South Carolina. Office of State Bank Examiner.

Annual report showing the condition of South Carolina state banks online

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11,406.26

77,069.37

4,876.00

102.50

729.95

4,776.85

7,898.26



WM. H.LaFAR, Cashier.



Condition



Mar. 4
Liabilities.

Capital stock $ 60,000.00

Surplus fund 60,000.00

Undivided profits .. 11,703.62

Due to banks 11,423.05

Dividends unpaid - 12.50

Individual deposits.. 119,433.68
Savings deposits .... 478,879.60
Time certificates .... 10,000.00

Certified checks 9.24

•Casliier's checks .... 750.00

Bills payable 45,000.00



Not. 10

$ 60,000.00

60,000.00

14,076.05

26,203.46

82.50

107,423.32

471,799.77

40,000.00

325.00

100.00

45,000.00



Total , $ 797,211,69 $ 825,010.10*- Total $ 797,211.69 $ 825,010.10



Digitized by VjOOQIC



(W)



THE ENTERPRISE BANK, CHARLESTON.



No. 52. Incorporated Hay 1, 1894.
WILSOK G. HABVBY, President.

Condition



A. L. WAY. Oadiier.



Condition

B

Loans

Overdrafts


Mar. 4

SSOUBOM.

..$467,577.64

2,249.20

.. 37,300.00

750.00

.. 19,500.00

.. 15.860.00

.. 43,286.99

5,428.00

540.00

3,387.51

4,666.23

4,010.74


Not. 10

$481,447.20
2,586.86


Bonds and stocks

Fur. and Fix

Banking house ....
Other real estate
Due from banks ..

Currency

Gold

Silver, etc


87.800.00

750.00

19.500.00

15.360.00

47.466.70

8,294.00

702.50

3,844.58


Cash items

Clearing house ....


8,480.06
7,722.61



Total $ 604,056.81 $ 682,954.01



Mar. 4

LilBiLinBS.

Capital stock $ 50,000.00

Suri>lus fund 25,000.00

Undivided profits .. 1,999.25

Due to banks 61,311.16

Individual deposits.. 148.254.99
Savings deposits .... 280,290.56
Demand certificates 1,000.00
Certified checks .... 1,129.85
Cashier's checks .... 70.50

Rediscounts

BiUB payable 35,000.00



Not. 10

$ 50,000.00

25,000.00

2,581.93

2,848.81

195,092.77

268,864.98

1,000.00

548.88

17.75

62.000.00

80,000.00



Total $ 604,056.81 $ 683,954.01



THE EXCHANGE BANKING AND TRUST COMPANY, CHARLESTON.



No. 45.
W. K. McDowell, President
Condition Mar. 4

RI80T7BCBB.

Loans $411,890.05

Overdrafts ~ 146.12

Bonds and stocks .. 100,820.00

Fur. and Fix 7,500.00

Banking house 20,000.00

Due from banks .... 41,627.15

Currency 12,494.00

Gold 95.00

Silver, etc 1,565.86

Cash items 337.62

Clearing house 4,506.10



Incorporated April 9, 1891.

B. E. MUCKENFUSS, Sec. and Tnas.



Nov. 10

$446,761.23

78.44

104,180!00

7,500.00

20,000.00

51.292.89

9,482.00

772.50

1,529.49

846.86

10.748.69



Total $ 600.981.90 $ 658.186.60



Condition Mar. 4

LlABILIlXIS.

Capital stock $ 50,000.00

Surplus fund 60,000.00

Undivided profits .. 3,995.99

Dividends unpaid .. 400.50

Individual deposits.. 132,319.11

Savings deposits .... 353,278.81

Certified checks .... 514.43

Cashier's checks .... 473.06

Bills payable



Not. 10

$ 50,000.00

60,000.00

7,844.16

244.00

170,030.09

348,856.21

52.94

1,119.20

15,000.00



Total $ 600,981.90 $ 658,186.60



THE GERMANIA SAVINGS BANK, CHARLESTON.

