, A the close of its business on Dec. 31, 1921 RESOURCES.
Loans and Discounts . . .i $ Bonds and Securities : . Banking House . . ..... Furniture and Fixtures , Due from Banks and Trust Companies . . . .: Cash on Hand Cash Items
518.633.33 13.917.87 30.000.00 15,998.28
85.635.92!
32,068.06 8,188.98
ürcizens Nation
at the close of business Dec. 31. 1921 RESOURCES. Loans and Discounts $2,213,148.37 Overdrafts v 1.477.97 U. S. Bonds 519,250.00 Bonds, Securities, Etc 91.173.25 Banking House and Real Estate 11 7,907.65 Due from U. S. Treasurer 20,000.00 Cash and Due from Banks..-. 670,069.55 Other Assets . . .. . . .- 16,176.53
Total Resources $ LIABILITIES. Capital Stock paid in $ Surplus . . . Undivided Profits Demand Deposits $145,051.85 Demand Certificates 1,176.59 Savings Deposits Certified Checks Cashier's Checks ..:. Other Liabilities'
704,442.44 50.000.00 12,500.00 3,000.00 146.228.44 491,632.79 24.13 957.08 100.00
$3,649.203.32 LIABILITIES. . 1 C . 1 trr rrr rr
i apuai JIOCK . 4UU.UUU.UU
Surplus 200.000.00 Undivided Profits . . 131,155.83 Circulation . . . . . . . . 400.000.00 Deposits ....... 2.518,047.49
474,512.02 75.00 .14
Total Liabilities ...... . ............. . . . $ 556,585.05 State of Indiana, County of St. Joseph, ss: I, F. W. Van Antwerp, Cashier of the South Bend State Bank, do solemnly swear that the above statement is true. F. W. VAN ANTWERP. Subscribed and sworn to before me, this 6th day of Januuary, 1922. RALPH H. KUSS. Notary Public. My commission expires March 1 4, 1 922.
Frank Lassu George Toth
President Cashier
Total Liabilities $4,710.235.80 OFFICERS E. H. Miller, President S. C. Lontz, Vice-President J. B. Haberle, Vice-President V. M. Royer, Secretary J. A. Coquillard, Treasurer. ! DIRECTORS E. H. Miller ! S. C. Lontz J. B. Haberle J. A. Coquillard H. S. Miller A. A. Fulk W. F. Miller H. M. Sanders H. J. Ledercr J. C. Ellsworth Start A Savings Account At Once Condensed Statement of Condition of the Merchants National Bank South Bend, Indiana At close of business December 31st, 1921 RESOURCES Loans and Discounts $1,082,247.38
Report of the condition of the Toth State Bank at South Bend, in the State of Indiana, at the close of its business on Dec. 31, 1 92 1 RESOURCES
Loans and Discounts $ Furniture and Fixtures Due from Banks and Trust Companies .... Cash on Hand Cash Items Current Expenses Interest Paid War Savings Stamps
115,902.10 833.00 1,736.61 6,403.62 600.78 3,535.02 560.63 426.23
Total Resources $ LIABILITIES Capital Stock Paid in $ Exchange, Discounts and Interest Demand Deposits Demand Certificates Savings Deposits .- ...... Bills Payable Cash Over
129,997.99 35,350.00 1,931.90 9,757.59 3,000.00 62,953.00 1 7,000.00 5.50
Stocks and Bonds United States Bonds Banking House, Furniture and Fixtures. . . , Other Real Estate Five Per Cent Redemption Fund Cash and Due from Banks
140,385.52 204,600.00 83,002.70 16,102.82 5,000.00 135,149.30
Total Liabilities $ 129,997.99 STATE OF INDIANA, COUNTY OF ST. JOSEPH, SS: I, George Toth, Cashier of the Toth State Bank, do solemnly swear that the above statement is true. GEORGE TOTH. Subscribed and sworn to before me, this 5th day of Janray, 1922. ALICE M. LATOSKY, Notary Public. My commission expires Aug. 9, 1925. Michael Hazinski, President A. G. Chelminiak, Vice President P. A. Joyce, Cashier Leanore M. Chelminiak, Ass't Cashier
Report of the Condition of the
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$1,666,487.72
a State Bank at South Bend, in the State of Indiana, at the close of its business on Dec. 31, 1921 RESOURCES Loans and Discounts $1,123,788.14
Total Liabilities $ 704,442.44 State of Indiana, County of St. Joseph, ss. : I, Stanley J. Chelminiak, Cashier of the Peoples State Bank, do solemnly swear that the above statement is true. STANLEY J. CHELMINIAK. Subscribed and sworn to before me, this 5th day of January, 1 922. CHAS. R. LEWINSKI, Notary Public. My commission expires April 1 0, 1 923.
