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NG - STAR, WASHINGTON, D. C, SATURDAY, MARCH 5, 1921—PART 2 5 il [] STATEMENT OF THE CONDITION : LIBERTY BONDS REPORT OF CONDITION o The SF ihe N F NDIT A NTY FIRB IX.'" RANCE COMPANY OF No Intangi!l Tax. 79 REAL ESTATE NOTES STATEMENT OF THE CONDITION |0 PRI ) NS Reasifeais il Batunces. I BOUGHT AXD SOLD FOR CASH DISTRICT NATIONAL BANK i 0 i CARO; UTUAL LIFE TNSUR- (M#agement at Manchester, - B Exdmn Conservative Valuations z ENS Rpeca AROEDNY OF DubmAM No8 o [on the ‘2t ¢ Dertmber. 190, ‘a5 e 4% ~ rty Bon @@ (AL Washington. in the District of ¢ 5 THE EVENI mbia, at the close of business on o2 On the 31st duy of December, 19: required AT Interest on Savings Accounts. 604 14th St. N.W. Februar under the District of Columbia Code, amend- . Secured by first deed AVINGS BANK ed June 50, 1902, and August 1% 1911 00000 ] O e A OURC] ‘ ot trust on high-class Capital stock . Muteal fvd THE CLINTON BANK b 1. Loans and dise redis : cath tn e | Clinton, Md. Money to Loan Lot | Cagiiin: bant . Gilbert Deat J. Frank De: i f Trust on Real Estat b Aceeptances of ¢ ' al i |7 B i b AT .‘*‘:',. T laLmen Teal etnte mortgage | ! Weller 420 Wash. L. & Teust *Total Jouns ) YTl Stockss and bonie (market s Joseph 1. Weller 42 Wash L & T e Bills receivable Eremiimen i A federal reserve hank (other t Interext die i REPORT OF CONDITION bank acceptances sold) (sce item Menthly States A Gthier s of the S4n) v i TIONAL METROPOLITAN BANK 1336 N. Y. Ave. e Net unpaid NA l N ME 2. Overdrafis, v red, $415.67 PRIt JiRegee Iu Washington, in the District of Columbia, at the close of business = R insecu omers’ liability acco Reserve as reqnred 1 EQUITABLE laries, Teuts. exp = February 21, 1821 “executed by. this bank and b banks ote. : [ = i for account of this bauk. and now outstand- CO-OPERATIVE BUILDING || Ao iabicies. RESOURCES. T "7 $300.000.00 ! = urplus e vd discounts. ... ... 3000000 ASSOCIATION ! Total 1 i {1, : »nl s, § 1 : u;»u\urt‘d“fll s 4, Xz 8\ sovermim owned ] . Thata apital < 3. Customers” liabili scount o ceeplanc Depasited 16 S. bonde, Orunsived 1968 | REEONT OF THE CONDITION R s 310 other it (his bank and by other banks for account of this bank. & Depasited to seoure Donde.par o no0n 418t ‘FEAR COMPLETED 1 \ G Amoust ol Uik Ut 0 ST L ARSI OGS commaeaa and now outstanding s cenes G b Pledged to socure S deposits (par value) 19.000.00 Asscts . -::m.!?' | CONTINENTAL "‘,‘,‘:x.f":.::. K hosn st U 5. government curitics own d: e ¢ Pledgzed to secure postal £avings deposits (par urplus .$1,065,322.89 = L 404 « Deposited to secure circulation (U. s, ’ ¥ b = = 40.000.00 TRUST COMPANY, ] I sposited i I ssangnee o i B i b S deposits (p al d to seeu 000 A0 .00 or Dayah f Owned and unpledge: s * > 3 h War savings certificates and thrif: stamps actually owne 5 of bus avings depo % the year 1 M. MOOL] Jfli’l 'he Eq"l.tab,lg a"d | At Washington, in the District of Columbia, at Save Systematically i7" i close of business February 21, 1921 —make the best of your opportmity f! RESOURCES, " C.SPAULDING, o save. Join the Fquitable and save P e ranal s Gl aystematically cach pay duy. e T $111,000.00 " i tes and th f Owned and unple b War ings certift tually owned 5 2in osited with trust deps 1 accord- ance with provisions of section 11-K, fed- S48.00 before me this 24th ft stamps of February, 1 ceul.) Total U. & governn 5. Other honds, securities, ete: ¢ Bonds and securities (other than U. S secur nt securities i during the year Subscriptions for the Total loans My commission Overdrafts, ui 80th Issue of Stock Disrriet al T ties) Dledicad as coliateral far state or other * ; p Ve deposits (postal iuded) or bills pavable.. Being Received tyand DiRtsy i Total U. 8. g0 curities other than U. 8. honds (not including 5. Cther bonds, securitics, et stock:), owned and unpledged. ... ... a01ex13 © Securities other than U. S. bonds (not includ- Shares, $2.50 Per Month $707,425.45 4 Per Cent Interest 621,2686.64 ing stocks). owned and unpledged 1 bonds. securities, ete. other than 17 71205 86 S 3 £ Colluteral trust and other notes of Corpora- 6 1 reserve hank stock S DA EQU]TABLE BUILDING 3.000.00 tions issued for not less than ONE YEAR 06 T bank (30 per cont of subscription).. 2% . ! ner more than THRER YEAY 310.80 s of banking house ed and - A & ng house. owned and unincum i Ph M t al Llie lns“rance Co. | e O R AR $550.226.48 Total bo curities, et ier than U. ! ‘ ISFSLNW. e Phoenix Mutu et . o JOHN JOY EDSON, President b Other Donds fn | of Hartford, Conn. . Stock of fede i (50 per cent of Sibscription) . 10, BEAT Shlate S o o1 FRANK P. REESIDE, Secy. | Secure - postal s i 4 | Value of banking house, owned and unincumbered. 11, Lawful reserve with fede 210 Savings deposite. 4180505 e e R red under the District of Columbia | 8 Furmitare” and "fixtures oo : 2 Ttems with federal reserse bank in process of collection (not \ " REPORT OF THF CONDITION ! WAk Donly, Srcwiy, Code, amended Junc nd Augusci1s, 393t with federal reserve bank in process “of collection (not 3. Cash in vault and net xmounts due from national bunks PR of the | ocks with federal | reserve LIABI able us reserve) . e ins . Net amounts due from banks, bankers and trust compir NI - s : S 3210 13. Cash in vault and net a rom in the United States (other than included in items 11 SAVINGS BANK G amitre apd et . as required by law. SO LD in the United £ Auded in items 11, cranges for clearing house. | 192 h L AL . T fron Figages (first lien) 31.394. . rents. expenses, taxes 5 RN TR cks on other banks in the same city or town as reporting At Washffigton, in the District of Columbia, at tional banks. ... bonds (umortized e bank (other than item 13). 1059885 . Lrokera the close of business February 21, 1 i b Seneso Ghmmis on other Total of jtems 12, 1 50 1. a Loass and disconnts. includ other banks... Forcat dué told acarued. 1.084.086.43 | 8nd o b : e of Items other ¢ ing tediscounts those ik = '".'u': ..:l.:'y’ ,.:3' e All other 5 s on ban - 1a0.g3 | 18- Redemption fund with arer and from 1. & shown in b and ¢} hecks and other cash items.. ment Buctu: bank and otre ) Sl treasurer ... é 5 25.150.00 Policy louns Mortality aud in 2. Overdrafts, unsecured, $10 Cash in vault . 15. Rede n fund with U. 19. Interest earned bhut not collectad— nate E Premium notes .. . ation fund .. i 5 3 o ed—approxtmate—on notes and & e " nteraal Tevenne stamp ac- U: (S gpvemnment General equalization fund . fre B8 - e e AU000:00 bills receivable not past dur . 1n.340.00 “aple 63,550.00 D rreane o ‘seilors® reliel ... éealieg: 19. Interest earned but not lol)lclfld—npnroxxmatu—all notes .'1:\-':.';';‘ Lo 363800 o s i and bills re 5 Fennees 2 0 AR T T T ) tificat aal Couta | ot assets ... 20. Other asset Cliara LIABILITIFE trift stamps. 1.082.20 e i Total iummm of K stumed o Total 1. Capital stock paid in 550.000.00 ta otses sustained during the 3 25 8 \ 00,000.0 ernment caniat stoc TANIEITIES. $1,000,000.00 | doney received during the Seur 1 23 .Lu{??.fitvfl.':;":,r..n.< S 4 i ARMRRY EIEa << e e i +000:000.00 | Expended during the year 1920 . e Capitel Slock o el b Less current expenses, intercst and taxes paid. 4. 8 Bonls, securities, a Undivided profits 3] RY E. JOHNSON. Secretary. JOHN M. HOLCOMBE, President. |2 Surplus fund ,000. —— 30511 than T D Leas current ex- ‘HAR ‘; s i v, 192 . Undivided profits ... 