No. 2. Incorporated March 14, 1874.
HENRT SCHACHTE, President. WALTER WILLIMAN, Oaahiar.



Condition Mar. 4

Besottbcbs.

Loans $2,111,155.61

Overdrafts 833.60

Bonds and stocks 1,139,552.66

Fur. and Fix 15,500.00

Banking house 27,028.99

Other reAl estate .... 33.604.98
Due from banks .... 173,101.12

Currency 20,031.00

Gold 2,915.00

Silver, etc., 4,414.65

Cash items 753.16

Clearing house 4.151.32



Nov. 10

$1,983,732.49

100.93

1,078,136.61

15,970.40

27,028.09

33.768.87

294.986.75

14.306.00

3.502.50

5.079.51

385.47

4,059.85



Total



..$3,532,542.09 $3,461,058.37



Condition Mar. 4

LlABILITnES.

Capital stock $ 100,000.00

Surplus 100.000.00

Undivided profits 182,846.42

Due to banks 87,056.01

Dividends unpaid .. 525.00

Individual deposits 102,286.61
Savings deposits ....2,817,509.65

Time certificates .... 1,000.00
Certified checks ....

Cashier's checks .... 5.818.40

Rediscounts 41,500.00

Bills payable 34,000.00

Reserve fund 60,000.00



Not. 10

$ 100,000.00

100.000.00

198,158.83

41,194.77

200.00

93,179.52

2,807,867.61

51,000.00

2,670.00

11,787.64



60,000.00



Total $3,532,542.09 $3,461,058.37



Digitized by VjOOQIC



(W



THE MINERS AND MERCHANTS BANK, CHARLESTON.



No. 82. Incorporated July 2, 1889.



ARTHUR LYNAH. President.



W. H. WARLBT, Cashier.



Condition Mar. 4


Hot. 10


Condition Mar. 4


Nov. 10


RB80T7BCB8.




LlABILITIBS.




Loans $265,480.74


$808,404.86


Capital stock $100,000.00


$100,000.00


Overdrafts 671.81


369.29


Surplus fund 25,000.00


25,000.00


Bonds and stocks .. 45,000.00


45,000.00


Undivided profits .. 5.748.72


5.883.16


Fur. and Fix 1,000.00


1.000.00


Dividends unpaid .. 48.00


83.00


Banking house 7,500.00


7,500 00


Individual deposits 81,491.42


86,754.44


Due from banks — 105,600.78


64,748.55


Savings deposits .... 285,594.10


227,101.51


Currency 18,007.00


11,222.00


Certified checks . 14.25


12.25


Gold 607.50


540.00


Cashier's checks ..» 8.50


157.00


Silver, etc 978.90


1,271.07






Cash items 67.02


11.18






Clearing house 2,996.29


4,979.90
$ 444,941.85]






Total $ 447.904.99


' Total $ 447,904.99 $ 444,941.85



THE SECURITY SAVINGS BANK, CHARLESTON.



No. 20. Incorporated December 24, 1887.



4. H. FICEEN, President.

Condition Mar. 4

Rbsottbcxs.

/ioans $472,016.59

Overdrafts 18.25

Bonds and stocks .. 87,595.00
Other real estate .. 5,273.10
J)ue from banks .... 26,518.10



J. A. JOHNSTON, Cashier.



Total



Hot. 10


Condition Mar. 4

LlABILITIXS.


Nov. 10


$567,841.10

598.78

85,644.00

5,458.22

64,922.25


Capital stock $ 50,000.00

Surplus fund 25,000.00

Undivided profits .. 4,380.00

Due to banks 2,169.73

Individual deposits 54,342.82
Savings deposits .... 484,504.68

Demand certificates 4,962.17
Certified checks ...... 259.85

Cashier's checks — 800.79
Rediscounts 15,000.00


S 50,000.00

25.000.00

2.548.27

1,086.51

87,563.47

458,206.55

59,462.17

97.38
20.000.00




Total $ 591,420.04




^ 708,964.85


$ 708,964.35



THE SOUTH CAROLINA LOAN AND TRUST COMPANY and Kins
Street Branch, CHARLESTON.