Condensed Statement of the Condition of The St. Joseph Loan & Trust Co. South Bend, Indiana, at the close of business Dec. 31, 1921 RESOURCES. Loans ana Discounts $2,397,740.88 Overdrafts 206.40 Bonds and Stocks . . 1 ,495,238.42 Real Estate :. 1,881.52 Due from Banks 521,410.14 Cash on Hand 118,894.45 Trust Securities r. 2,007,456.43 customers Acceptances 75,000.00 $6,617,828.24 LIABILITIES. Capital Stock Paid in $ 800,000.00 Surplus 200,000.00 Undivided Profits 38,998.84 Dividends Unpaid 255.00 Interest and Discounts 83,557.27 Demand Deposits 897,946.24 Certificates of Deposit 211,700.81 Savings Deposits 1,979,801.61 Trust Deposits 71,590.12 Due to Banks and Trust Companies 250,350.90 Certified Checks 1,171.02 Trust Investments 2,007,456.43 Acceptances Executed for Customers 75,000.00 $6,617,828.24 OFFICERS AND DIRECTORS
St. Joseph Loan and Trust Co. Rome C. Stephenson ....
$3.649,203.32 Condensed Statement of the Condition of the
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at the close of business Dec. 31, 1921 RESOURCES. Loans and Discounts $2,294,995.45 Bonds, Securities, Etc......:.....:.- 626,248.83 Cash and Due from Banks. . ... . 388,479.59 Other Assets .; v . 208,765. 1 0
$3.518.488.97 LIABILITIES. Capital Stock . . . . .....$ 300,000.00 Surplus 150,000.00 Undivided Profits .......... 132,667.10 Deposits ....... 2,935,821.87 $3,5I8,4P8.97 COMBINED RESOURCES .$7,167,692.29 OFFICERS Citizens National Bank C. Fassnacht . . Chairman of the Board
Clement Studebaker, Jr. Geo. L. O'Brien V. H. Holland G. H. McMichael R. G. Chalfant F. J. Schumacher H. P. Rausch .
President Vice Pres't Vice Prut Cashier Ass't Cashier Ass't CasKler As't Cashier
Jacob Woolverton
Willis A. Bugbee . George U. Bingham Harriet E. Elbel Elmer E. Rodgers C. J. Meyer A. D. Whittenberger W. E. Niven E. F. Abernethy
President
Vice Pres't Vice Pres't Sec'y and Treas. Cashier Ass't Sec'y Ass t Cash ier Ass't Cashier . Mgr. Bond Dept. Mgr. Ins. Dept.
LIABILITIES
Capital Stock . . . Surplus Fund . . . Undivided Profits Grculation
Overdrafts T T Q nJQ
i n 077 q; I Banking House
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346.34 68,327.67 149,251.05 25,000.00
DIRECTORS.