8 \ 24. Interest and discount collected or crodited in advance of 1 & RO P el g SHbe I et eva NLBERT D. WHAPLLS, Notary Public. currentiexpensciiintersy 305.306.61 turity and not earned (approximate). 20.155.00 T Puenitee s dsiuie Sndiaxes pakt - 11,5014 8eak) e . ! Il e T 8964 Circulating notes outstanding. SUSE 00,00 £y i = s . e e ; nd discou o e = . Amount due to federal reserve hank (deferred eredits) 13661129 lasdm catimal iete . - alne 1o sallomdl scime L. E. ALBERT, Gen. Agent, District of Columbia and Virginia turity and not earned (approximate).. cerenereniins . Net amounts due to national banks. .................. L. 16838877 e emu ¢ i H. RIGGLES, District Agent 25 Amount reserved for taxes accrued. .. " Net amounts due 1o banke, bankers and ' {rail ‘con : X - g - v & E O outsta i "nited States e ot i ) - i o o bamkers 0.01 i P. WILLIAMS, Agent | Amount due to federal reserve bank (deferred cre elded s ey S ey B couMAes oLk it w i b G. A. AHALT, Cashier t amounts due to national bank . Certified checks outstanding. o . 30. Net amounts due to banks, bankers and trust companies in 091,63 501-2 Westory Building, Washington, D. C. the United States and forcign countries (other than in- u.350.01 aded in items 28 or 29). S i - DWLW . Certified checks outstandin: Cashier's check ’IH own bank ou!s(dndmg COMMERCIAL NATIONAL BANK | iy £ 52 fa <tanding Cashier's checks cn own bank ou Total of items 30. 31 und e Demand deposits (other than hank dep: serve (denosits payable within 30 days): Tndividual deposits subject to check. . . . State, county or other municipal deposits secured by pled of assets of this bank P K companies and savings banks. Surplus fund .. a Undivided profis $11.16 b Less current ex- penses. Inter. and taxes paid. 3.340.67 jed checks .. . Cashier's checks outstanding Demand deposits (deposits pay- Aable within 30 days): Individual r.h-poslll subject to w = “erve (deposils payable within 30 daye): 37. Dividends unpaid .... lexs than 30 dayy (other than At Washington, In the District of Columbia, at the close of business on Thatvidual Aeposits subjest 10 CHeck. e M e e e 2 for money borrowed)...... February 21, 192 . Certificates of deposit due in less than posits) ‘Subject to Teserve. items 33, 34, 35, 36, = . Fiductars funds — for money borrowed). 37 Mind | $Brch s e s vidends unpaid RESOURCES. Dividends unpaid Time deposits subject to reserve (payable i 1. a Loans and discounts, including rediscounts 1 e ahbva It dnd o o Total of demand deposits (other than banik S i except those e ) subject to reserve, or more notice, and po: items 32, 34 {39, Certificates of deposit (other than for money bhorrowed) 10772 404,118,351 $7.945,10° and 8 ! JeuCesaas ime. deponits ‘,':.'u’;'-g‘f ‘:nm i Total loans . 40. State. coun- v or other municipal deposits secured by pl for mon: A 5 s BelE O 8 S . see . Dividends . - nore notice) : Deduct: ¥ 41. Postal savings deposits e e i i FE | gy, Corttieates of depouit (other a Notes “and, bills rediscounted 420 Other time deposits : : Yo or subject to. Than for mones borrowed with “federal reserve ban Total of time deposits sui . ‘notice) [ S (otlier, GUaByanly Scceptaneesl veroinsals Other time deposits 39 45, 41 fnd 4. uuerf ‘" ."s')n.‘). “.p"mnv 1 | taitor thme de 80ld) (52 1tem 548).-nsnneon- 867065 515165360 Total of time 42 Uniited States deposits (other than Fostal savings) 0. 31 and 3 = . Citems 29, 41 ¢ a War loan deposit account.... eieeenee $13.100.00 ble deposits (other than postal sav including depoa)m of —— 150 other than ihose 2. Overdrafts, unsecured, $3.510.66.. United States deposi 4. a T. 2 S e = ova S s A LSS ¢ oL g 3 government securities horrowed without e e 3.