No. 1. Incorporated December 26, 1886.



JOHN F. FlOEEN, President.

Condition Mar. 4

RSSOTTBCBS.

Loans $767,878.88

Overdrafts 3,578.52

Bonds and stocks .. 522,896.94
Banking houses (2) 36,000.00
Other real estate .. 3,870.83

Due from banks 104,187.16

Currency 22,071.00

Gold 387.50

Silver, etc 2,506.74

Cash items 2,358.16

Clearing house 12,514.74



Not. 10

$834,139.08

2.942.74

519,104.13

86,000.00

1,620.00

210,328.10

26,888.00

822.50

8,256.72

8.968.45

26,909.61



W. R. GREER, Cashier.



Condition



Mar. 4
Liabilities.

Capital stock $100,000.00

Surplus fund 25.000.00

Undivided profits .. 19,047.90

Due to banks 312,607.16

Individual deposits 319,302.30
Savings deposits .... 571,068.11
Time certificates .... 1,000.00
Cashier's checks .... 1,200.00
Rediscounts 128,975.00



Nov. 10

$100,000.00

25,000.00

18,407.30

416,892.53

414,298.53

577,480.97

6,000.00

107,400.00



Total $1,478,2P0,47 $1665,479.88 I Total . $1,478,300.47 $1665,479.38



Digitized by VjOOQIC



(W)



SOUTH CAROLINA LOAN AND TRUST COMPANY'S BANK.
CHARLESTON.



No. 380.
JOHN F. FIOKEN. President.

Condition Mar. 4 Hot. 10

RB80T7BCS8.

Loans $142,033.65 $134.«05.76

Overdrafts 115 64 402.49

Bonds and stocks .. 10,000.00 10,000.00

Due from banks .... 301,629.60 391,060.97

Cnrrency 2,090.00 2.477.00

Gold 182.50 182.50

Silver, etc 1,540.79 1.840.47

Cash items 461.91 68.26



Incorporated March 13, 1914.

E. M. SOHMETZEB. Oasbler.



Total



..$458,004.09 $540.687.45 1 Total



Condition Mar. 4

LiABiLinxs.
Capital stock $ 50,000.00



Surplus fund
Undiyided profits ..
Individual deposits
Savings deposits ....
Demand certificates

Certified checks

Cashier's checks ....
Rediscounts — .



1,000.00

2.998.11

108.180.68

290,393.7^.

1.807.03

3.624.50



Not. 10

$ 50.000.00

1,000.00

8,686.66

90,232.78

355,143.01

30.000.00

25.00

50.00

10,500.00



...$458,004.09 $540,687.45



THE STATE SAVINGS BANK, CHARLESTON.



No. 42. Incorporated January 28, 1891.



JOHN B. BEEVES. President.

Condition Mar. 4

Bbsoubcis.

Loans $255,124.84

Overdrafts 319.90

Bonds and stocks .. 41,450.00

B'ur. and Fix 1,920.29

Banking house 17,025.67



Due from banks ....


15,647.02


Currency


3,689.00


Gold


230.00


Silver, etc


284.90


Cash items


157.02




51.80


Life Ins. Premiums




paid by banks ....





Not. 10

$253,653.28

39.92

40.500.00

1,828.36

17.500.00

23.786.09

3,161.00

255.00

574.81

149.69



121.98



RALPH BAILEY, JR., Cashier.



Total



$ 335,899.94 $ 341,520.08



Condition Mar. 4

Liabilities.

Capital stock $ 50.000.00

Surplus fund 20,000.00



Undivided profits
Individual deposits

Savings deposits

Time certificates ....

Certified checks

Cashier's checks ....

