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Bank No. 67-48?. Statement of The Condltiou of The Bank of Western Carolina, .. K ... ' located at Batesburg, S. C., at the close of business June 30, 1920. Resource* Loans and discounts.',... 5249,442.26 Overdrafts 148.51 Due from , banks and bankers 747.99 Currlenoy 3,006.00' Gold I.... 15.00 Silver and other minor < coii\ 909.68 < Cash items 431.00 ? Other Resources, viz.. < Checks on other banks . . 804.56 < ] Total $255,505.00 Liabilities. "Undivided profits, less cur rent expenses and taxes paid' 1,459.75 < Due to Head Off fee 103.801.40 i Individual de- 1 posfts subject to check $49,946.24 Savings de- ] posits 73,845.92 Time certlfi- , cates of depos- i it 26,140.37 < Certified checks 17.50 1 Cashier's checks 293.82 150,243.85 Total .,$256,505.60 State of South Carolina, County of i Lexington?ss. Before mle came J. B. Ballentine, Manager of the above named bank, < who, being duly Bworn, says that the above a?.a foregoing statement is a i true condition of said bank, as shown i by the books of said bank. i J. B. BAT J ,KNTINE. Sworn to and subscribed before me this 6 day of July 1920. L. D. CULL.TTM, JR. . Notary Public. Correct Attest: L. D. CULLUM, D. B. RAJVL, VL C. HAHN, Directors. 1680 REPORT OF THI The Carolina I at Columbia in tbe State of Sonth June resou: Loans and discounts, Notes ?nd bills rediscounted with Fed--r Bank, other than bank acceptances sol U. S. Government securities owned: Deposited to secure circulation (U. S. bor Pledged as collateral for State or oth< * bills fay able Dwned and unpledged. War savings certificates and thrift St owned Total U. S. Government securities Other bonds, securities, etc: Securities, other than U. S. bonds fnotir owned and unpledged - Total bonds, securities, etc , other tha Stook of Federal Reserve Bank (50 per < Value of banking house, owned and unin< Furniture and fixtures Real Estate owned other than banking Lawful reserve with federal reserve bai Items with federal reservebink in proce able as reserve Cash in vault and net amounts due from Net amount due from banks, bankers ai than included above Exchanges for clearing house Total of items above Checks on banks located outside of city c ing bank and other cash items Redemption fund with United States i S. treasurer Total. .. LIABIL Capital stook paid in Surplus fund Undivided profits, less current expenses taxes paid Interest and discount collected or credite and not earned rapproximate) Amount reserved for taxes accrued Oiroulating notes outstanding net uuiuuuu* uue mj DHiionai Danny .... Net amount doe to banks and bankers a Unitea States and foreign coantries (< Certified checks outstanding Cashier's checks 011 own bank outstandi . Total of items above Demand deposits (other than bank de (deposit^ payable within80days): Individual deposits subject to oheck Certificates of deposits due in less thai money borrowed) Dividends unpaid Total demand deposits (other than 1 to reserve Time Deposits, subject to reserve, payab to 30 days or more notice and postal ? Certificates of deposit (other than for m Other time deposits Total of time deposits subject to res< Bills payable with Federal Reserve Ban! Total (x) Of the total loans and discounts si tereBt and discount was charged at rates (Bee. 5197, Rev. Stat ), exclusive pf noi ceed 50 cents was made, was none. Th Slate of ?onth Carolina?Connty of I, Joseph M. Bell, Cashier of the alx that the above st'temeut is true to the ] Subscribed and sworn to before me thl Correct?Attest: W. A; CLARK R. R. DESPORTES, $; $% . IKEDELL JONES, JrDirector Job Printing of the ^ Dispatcl ? . . ' Statement of The Condition of The Bank of Pelion, located at Pelion, S. C., at the close of business June 30, 1920. Rteonroeo Loans and discounts 597,803.21 Overdrafts 52.63 Furniture and fixtures . . . 1,369.14 Banking house 2,273.43 Due from banks and bankers 5,518.35 Currency 1,567.00 Gold 15.00 Silver and other minor coin 749.55 Checks and cash items ... 1,202.80 Other resources, viz: r.lliorh. <1 nnr. n n WW. v wviiuo 6,VUV.VV I Total $112,551.11 Liabilities Capital stock paid In ....$21,175.00 Surplus fund 1,721.54 Undivided profits, less current expenses and Taxes paid 1* 2,313.71 individual deposits subject to check . ... $25,418.78 Savings deposits. 