« Customers 1‘,‘;:“':‘}:‘.:;‘ Frrrgaoy {,}. e digbursing d"xm_"v;*l e 63,547.89 furnishing collateral security for same. .. Ji Aceptances’dsd cotmerciat for account of this bank, and now out- 50. Letters of credit and travelers' c o= $0.600.00 Bills payable. other than wi ing all obligations represen rediscounts) h federal reserve bank (includ- ng money borrowed other than credits .. Income tax coliected. ... 362 - standing 620,000,00 | 51. “Acceptanc ! { a0n.on Total . S Total ... 4. U. S, government securities ownec I = i District cf ol ? it e O « Deposited to secure circulation (U. S. bonds, e s - Billa pavable wiih fp(l(r;llr serve hank. 5.000.00 sbovE named bank, do solesnly swear tiat the | L EPEA L NORKIS, treasufes of e e par value) 2 FSLOAD.A00 00 k. TACOBSFIN, cashier of the above-named bank, do solemnly swear | © tomere .. el by thix 00 above statement is true o the best of my | Haied bank U8 MURLY S0 wy knowledge | b Pledged to secure U. 8. deposits (par value).. — 50,000.00 that the above statement is true to the best of my knowledge and belief. Bowledge aad bl slatement 15 UEEY Lo NOMIIS, Treasurer. € Pledied (o secure postal savings deposits (ar C. F. JACOBSEN, Cashier. Total ....... L T $300.000.00 Subscribed anid”sworn' to Defore e thta 2| Nubscribed and wiori to Lefore me this 3rd Yilue) - 5 50:000.00 Subscribed and sworn to before me this 1st day of March, 1921. NS 0 Siciesess day of March, 1921 [ aaxeof Searen, Wt d Pledged a (Seal)) ROBERT E. BRIGGS, Notary Public. 53. Liabilities other than those above stated: Deferred credits ' (sent) H. P. HOWARD, iseal.) Notary Publie. - posits or bills payable Correct—Attes! due clearing house bankers account returned items Correct—Att 3 Notury. Fublle. | o/ ect—Attest > 23 f°Owned and unpledged. .. GEO. W. WHITE, FRED'K DeC. FAUST, 5 : QOCOURLINEIEN A IS E: oz Correct—Attes | = . % : - 20, W. _ 3 Somermt B, Waters, Jobn 4. Sehaeter, | RN ol ARET Total U. . government securities....... antogesas| QM P JOHNSON, WALTER BROWNLEY, Totalm e e el ST L R WG, CATER, 5. Other bonds, securities, et NLEY A. McKEE, W. A. WIMSATT, 54. a Liabilities for rediscounts with federal reserve bank (see Todger 0'Hanlon, Harry Kaufman THo! a Bonds (other than U. S. bonds) pledged to - { SR, WM. F. GUDE, item 1d) Henry J. Kuppert, Patrick Shugrue | SLEAN W AEERE S secure U. S. dnuposi!s.. Tk $25,000.00 AN NG To D ehtoN. R e R e e | DB el haitngs denoaia DBl 2L smasao JOHN H. MOORE, FRANK P. REESIDE, * Total contingent liabilities (34 2. b. ¢ and d) (not in- u 1 3 s : - - Fectors. cluding items in sch 3 of report)...... 0.963.27 c “"."‘fli,“Efl;,?;:."ai‘iifi:"fi’fifx ‘r‘.;:':n‘;ie i,rH:fl‘:rr _ - Of the total loan. scounts shown above, th unoum’un which c deposits (postal excluded) or bills payab) 695,966.23 - REPORT OF CONDITION interest and discount was charged at rates in excess of those permitted by REPORT OF CONDITION « Becuritios other than U, 8. bonds (not inclua S Of the law (sec. 5197, Rev. Stat.) (exclusive of notes upon which total charge not to QL tbe BANK ing stocks) owned and unpledged. ... 297,353.34 COLUMBIA NATIONAL BANK srcecd 50 centsipue matle) was £120.000. The number of such loans was four. A I lONAL £ Collsteral trust and other notes of COrpora- strict of Columbia. city of Washington, ss : tione tésuea o not. It an ONE YEAR il — T, H. L._OFFUTT. Jr. cashier of the above-named bank. do solemnly ! s il 51355 At Washington, in the District of Columbia. at the close of business on At Washington, inthe District of Columbia, at the close of business on ! nor more than THREE YEARS time....... 230,395.00 ALWE e conms {mear that the above statement is true to the best of my knowledze and February 21, i 5 : Subscribed and to before a Total bouds, sceurities, ete, other than U. S T, ibed and sworn to before me this 34 day of March. 