Bills payable

Cotton



3,021.66

44,347.22

150,606.53

9.582.55

241.98

58.100.00



Not. 10

$ 50.000.00

20.000.00

1.511.42

47.972.71

150,021.80

16.731.30

161.53

116.10

55,000.00

5.66



Total



....$ 335,899.94 $ 341,520.08



THE TITLE GUARANTEE AND DEPOSIT COMPANY, CHARLESTON.



No. 357.

T. S. WILBUR. President.

Condition Mar. 4

Rbsoubcbs.

Loans $384,943 .20

Overdrafts 80.54

Bonds and stocks .. 59,264.67

Furn. and fix 5,377.37

Other real estate 2,284.50

Due from banks .... 24,980.74

Currency , 472.00

Gold 5.00

Silver, etc 185.23

Cash items . 170.03

Premium on bond.... 2,032.45

Accrued int 381.87

Advanced paym'ts .. 9.702.99

Total $489,880.59



IncoriMrated December 17, 1912.

R. B. GILCHRIST, Cashier.



Not. 10


Condition Mar. 4


Not. 10




LlABILITIXS.




$395,109.26


Capital stock $ 50,000.00


$ 50.000.00


106.08


Undivided profits .. 7,733.74


11.205.59


106,264.67


Due to banks 4.310.48


10 954.93


5,375.37


Savings deposits 35.475.03


31.326.58


2,284.50


Demand certificates 3,546.44


8,909.96


20,393.44


Time certificates .... 116,434.03


127.016.06


480.00


Cashier's checks — 1.080.87


1.00


15.00


Bills payable 49,600.00


71,600.00


172.67


6 per cent, gold




180.68
2,032.45


mtg. bonds 221.700.00


226.400.00


$532,414.12


Total $489,880.69


$582,414.12



Digitized by VjOOQIC



(88)



THE BANK OF CHERAW, CHERAW.



No. 18. Incorporated July 7, 1887.



R. T. CASTON, President.



O. K. WADDILL, OMUer.





Vow, 10


Condition Mar. 4


Nor. 10


B18017BC18.




LIABILITIX9.




Loans $410,884.20


$338,657.78


Capital stock ^..$110,000.00


$110,000.00


Overdiafts 1,675.«1


1,641.46


Snrplus fund 60,000.00

Undivided profits .. 8,023.88


60,000.00


Bond* and stocks — 79,000.00


79,000.00


2,460.91


Fnr. and Fix. - ... 5,671.621


6,671.62


Dne to banks 7,013.41


10,606.07


Banking honse 30,000.00


80,000.00


Individual deposits 211,858.83


283,180.90


Due from banks 46,586.10


88,586.00


Cashier's checks .... 508.50


988.23


Cnrrency 3,183.00


11.088.00


Redisconnts 181,267.99


56,500.00


Gold 1,350.00


2,456.00


BiUs payable 64,500.00


85,000.00


Silver, etc — 1,500.07


1,640.22


Reserve fund —


5,000.00


Caah iUmi 3,816.61


51.08






Tetal $588,167.11


$508,786.11 * Total $583,167.11


$503,786.11



THE MERCHANTS AND FARMERS BANK» CHERAW.



No. 75. Incorporated May 21, 1900.
W. F. STEVENSON, Fzeeident. J. H. WANNAMAKER, Cashier.



RSSOTTBOSB.
Condition Mar. 4

Loans $276,504.80

Overdrafts 1,616.45



Bonds and stocks

Fur. and fix.

Banking house

Other real estate

Due from banks ..

Cnrrency ..

Silver, etc, ....

Cash items

Total



4,666.75

2,669.87

21,081.16

6,447.96

36,779.56

497.00

220.71

697.89



Not. 10
$256,929.07

10,025.46
3.300.00
3,331.28

21,081.16
2,447.96

25,069.59
8,100.00
1,128.48
1,410.87



Condition Mar. 4

LlABIIilTiag.