43,646.68 Cashier's checks 13,275.40 82,340.86 Sills payable, including certificates for money borrowed 5,000.00; Total $112,551.11 1 State of South Carolina, County of Lexington ? ss. Befor^ me came G. L. Taylor, Cashier of the above named bank, who, being duly sworn, says that the above and foregoing statement is a true condition of said bank, as shown by the books of said bank. G. L. TAYLOR. Sworn to and subscribed before me this 10th day of July 1920. C. A. SHUMPERT, Notary Public. Correct Attest: U W. WISE, D. P. SHUMPERT, D. R. KNEBCE, Directors. Reserve District No. 5 5 CONDITION OF National Sank, CJarolini, at the close of business > 30, 1920 ROES. $ 2,946,862 21 al Reserve d 143,000 00 2.803,862 21 ! ids bar Viilue) $200,000 00 it aeposits or 440,000*00 . 26,250 00 amps actually 118 15 ' 665,368 1 5 icludeing stocks] ? * $28,525 00 n U. S. 28,525 00 cent, of subscription) 12,000 00 cumbered 175,000 Oo 2,000 00 house 18,959 61 ik.. 169,777 65 ss of collection, not avail 14,500 43 national banks 257,871 66 nd trust companies other 13,457 77 39,421 33 $325,251 17 ir town of report iu,y?? hi i treasurer and due from U. ... 10,000 00 $4,221,742 62 ITIES. $ 300,000.00 100,000 00 i, interest and 98,904 13 d, in advance of maturity 29,054 59 10,000 00 198,300 00 38,244 06 nd trust companies in the ither than included above) 17,091 15 326 25 ing 5,768 68 $ 61,418 22 posits) subject to reserve 999,386 08 n SO days (other than for ? 3,222 04 9,150 50 bank depoosits) subject to $ 1,011,758 58 le after 30 days, or subject savings: j oney borrowed) 51,000 00 < 1,961,295 20 erve $2,012,295 20 c 400,000 00 $4,221,742 62 bown above, the amount on which inin excess of those permitted bv law tes upon which total charge not to exle number of such loans was none. Riohland (as): jve-myned bank, do solemnly swear best of my knowledge and belief. JOS M. BELL, Cashier. s 6th day of July, 1920. THEO. A. BELL, Notary Public for S. C. ' ; better kind?The l-News. I , f Bank No. 220. Statement of The Condition of The/ * Brookland Bank, located at New Brookland, S. C,, at the close of business June 30, 1920. Resources. L<ouns and discounts ....$310,046.01 Overdrafts 123.20 liberty bonds 20,000.00 Furniture and fixtures . . 2,500.00 Banking House ' 4,500.00 DllP f rnm Kahl/o .Vvr%?? ers . . . 3,021.66 Currency 6,120.00 Silver and other minor coin 205.50 Other respurces, viz.: Stockholders 8,105.80 Total . ! $354,622.17 inabilities. Cupital stock paid in ....$ 50,000.00 Surplus fund 1,057.50 Undivided profits, less current ;penses and taxes paid 12,197.47 Due to banks and bankers 5,288.76 Dividends unpaid 56.00 Individual deposits subject to ' check ...$102,930.71. pavings deposits 101,662.59 Time certificates of de-' posit 21,886.52 Cashier's checks 42.62 226,522.44 Rills payable, including certificates for money borrowed 59,500.00 iuiai | State of South Carolina, County of Lexington?ss. Before me came L. S. Trotti, presitlbnt the above ruamied bank,} who being duly sworn, says that the above and foregoing statement is a true condition of said bank, as shown by the books of said bank. L. S. TROTTI. Sworn to and subscribed before me this 7th day of July 1920. J. V. ROOF, Notary Public.^ Correct Attest: E. W. SKULL, HENRY BUFF. P. J. WES SINGER, Directors. , i No 9296 REPORT OF THE THE HOME NA' At Lexington, in toe State of Soar.l June 30tl RESOUI Loans and discounts, including rediscoi those shown on band c)..t X Total loans Deduct: Notes and bills rf discounted with Fedpn Reserved bank, other than bank accep tances sold Overdrafts, unsecured, $974 0 U. S. Government securities owned: T-? 1 . ! - <TT n L c. E. LEAI'H CORRECT?A TTEST: SAME. B. GEORGE, J. J. WINGARD, T. P. MEETZE, Directors. 1 Bank hfow 221. ] Statement of Tlie Condition of The Bank of Swansea, / .! ' / located at Swansea. S. C., at the close of business June 30, 1920. * Resources Loans and discounts ....$420,339.76 Overdrafts .. .. 2,419.76 1 Furniture and fixtures .. 2,215.00 Banking1 house .... ,... 