1 ! 6. Stocks other than federal rescrve bank stock.. oo 1. & Loans and discounts, including rediscounts (ex- (Socal) - A KATHERINE B. LOUGHRAN. Not 1. & Loans and discounts, including r | 7. Stock of federal re bank (50 pe L of subscription). © % cept those shown in b and €)........... SN $1,503,054.41 orrect —Altest; e O An =) 108,816.40 § a Value of banking house, owned and unincu 2 et MARSHALL 1. } ¥ s $3,108,516. Dot i e R ek $1.220,005.46 A Totall 16ans $1,805,054.41 CM. P, SIDNEV 1. BESS 2. Overdrafts. unsecur 2943 S 1229,005.46 1,505,034, 3 e OBEUTD, I, . Furniture and fixtur .61 . Real estate owned other than banking hou . Lawful reserve with federal reserve ban 41.075.61 Overdrafts, secured, § 22,167.39 U. S. government securities owned: £28,608.02 1 © ;' Deposited to secure circulation (U. S. bonds, par 5 Open Saturday 5:30 P.M. to 8 P.M. 4 U go a Deposited to sec par value) nment securities re circulation (U. S. bonds, i in $120,000.00 8 of collection (not b Pledged to secure U. 8. deposits (par value). 21,000.00 Items with federal reserve bank in proc - s $250,000.00 d ]'Iellgml as collateral for J"m or other dtpomla available as reserve).. 3,547.44 ¢ Pledged to secure ,msm sa\mgs deposns (par E or bills pavable. . 30,000.00 13. Cash in vault and net amounts 79885096 e < 7 18,000.00 ZLincoln Said: £ Owned and unpledged. . . 651,413.50 i14] Net amounts due_from 1 3 P On i it s I 228753804 E h War savings certificates and thrift stamps i in the United Stajes (otber than included in items 11, 12 - h War savings certificates and thrAft stamps e pRediih; icailins Bapiines L5 1eks o Ad ke e actually owned . s §36.00 B ore T B R e 48,776.14 iy Yot el P s Wl e et ol s Dosianec ta the wanld lators for —_— 15. Exchanges for clearing house.... 245,429.93 land for himself, labors on his own account snother Total U. S. government securities §33,249.50 |16, Checks on other banks in the same ity or town il Total U. §. government Securities. ...... wifile, and at length hires another new begianer to help him. §. Other bonds, securitie; . | bank (other than item 15)....... 181,837.27} 5. Other bonds, securities, ete.: No men living are more worthy to be trusted than those that a Bonds (other than U. S. bonds) pledged to se- = Total of items 12, 13, 14, di16. - b Bonds (other than U. S. bonds) pledged to se- develop from poverty. cure U. §. deposits $35,000.00 17. Checks on banks located ouiside of city or town of Te i b Gure postall sivings @eposits 0% sane00.00 e Securitivs, other than U. S. bonds (not includ- U LR C G e 0 > 40,508.85 e Securities other than U. S. bonds (not including ing stocks), owned and unpledged. . 428,111.26 | SReAEGRIG pT ARG stocks), owned and UnpleGged............. 300,592.48 , i T SR £ Collateral trust and other notes of corporation, issued for r Y I3AR nor more thun THREE 19. Interest earned bui not 83,044 and bills receivable not past due.. S e iy 20. Other assets, if any: Due from foreign banks Total bonds, securities, etc,, other than U. ock of federal reserve bank (30 per cent of subscription) Value of banking house, owned and unincum- Bered iiliis iisamieneiseaaasie cesnastans $72.000.00 notes other than U. bank stock Total bonds, securities, et 6. Stocks other than fedéral rescry Total Furniture and fix cription) ck of federal reserve bank (30 per cent of sul 15,000.00 s ures s & a Value of banking house, owned and unincum- I i LIAEILITL 11, Lawful reserve with fedoral reserve ban bered ...... $115,000.00 21. Capital stock paid in SRER R -$1,000.000.00 | 1 ‘ash in vault and net amounts due from national banks. .. . 