Capital stock $125,000.00

Surplus fund 1,250.00

Undivided profits .. 6,821.67

Dne to banks 2,908.36

Dividends unpaid .. 10.00

Individual deposits 100,467.99

Cashier's checks 74.60

Rediscounts 11,849.54

BiUs payable 104,250.00



Not. 10

$100,000.00

1,250.00

4,598.71

10,736.76

10.00

128,094.82

1,685.00

14,048.58

67,500.00



.$851,182.16 $827,768.87 Total $861,182.15 $827,768.87



BANK OF CHESNEE, CHESNEE.



No. 801. Incorporated February 24, 1911.



H. B. CARLISLE. President.
Condition Mar. 4

RiSOTTmClB.

ijO*M $ 52,125.66

Overdrafts 83.96

Banking house 3,300.00

'^ ' 14,272.32

1,428.00



V. E. HATCHETTE, Cashier.



Due from banks

Currency

Gold

Silver, etc.,
Cash items ..
Collections ..

Total .



Not. 10 T

I 63,100.84

2,046.76

3,300.00

88,927.89

2,976.00

60.00

92.97

25.00

1,620.11



..$ 72,621.75 $112,149.56



442.11
969.70



r Condition Mar. 4


No^. 10


LlABILITm.




Capital stock $ 16,000.00


$ 15,000.00


Surplus fund 4,000.00


4,000.00


Undivided profits.... 1,567,23


1,461.41


Dividends unpaid .. 2.00




Individual deposits.. 42,547.10


78,241.40


Savings deposits .... 9,345.25


12,000.00


Time certificates


1,105.00


Cashier's checks.... 160.17


351.75


Total $ 72,621.75


$112,149.56



Digitized by VjOOQIC



/89)



T^E COMMERCIAL BANK, CHESTER.



A. a. BBIOE, President.



UTo. 67. Incorporated September 28, 1899.

BOBT. GAGE, Cashier.



Condition

Loans ~..

Overdrafts ..
Bonds and stocks

Banking house

Other real estate..
Due from banks ..

Currency

Gold

Silver, etc.,

Cash items

Total



Mar. 4

BlBOXTBCM.

.$298,611.69

224.76

15.500.00

84,000.00

8,000.00

50,608.21

9,987.00

400.00

2,910.01

8.689.41



Hoy. 10

$816,240.22

88.72

16,600.00

87,000.00

88,810.02

7,682.00

486.00

2.692.47

2.968.62



....$418,781.08 $466,266.96



Condition

Capital stock .
Surplus fund
Undivided profits ..

Due to banks

Dividends unpaid ..
Individual deposits-
Savings deposits ....
Time certificates ....

Certified checks

Cashier's checks —



Hot. 10

$100,000.00

60,000.00

8,147.17

1,184.74

49.00

189.640.88

41,712.24

76,797.28

182,10

2,644.10



Total $418,781.08 $466,266.96



Mar. 4

LlABILimS.

$100,000.00

47,600.00

6,440.00

2,608.89

70.00

160,598.08

84,098.98

76,480.49

216.80

1,778.44



WHITE BANK, CHESTER.



No. 875. Commenced Business January 1, 1908.



T. H. WHITE, President.



Condition Mar. 4
Bbsottbcss.

Loans $115,996.42

Overdrafts 8.00

Due from banks 86,065.37

Currency 696.00

Silver, etc. 27.69

Cash items 6.148.67


Not. 10

$141,806.20

28.88

24,452.16

1,090.00

260.68

604.07






Total $168,887.05


$168,186.89



Condition



W. 0. WHITE, Cashier.

Mar. 4 Not.' 10
LiABiLiTna.

Capital stock $20,000.00 $ 20.000.00

Surplus fund .... 2.000.00 4,600.00

Undivided profite .. 8,293.84 1.164.61

Dividends unpaid 1,000.00

Individual deposito 132,680.51 187.826.07

Cashier's checks .... 12.70 166.81

Bills payable 6.000.00



Total



$168,837.05 $168,186.89



BANK OF CHESTERFIELD, CHESTERFIELD.



No. 119. Incorporated September 11, 1908.



R. E. RIVERS, President.

Condition Mar. 4

RXSOXJBCSS.