J. M. Studebaker, Jr. W. A. Bugbee Jacob Woolverton D. E. Snyder George M. Witwer G. U. Bingham F. S. Fish R. C. Stephenson Statement of the Condition of the St. Joseph County Savings Bank at South Bend, Ind., at the close of business Dec. 31, 1921 RESOURCES. Loans and Discounts $1,762,788.33
OFFICERS Citizens Trust and Savings Bank John A. Hibberd . , Chairman of the Bowd Marvin Campbell . . . . President V. R. Baker . . Vice Pres't and Treas. C. C. Shafer , . . Vice Pres't Miles O'Brien ..... Vice Prea't G. H. McMichael ..... Secretary R. G. Chalfant . . . Ass't Secretary DIRECTORS Citizens National Bank Citizens Trust and Savings Bank W. R. BAKER Capitalist FRED A. BRYAN Pres. Indiana and Mich. Elrctric Co. MARVIN CAMPBELL Pres. Campbell Paper Box Co. C. FASSNACHT Pres. Indiana Lumber and Mfg. Co. JOHN A. HIBBERD Attorney W. H. HOLLAND Pres. Sibley Machine Co. ARTHUR L. HUBBARD Attorney C. L. MILLHOUSE Pres. McHenry-MillH ouse Mfg. Co. FRED W. MUELLER Treas. South Bend Wholesale Grocery Ce. GEO. L. O'BRIEN Treas. O'Brien Varnish Co. MILES O'BRIEN Pres. South Bend Lathe Works C. C. SHAFER Pres. C. C. Shafer Lumber Co. CLEMENT STUDEBAKER. JR. Pres. South Bend Watch Co. GEO. M. STUDEBAKER Vice Pres. Studebaker Vehicle Co. H. S. BADET Treas. South Bend Toy Mfo. Co.
United States Government Bonds
Municipal Bonds
Deposits ..: , 1,298,909.87
Bills Payable 85,000.00
J! I Other Real fctate .......... , ,. .3.400.00!
2,81 0.96 jCash anj Due from Banks
OFFICERS
C P. DuComb C. W. Coen D. M. Coen -Ira M. Ullery
$1,666.487.72 President Vice-President - Cashier Ass't Cashier
Cash on Hand and Due from Banks
Current Expenses Interest Paid Other Assets
170,811.63
8,469.45 ' 20,1 07.39 jcififl.
281.41
DIRECTORS C. P. DuComb K. C. DeRhodes J. E. McEndarfer C. L. Warner O. A. Clark J. B. Cambell Albert Myers P. G. Stably C. W. Coen
Safety Deposit Boxes for Rent
4rr on Savings
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Total Resources $1,572,594.04' LIABILITIES. ;
Capital Stock paid in Surplus : Undivided Profits Exchange, Discounts and Interest
Deposits 1,283,387.51 Cashier's Checks 1,256.93
LIABILITIES. $ 340,000.00
Due Depositors - 3,168,77.91 Interest, Discount, etc 31,301.06
3 1 5,4 1 9.34 , fz 1773:; 593,421.761 - - 868,249.54 1 iiiiriiiiiiTiiiiiiiiiiiiiiiiiiiiiniiiiiiiiiiiiiiiiiiiiiiiiiiiiiiMiiiiiiniiiiiiiiiiiiiiiniiiiiTiii
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At the Breakfast Table
mill
$3,539,421.76;
i $3,539,421.76 $ ' ?f ! COMBINED RESOURCES $10,157,250.00
OFFICERS AND DIRECTORS St. Joseph County Savings Bank
56,500.00
5,365.47 38,084.13
Total Liabilities $1,572,594.04 State of Indiana, County of St. Joseph, ss: 1, P. A. Joyce, Cashier of the above named bank, do olemnly swear that the above statement is true. P. A. JOYCE. Subscribed and sworn to before me, this 5th day of Jan-
uary, 1 922. JOSEPH KISH, JR., Notary Public, i My commission expires April II. 1922.
Jacob Woolverton Rome C. Stephenson Benj. F. Dunn George U. Bingham Harriet E. Elbel Elmer Rodgers
President 9 ft r
Vice rres t
Vice Pres't Sec'y and Treas. Cashier Ass't Cashier
Jacob Woolverton B. F. Dunn W. A. Bugbee
TRUSTEES George M. Witwer Elmer Crockett W. A. Funk
R. C. Stephenson
Start thn day rlht with a complft tnowlrj;r of rltj- and world ne-w of thf laM twrntjfour hour. Pon't ml. the opportunity to be able to talk Intrllijrmtlr on any Fubjoct uhlch mlßht rorae up. fot erents happen too late for evening publication. Snb-rribe to the Mornics: NwT1n. Read It rlth your breakfast. You will fel brtter for harln? stored away complrte knoulrdjre of current ernt. :- ORDER: NOW -: Phone Main 2100. Ak for Circulation Dept.
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