115,000.00 {22. Surplus fund ..... 400,000.00 | 14) Net amounts due from banks, bankers and trust companies 9 o 23. a Undivided profits ORI in the United States (other than included in items 11, 12 i . 10. state ow banking hous, b Less current expenses, interest and ta hren or 13) .... RS S A R Cre —It is the stuff that builds banks, 1. Lawful reserve erve bank.. : 53,333.03 xchanges Tor Clearing NOUSe. ... ... ........c.............. = s 13. Cash in vault and net amounts due from national bank: - Interest and discount collected or credited in . Checks on other banks in the same ¢ity or town as rcpornng peoples the prairies, moves mountains 11, Net amounts due from banks bankers and trust compa turity and not earned (upproximate). .01 bank (other than item 15) s S > A the United Stercs (other than included in items 11, 1 3 5 :’""u": Yr‘:;"""ll f;'r‘_ G ““‘r“‘;" ety 28008 \ '{mm of nlz-m? 12 1]'* 1: loanai et and wins wars. aith in the future es for clearing house. ... . .588.14 | 2. Amoun erved for & nterest accrue .038.28 [ 17. Checks on banks ed ‘outside of ¢ ¥ or orting 5 2 5 s 20 Chech o ot hes Nanks in A 0388814 57! Girculating notes outstanding. 935.900.00 bani and other cash items 11,030.74 is the mainspring of human ambition; bank fother than item 23,706.45 | 2. Amount due to al reserve bu 193490.04 | 15. Redemption fund with U. S. o B e ‘Total of items 12, 13, 14, 15 and 16.. $649,533.68 - Net amounts due to national ml:m i 810,641.05 ATERASUTET o oenveoneenn ns ; 12,500.00 there is nothing that breeds optimism . Checks on banks located outside of city or town of reportin ANet amounts aue Yo banks, bankers: and v 5 in 19, Interest earned hut not collecte H ok E S Wi LAk GiNer ik Maniste Y. . 100.00 ""’] .“':;“l"l CStates uand foreign countries (other than Dills receivable not past due 15,000.00 like a savings bank account. includes n items or 29).. . 15. Redemption fund with U. treasurer 31. Certified checks outstanding. = 32, Caghier's checks on own bank o TOAL «evretreennieceioiiiiiiiietiocannenessnonsnnee 3 7 Total of item: Fotal 'sosuvahien s NSO e $5,686,897.49 Dot og ey i serve (deposits pa 200,600.00 | 33. Individual deposits subjeet to ch e RS0 |34 Certificates ‘of deposit dne in les $149,073.05 : than for money borrowed). Total ,712.28 LIABILITIES. e oram e vadies 250,000.00 250,000.00 . Capital stock paid in. . Surplus fand ....... . a Undivided profits b Less current expenses, Savings Accounts 39/, Interest LIABILITIE 7.387,903.78 . Capital stock paid in Surplus fund than thirty 'd interest and taxes paid. ed _ 14,590.16 . —————— 100,263.82 rent expenses interest p 35. State, county or other municipal d . Interest and discount collected or credited in advance of ma- urrent expen nterest and tux 13,3 of assets of this bank. turity and not earned (approximate) : rved for taxes weeried. 37. Dividends unpaid . Amount reserved for taxes accrued.. : unt reserved for .00 | 35 0'}:*: ;!*;mlsml depo . Circulating notes outstanding. : 3 % Circula 3 . 0 Xt Total of demand depo 9. Net amounts due to national banks. ¢ [ gt Aeuntiads tb hank (deferred credits) I3beszan Posits) subject to T Net amounts due to banks. bankers and trust companies in ommercia counts Net amounts due to nal banks 1.090.53 | = ‘°di" and 35. < the United States and foreign countries (other than in- ahid ¢ S B tere ndl e g ime deposits sub, ter 50 v, cluded in items 28 or 29).... e Taatea s ek r.,r‘..k: f:..fn';r]u‘:uA(‘,u(.f’.'