Loans $126,834.30

OverdrafU 635.81

Fur. and fix 2.126.00

Banking house 10,000.00

Other real estate .... 1,428.18
Due from banks .... 18,907.22

Currency 1,279.00

Gold - 110.00

Silver, etc 222.02

Cash items 931.17



Not. 10

$ 99.148.84

1,877.47

2,126.00

10.000.00

4,849.76

20,363.30

2.558.00

812.50

184.97

706.69



C. 0. DOUGLASS, Oashlar.



Total



..4162.467.20 $141,121.43



Condition



Mar. 4
LiABiLinxs.
Capital stock $ 60,000.00



Surplus fund
Undivided profits ..
Dividends unpaid ..
Individual deposito..
Time certificates —
Cashier's checks ....
Bills payable



3,700.00

2,670.42

32.50

33,016.63

7,522.44

25.21

65,500.00



Nov. 10

$ 50,000.00

8,700.00

2,960.18

12.50

64,695.88

11.070.66

182.81

8.600.00



Total



..$162,467.20 $141,121.48



Digitized by VjOOQIC



(40)



THE FARMERS BANK, CHESTERFIELD.

No. 870. Incorporated November 20. 1918.
J. B. STRBATBE, President. D. H. DOUGLASS. Cashier.

Nov. 10

$ 6.675.00

800.00

1,023.44

34,579.81

630.00

173.54



Condition Mar. 4
RB80UBC»8.

Loans $ 18,851.98

Overdrafts 281.59

Fur. and fix 975.96

Due from banks 2,442.86

Currency 854.00

Gold

Silver, etc., 224.66


Not. 10

$ 25,186.80

1,734.41

975.96

12,710.84

1.424.00

15.00

236.72


Cash items —


80.83


1.098.56



Total -^ 23.711.88 $ 48.881.79



Condition



Mar. 4
LlABIIilTIBS.

6.669.00

586.97

16,107.02

800.00

48.89



Total



..$ 23.711.88 $ 48.881.79



THE PEOPLE'S BANK, CHESTERFIELD.



No. 298. Incorporated December 20. 1910.



0. F. MANGUM. President.



MACK DAVIS, Cashier.



Condition ^

BbS(

Loans $

Overdiafts

Fur. and fix.

Banking house

Other real estate ....

Due from banks

Currency


Mar. 4

)UBCBS.

93,821.95

350.59

1,501.04

6.032.67

5,814.57

1.304.00

145.00

643.55

8.045.89

417.70


Nq7. 10

$ 78,895.68

1.024.22

1,501.04

6.078.65

7,458.82

19,942.75

2.838.00

125.00

822.49

1,662.68

128.48
210.24


Condition Mar. 4

LlABILITISS.

Capital stock $ 25.000.00

Surplus fund 2,500.00

Due to banks 210.41

Individual deposits 40,803.14
Time certificates .... 6,897.58

Cashier's checks 29.03

Rediscounts 10,636.80

BiUs payable 27,000.00


Nov. 10

$ 25,000.00

2,500.00

6,523.70

53.093.86

7.229.46

189.13

15.636.80

10,000.00


Gold

Silver, etc..

Cash items ....


Other resources, via

Int. in cot. w. h

Past due int





Total



..$118,076.96 $120,172.96



Total



.^1 13.076.96 $120,172.96



PEOPLES SAVINGS BANK, CLIFTON.

No. 390. Incorporated July 8, 1915.



JOHN B. CANNON. President.






Nov. 10


Rbbottbcbs.




Loans

Due from banks

Currency ....................................


....$ 10,489.46

.... 2.798.67

800.00


Silver, etc —


68.20


Total ..


.^4 18,661.88



G. W. TUBNEB. Cashier.

Nov. 10
Liabilities.