2,518.5* Due from banks and bank- ] ers 22,125.37 Currency 5,208.00 Gold 122.50 Silver and other minor coin 4 . to i 1 p. Other Resources, viz: > < Liberty Bonds IS,250.00 Total $473,900.00 liabilities Capital stock paid in.... $ 99.075.00 j Undivided profits, less cur- ] rent expenses and taxes paid 12.415.20 ' Individual deposits subject ( to check . . . . $ 1 S1.295.S2 U Savings depos- c its 125,596.35 Time certificates of dec posit 22,760.00 Cashier's checks 257.63 329,909.SO I l^ills payable, including I certificates for money ^ borrowed 32,500.00 j Total $473,900.06 I State of South Carolina, County of q Lexington?ss. Before me came B. E. Craft, Cashier ^ of the above named bank, who, being duly sworn, says that the above and foregoing statement is a true condi tion of said bank, as shown by the ^ books of said bank. ? B. E. CRAFT. I Sworn to and subscribed before me this 10th day of July 1920. PERCY Jj. LYBRAND, / Notary Public. C Correct Attest: ^ W. H. WITT. ? D. E. CRAFT, U 1L WITT, r Directors. ( L Bring your candidate cards, barbc- _ Ii cue tickets and other job printing to ? the Disptttch-News office. T E = T Reserve District No. 5 CONDITION OF c riONAL BANK, g i Oarolina, at the close of business V i, 1920. RCES. 1 ints (except $ 628,237 69 ' E % 628, 287" 69 E tl A . $ 67,920 97 67,920 97....560,366 72 0 974 00 L >nds par value) 25,000.00 sr deposits or ' L 60,000.00 5,800 00 ps actually owned 168 84 90,968 84 bscription, 1,800 00 a umbered 16,000.00 .. 16,000 00 r 6,500 00 v rnse 670 00 e nk 11,047 48 national banks 7,032 18 >wn an report g bk ] ,086 61 $ 8,118,79 jr xown o( re 1,748 00 and due from r 1,250 00 1 te 1 00 $699,444 83 TIES. $50,000.00 " 5,000 00 11,466 88 tes paid 6,466 88 " ed in advance ate 5,000 on 23,500 00 5,190 39 R 4,388 00 9,578 39 1 106,499 62 ) days (other 600 00 2,500 00 ink d-'posits) $109,599 62 aey borrowed) 32,775 99 397,523 95 ve, items 430,299 94 k 60,000 00 $ 699,444 83 Reserve Bank $ 67,920 97 and d., not in't] $ 67,920 97 n above, the amount on which interest 5ss of those permitted by law (Sec.5197 h total charge not to exceed 50 cents i nnnp ITY OF LEXINGTON. SS; e-nam^d b'ink. do solemnly swear that )f my knowledge and belief. KARL F. OSWALD, Cashier. i 12th day of July, 1920. [ART, {L.s.J Notary Public for S, C. i i _ i i uei'Ui'iiisu nil om-uro oiruu'aiiou i U. O. LH Pledged as collateral for State or otht bil s payable Owned and unpledged War Savings Certificates and Thrift Stam Total U. S. Government secureties... Stock of Federal Bank, 50 per cent of su Value of banking house owned and uninc Furniture and tixtureB Real estate owned other than banking h< Lawful reserve with Federal Reserve Bai Cash in vault and net amounts due from Checks on other bks in the same city or tc Total of items : Checks on banks located outside of city < porting bank and other cash items Redemption fund with U. 8. Treasurer U. S. Treasurer Other assets, if any, Equity in Real Esta Total LIABILI ' * Capital stock paid in Surplus fund :: Undivided profits Less current expenses, interest and ta: Interest and discount collected or credit of maturity and not earned, approximt Circulating Notes Outstanding Net amounts due to national ba- ks Cashier's checks on own bank outstandin Total of items * Individual deposits subject to check Certificates of deposit due in less than 8( tKon mAnotr Vltlkll XVA 11IV11C V MV/il VTTCU/ Dividends unpaid Total demand deposits (other than bs subject to reserve, items. Certificates of deposit (other than for moi Other time deposits Total of time deposits, subject to reser Bills payable with Federal Reserve Ban! Total ... .w.i. >&..> p Liabilities for rediscounts with Federal F Total contingent liabilities (55 a, b, c, eluding items in schedule 23 of repoi x Of the total loans and discounts show and .discount .was charged at rates in exce Rev. Stat.-1 exclusive of notes upon whic was none j The number of such loans wai STATE OF SOUTH OA ROLINA, COUI I, Karl F. Oswald, Caahierof the abov the above statement is true to the best < Snhaorihorl ami sworn to So. 8133. .. . REPORT OP THE CO! FHE PALMETTO NA AT OOEUHB [n the State ol South Carolina, a June 30th, 1920. resource; lioana and discounts, including rediscounts... [x] Total loans Deduct: Motes and bills rediscounted with Federal Reserve Bank (other than bank acceptance sold) I 345,000 o?,a Ktiio J /_ii? iwicotuiu u<i*o a IOV.UUD tr u punier than with Federal Reserve Bank (other than bank acceptances sold) $1,388,51 Customers' liability account of "acceptance" executed by this bank and by other banks for account of this bank and now outstanding J. S. Government securities owned: O-posited to secure circulation U. S. bonds [f. Pledged to secure U. S. deposits, par value... Pledged as collateral for State or other deposi payabte ... 