-m;;'i:s;,’.'.' subject to 30 da nd postal savings) e 31. Certified checks outstanding. .. Monthly Statements Rendered cluded in items 25 o 16 9. Certificates of deposit (other than for money borrowed). o | 22. Cashier's checks on own bank outstanding Certified checks out S $ 1. Postal savings deposits. : 9 Total of item 29, 30, 31 and 32 $274.845.87 Cashier's checks on 10 42. Other time deposit: .65 Demand deposits (other than bank deposits) subject to re- Total of items 28, S5 et dt 1.03“;“ f(.r t;rlne deposits subject to reserve, items serve (deposits pa)dbt;le v.l(h[v‘l‘ :u:( days) . (ath ank deposits 2 and 42 Cereseiaes . Individual depo: subject to check.. 1,940,919.19 = o;’n::fl: payabie L‘n'.,.’.‘, mld':,,i.; ) subject to re 43. v"‘!*" Pt deposits . Certificates of deposit due in less than 30 day .‘fflrflfifl cxtfla"fl! 33, TrdivI 1 Aepaatts KBIBAE Yo he e S s 1 seTabis wr loan deposit account.. for money borrowed). ... 12335.00 34, C s oxit s 3 37. Dividends unpaid .. . 174.00 o abiey Dariowey - s 0 dass (other than 48. Bills payable with federal ressrve bank 2 : Pt Total of demand deposits (other than bank de- At Lowest Rates Dividends unpaid .. 5 i e 51. & "Acceptances” executed by this bank for cus- gl posits) subject to reserve, items 33, 34, 35, 36, ; Total of demand deposits (ot tomers . $620,000.00 37 and 3 2$1.953,628.19 pusits) subject to reserve, | = Time deposits subject to reserve (payable after 30 days, or Craentet il : G Sas Tt Tatall ;oo o T e subject to 30 days’ or more notice, and postal savings) Time deposits subject to reserve (payable afier 30 days, OF 620,000.00 | 41. Fostal savings deposits. . Resources, $5,587,505.90 o O'huub‘lrct o 30 dal)s or more notice, and postal savings) Total A O b ente - . Other time deposits iinsessiiideaskesssen 1082601608 5 2 s b 2 . . Total of time depo fs subject to reserve, jtems i 54. a Liabilities for’ red:!t_ounts with federal reserve bank (sce 2%./80 TR -Re BSLETND B atlona[ nk Loogig L athil EOE SR RS $2,826.516.08 item 1d) $679,653.60 Total S iy t.i...33,495,712.28 ln[fl n a TOtal oo 15,686,897.49 Total contingent liabilities (74 a, b, c and d | e Ly Waslington. 3 b= City of Washington, District of Columbia, ss - e ey oy oment At ."T b and d) (not in- 1, CLARENCE CORSON, cashler of the above-named bank, do solemnly One of the Oldest and Best Known Banking Institutions of L ALBERT & GATLEY, cashier of the ahove-named lank, do sclemnly | City o Wiashington. Eit et of Colubia. sor i $679,653.60 | swear that the above statement is true to the best of my khowledge and Washington gwear that the above statement is true to the hest of my knowledge and 4. H. BADER, cashier of the above-named bank. do solemnly swear | Subscribed and sworn to before me this 2d day of Maren 1051 " ubseribed and sworn to iefore me ALBERT 8. GATLEY. Cashier. that Cio/aberdiatatarnent oo i o g o my knowledge and belief. (Seal.) ALFRED B. DENT, Notary Public, D. eribe orn to hefore me this 15t day o . J. H. BADEN, Cashier. Correct—Attest: - el o tes JAMES A. SOPER, Notary Public. (e Subscribed and sworn to before mo this 26th day of February, 1931. ALBLRT ¥, 1 JOHN N. SWARTZELL, 5 . i " eal A AR Nota P 8 T an Jonx . mrawNER e ALEXANDER It VARELA, Notary Public. o R T Experienced Advertisers Prefer The Star £ NA LINCOL GRORC SUMPHREY, I F. BOLLIN CHAS IR SEERRY A G J . MESSE ! H. R NORTON N ALBERT 8. GATLEY, REYNOLDS, JAMES SHARP, ' i i RS HENRY T. OFFTERDINGER, Directors. HOLCOMBE G JOHNSON, Directors. CHARLES W. RAY, Directora. = 2 N . }