Capital stock $ 2.205.00

Undivided profits 862.78

Savings deposits 11.083.55



Total



.4 18,651.88



Digitized by VjOOQIC



(m



M. S. BAILEY AND SON, BANKERS, CLINTON.

N<K 9. Priyate Bank. Oommeneed Business February 1, 1886.
M. S. BAILEY. President. WM. J. BAILBY. Cashier.



C!ondition Mar. 41

Bbbottbcbs.

Loans $208,501.20



Overdrafts
Bonds and stocks
Other real estate ..
Due from banks ..

Currency

Gold

Silver, etc

Cash items



7.868.62
691.08
995.74

5,945.16

5.052.00
285.00

1.218.95
702.13



Not. 10

$209,606.83

22,158.48

720.58

1.019.03

18,946.78

8.824.00

550.00

1,822.66

256.66



Total



..$281,209.88 $258,405.02



Condition Mar. 4

LlABUilTU^.

Capital stock $ 20.201.40

Undivided profits .. 1.615.56

Due to banks 1,649.58

Individual deposits.. 125.748.86

Time certificates 81,954.82

Cashier's checks .. 39.66

Bills payable



Not. 10

$ 20.201.40

11,759.65

1,708.99

124,816.62

84,761.19

157.17

15.000.00



Total



..$231,209.88 $258,405.02



THE COMMERCIAL BANK, CLINTON.



No. 282. Incorporated September 12. 1910.



J. D. BELL, President.



Condition



Loans



Overdrafts —

Bonds and stocks —

Fur. and fix

Due from banks ..

Currency

Gold

Silver, etc.,

Cash items

Other resources —



Mar. 4
Bbsoubobb.

$111,033.80

2,638.52

2,000.00

2,597.06

10.604.26

542.00

80.00

780.28

573.57

8.60



Not. 10


Condition


Mar. 4






$154,086.64


Capital stock


.$ 35.000.00


4.617.38


Surplus fund


. 7.500.00


2.000.00


Undivided profits


665.21


3,089.22


Due to banks


178.00


10.645.17


Individual deposits.


. 47,660.95


2.609.00


Savings deposits ...


428.90


255.00


Time certificates ...


. 20.683.64


899.97


Cashiers checks —


736.39


86.58


Rediscounted




20.55


Bills payable


. 18,000.00




CoUections





Total



..$130,858.09 $177,809.51



H. D. HENBT, Cashier.
Not. 10



$ 85.000.00

7.500.00

1,221.57

5,059.79

79,726.71

1.136.05

16,674.26

537.46

1.071.67

20,000.00

783.00



Total



$130,853.09 $177,809.51



THE BANK OF CLIO, CLIO.



No. 70. Incorporated January 18, 1900.



W. W. EVANS, President.



Condition



Loans —

Overdrafts

Bonds and stocks ..

Pur. and fix.

Banlcing house

Due from banks —

Currency -..~..

Gold

Silver, etc



Cash items

Total



Mar. 4
Bbbottbcbs.

. $271,830.57

2,442.34

170.00

2,639.71

2.500.00

11,759.77

1,577.00

2.50

1,239.06

971.08



Nov. 10

$239,861.90

2,310.86

250.00

3,298.96

2,500.00

86,674.00

750.00

185.00

634.88

817.66



W. S. CROSS, Vice-Pres. and Cashier.



1295.182.08 $286,782.71



CondiUon Mar. 4


Not. 10


LlABIUTIBS.


'


Capital stock' $100,000.00


$100,000.00


Surplus fund ... . 25,000.00


25,000^)0


Undivided profite .. 6,679.68


2,782.34


Due to banks 953.54


813.06


Dividends unpaid .. 92.00


80.00


Individual deposits.. 60.534.81


78,280.92


Savings deposiU .... 22.372.00


23,481.49


Cashier's checks —


44.90


Rediscounts


8.500.00


Bills payable 79.600.00


52,500.00


Total . $295,182.08


$286,782.71



Digitized by VjOOQIC



(«)



THE PEOPLE'S SAVING BAHUi, CLIO.



No. 344. Inoorporfttod DvoMnbMr 11, 1008.