'reittium on U. S. Bonds Total U. S. Government securities.etc. .... 3ther bonds, securities, et \ : Bonds other than U. S. bonds pledged to secu savings deposits securities other than U. S. bonds (not indudinj owned and unpledged Total horn's, securities, etc. other than U. S Stock of federal reserve bank (50 per ct. of sut Equity in banking house furniture and fixtures ieal estate owned other than banking house . jawful reserve with federal reserve bank >ash in vault and net amounts due from natii ^et Amt. due from banks and bankers, aad t pauies in the U. S. other than included abo exchanges for clearing honse Total of items above )hecks on banks louated outside of the city o bank and other cash items tedemplion fund with U. S. treasurer anddu< U.S. treasurer Total ' L1AB1LITIEI Capital stock paid in lurplus fund. juuivuieu proms nterest and discount collected or credited, in j of maturity and notearmd (approximate) Amount reserved for taxes accrued. Mrculating notes outstanding i Amount due Federal Reserve Bank {deferred Jet amounts due to national banks Jet amount due to banks, bankers and trust panies in the U. S. and Foreign countries v'otl included above) lertified checks outstanding Sashier's checks on own liana outstanding .... )emand deposits (other than bank deposits) si to reserve (deposits payable within thirty di dividual deposits suhject to check lertificates of deposit due in less than 3 [other than for money borrowed] ividends unpaid inie deposits subject to reserve, payable af days, or subject to 30 days of more notit postal savincs: ertificat'S of deposit [other than for money! ost ?l savines deposits 'thertime deposits fnited States deposits [other th*n postal savi /ar savings certificate* and thrift stamp depoi Other United States deposits, including de] LJ. S. disbursing officers Total deposits .ills payable, other than with Federel Reserv [including all obligations reresenting mone; rowed other than rediscounts) tills payable with Federal Reserve Bank .. icceptances executed by this bank for custom Total. . . .". Total ^abilities for rediscounts, including those wit! Reserve Bank (see item above ^abilities for rediscounts other than with Fc Reserve Bank Total contingent liabilities, 55 a. b. c. an? not including items in schedule 23 of report [x) Of the total loans and discounts shown ; nd discount was charged at rates in excess of ev. stat.), exclusive of notes upon which tota jas made, was none. The number of such loa Itate of South Carolina?County of Richland ( I, Wm. M. Gibbes, Jr, Cashier of the a wear that the above statement is t.-ue to the Subscribed and sworn to before me this 6th N Jorrect?Attest: JOHN JACOB SEIBELS, I. M. MAULDIN, FRITZ HUGH McMASTER, Directors. "Soulh Carolina's Leading Weekly' $2.00 a year A AUGUST 15, SUI AN Reserve District No. 6 ndition or . I ' * I TIONAL BANK ... tIA, t the Close of Business 3. -..V- max $ 8,238,928 25 G ? $ 8,238,928 25 t 00 > ''* * 34 15 ^ 1,783,554 15 6,505,374 10 260.000.00 260,000 00 >ar val) $ 1,000,000 00 500,000 00 its or bills 1,101,010 83 9,062 50 2,700,073 33 re postal 8,000.00 gstocks) 207,772 00 5 275,772 00 ascription) 37,500 (X) 378,000 00 373,000 00 58.672 09 21,596 12 349,167 82 onal banks 661,927 14 rust comve) 915.424 08 202,327 60 $1,779,678 82 r town of reporting 173,881 02 s from 46,755 00 .. $12,589,070 21 3. 1 onti t>nn on 250,000 00 186.500 00 186,500 00 advance 51,000 00 14,000 00 ........ 361,900 00 cred'ts $ 48,839 67 798,359 58 : cornier than 1,045,105 59 4,328 91 189,836 60 jbject *ys) 2,535,212 13 10 days 2,107 10 50,056 00 ter 30 :e, and borrowed] 79,327 12 2,759 88 3,469,247 51 ngs]: 3it acc't. 12,896 50 aosits of 434,343 62 , 8,671,920 21 e Bank y bor 125.000 00 . 1,068,750 00 ers .....$ 260,000 00 260,000 00 12,589,070 21 i Federal $ 45,000 00 >deral 1,388,554 15 1 d, 1,733,554 15 above, the amt on which interest ' those permitted by law [sec.5197 d charge not to exceed 50 cents ns was none. sb) : ibove-named bank, do solemnly best of my knowledge and belief. fm. M. GlBBES, J R, Cashier, day of July, 1920. THOS. H, MOFFAT, otary Public for South Carolina. ? . ; . I : * * * PUIS y FTER 1920 BSCRIBE NOW D SAVE 50c. J