A. L. ClIiHOim, Jr. PrwUdtnt

CondHion Mar. 4

BSBOUBCaB.

IiO»na 9 58.062.87



OverdrafU

Bonds -and stocki .

Pur. and fix.

Due from banks ...

Curreiicf ~

Oold

SiWer, etc.,

lUrenue stamps ...



2,875.68

1,500.00

496.50

4.468.55

544.00

5.00

238.02

88.42



Not. 10

$ 54.551.00

4,506.84

1,500.00

496.50

17,784.31

1,284.00

852.73
55.48



W. r. KOOBR, Cadiior.



Condition



liar. 4

LlABILITiaS.

Capital stock 4 25,000.00

Surplus 8,000.00



Undivided profits ..
Dividends unpaid ..
Individual deposits..
Savings deposits ....
Demand certificates
Certified checks ....
Cashier's checks



1«1.51

4.00

24.542.92

10,881.39

4,473.63

211.50



Not. 10

$ 25,000.00

8,000.00

224.47

83.234.86

14,617.50

4,658.68

10.00

825.08



Total .$ 67,724.95 $ 81,071.441 Total 4 67,724.95 $ 81.071.44



THE BANK OF CLOVER, CLOVER.



No. 169. Incorporated Dsoexuber 80, 1905.



H. L. SMITH, President.

Condition Mar. 4

BxsouBoaB.

Loans $119,529.47

Overdrafts 1,015.60

Pur. and fix 1,835.48

Due from banks .... 87,909.75

Currency 4,562.00

Gold 585.00

Silver, etc 738.58

Cash items 812.81



Not. 10

$146,547.72

1,901.56

1.835.48

32,745.42

4,330.00

600.00

1,573.23

616.46



Total



JAS. A.



..$166,488.19 $190,149.87



Condition



Mar. 4

LlABILinXB

Capital stock $ 30,000.

Surplus 8,850.

Undivided profits .. 794.

Due to banks 5,042.

Dividends unpaid .. 70.

Individual profits .. 59,348.

Time certificates .... 50,250.

Cashier's checks 1,632.

Bills payable 15,500.



PAGE, Cashier.
Not. 10



30.000.00
3,850.00
2,378.76
7,389.41

64.536.63

61,647.81

2,397.26

18,000.00

Total . — .$166,488.19 $190,149.87



00
00
09
85
00
30
00
,14
00



THE BANK OF COLUMBIA, COLUMBIA.



No. 50. Incorporated May 21, 1892.



A. F. TAYLOR. Presidant.



Condition



Mar. 4

BlSOTTBClS.



Not. 10

$585,897.92

26.00

83.445.00

10.460.94

83.817.99

40.442.56

9.239.00

1.945.00

5.042.00

4.953.86

8.499.01



L. L. HABDIN. Cashior.



Total



...$816,786.67 $788,768.78 * Total



Condition



Mar. 4

LlABILITIIB.

Capital stock .$200,000.00

Surplus 17,500.00

Undivied profits .... 8,691.08

Due to banks 19,028.28

Dividends unpaid ..

Individual deposits.. 204,056.28

Savings deposits 144,536.90

Time certificates 29,498.61

Certified checks 927.75

Cashier's checks .... 14„952.77

Rediscounta .

Bills payable 182,600.00



Not. 10

$200,000.00

17,500.00

675.91

56,862.48

153.00

196,065.88

159.564.82

86,353.61

582.75

1,560.38

5,000.00

110,000.00



..$816,786.67 $788,768.78



Digitized by VjOOQIC



(48)



THE COLUMBIA SAVfNGS BANK AND TRUST COMPANY. COLUMBIA.

No. 115. Ineorponted June 25, 1908,
B. F. P. LBAPHABT. President. A. R. HEYWAED, SeereUur and Tremsmwr.



Condition lUr. 4

Kmoubcbb.


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Online LibrarySouth Carolina. Office of State Bank ExaminerAnnual report showing the condition of South Carolina state banks → online text (page 4 of 18)